Search USGS⌕ Search

SEARCH · Search USGS

Results for “Pacific Studies”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 631 records · Page 35Linked to original sources

Local weather, regional climate, and annual survival of the northern spotted owl

We used an information-theoretical approach and Cormack—Jolly—Seber models for open populations in program MARK to examine relationships between survival rates of Northern Spotted Owls and a variety of local weather variables and long-term climate variables. In four of the six populations examined, survival was positively associated with wetter than normal conditions during the growing season or high summer temperatures. At the three study areas located at the highest elevations, survival was positively associated with winter temperature but also had a negative or quadratic relation with the number of storms and winter precipitation. A meta-analysis of all six areas combined indicated that annual survival was most strongly associated with phase shifts in the Southern Oscillation and Pacific Decadal Oscillation, which reflect large-scale temperature and precipitation patterns in this region. Climate accounted for a variable amount (1–41%) of the total process variation in annual survival but for more year-to-year variation (3–66%) than did spatial variation among owl territories (0–7%). Negative associations between survival and cold, wet winters and nesting seasons were similar to those found in other studies of the Spotted Owl. The relationships between survival and growing-season precipitation and regional climate patterns, however, had not been reported for this species previously. Climate-change models for the first half of the 21st century predict warmer, wetter winters and hotter, drier summers for the Pacific Northwest. Our results indicate that these conditions could decrease Spotted Owl survival in some areas.

Oregon, Washington↗

Defining sediment handling practices to limit negative impacts to larval lampreys

Sediment manipulation activities such as dredging and restoration efforts (e.g., culvert install/repair) may disturb habitats where larval lampreys live burrowed in stream sediments. Sediment added on top of larval lamprey burrowing areas results in ‘overburden’, which poses risks of mortality from respiratory distress, reduced movement, and crushing injuries or may have sublethal effects such as changes in growth or burrowing activity. To avoid negative outcomes, larvae must be able to vertically migrate through the overburden to reach areas near the new (elevated) sediment-water interface. Current guidance on how to limit negative impacts to lampreys during sediment handling activities is limited by a lack of information on how lampreys respond to overburden. The goal of this study was to evaluate larval lamprey responses to variable overburden depths and exposure durations using two sediment types: fine (<0.250 mm) and sand (0.250 - 0.500 mm). We assessed lamprey (mix of Pacific Lamprey Entosphenus tridentatus and Lampetra spp.) survival and injury and evaluated burrowing performance as an indicator of sublethal impacts of overburden stress. We designed an experimental system using 15-cm diameter plastic tubes partitioned into sections that allowed us to describe the approximate vertical position of larval lampreys within the overburden so we could assess vertical migration ability. The tube sections were stacked in a column and secured using straps. The bottom tube section was 10 cm tall and was attached to a flat, rectangular base plate. This section was filled with sediment and lampreys at the start of a test. The middle tube sections were each 10 cm tall, with the number of sections adapted to the depth of the overburden. The top tube section was 20 cm tall to allow room for 10 cm of water over the surface of the overburden. Sampling involved removing the tubes from a holding tank and quickly separating the sections to locate lampreys and assign their position to the tube section where they were recovered. Our primary objectives for the study were to better understand how depth of overburden and exposure duration affect larval lampreys, but there was no previously published information to inform our selection of test parameters. Thus, we used a two phased approach where Phase 1 was a pre-test to help us refine appropriate treatments for Phase 2. In Phase 1 of the study, we used a constant overburden depth (50 cm) and exposure duration (24 h) to compare four sediment treatments that varied the initial burrowing sediment and the overburden sediment: fine-fine, fine-sand, sand-fine, sand-sand. In all four treatments, most lampreys vertically migrated through the overburden and were recovered in the uppermost tube section 24 h after overburden was added. There were no lamprey mortalities, few injuries, and little evidence of sublethal effects of overburden stress based on burrowing performance tests. Lampreys moved the most in the fine-sand and fine-fine treatments, so they were used for continued testing. In Phase 2 we doubled the overburden depth to 100 cm and tested extended exposure durations (1 to 4 d), and based on those results, added tests of shorter durations (1 to 8 h). Since both treatments used fine sediment for initial borrowing, these tests effectively compared fine and sand sediments as overburden. Overall for Phase 2, there were no lamprey mortalities, little evidence of sublethal effects, and 6.4% of the treatment fish were injured. Most of the injuries were mild abrasions, but some fish had serious damage such as a large gash or nearly complete bisection. We estimate that the serious injuries occurred as tube sections were separated during sampling, but the cause of the minor injuries could not be clearly ascribed to overburden stress or sampling activity. Lampreys moved to the upper sections of the tubes through 100 cm of fine and sand overburden within 1 d. Lamprey position was comparable among the 1-4 d exposures, although position was more variable at 1 d compared to 4 d. Tests of exposures less than 24 h showed that fewer than 40% of lampreys completed vertical migrations to the top of the tube after 4 h, and after 8 h the uppermost tube section contained 33% of lampreys in the sand treatment and 44% of lampreys in the fine treatment. We concluded that the minimum time needed for most lampreys to complete vertical migrations through 100 cm of overburden lies somewhere between 8 and 24 h. Lamprey size influenced recovery position in 4 and 8 h exposures to sand overburden, but not for other tests. The mean size of fish near the bottom of the tubes was significantly larger than the size of fish near the top of the tubes. To our knowledge this was the first formal study to evaluate lamprey responses to overburden. Although our test systems were imperfect simulations of natural conditions, and several questions would benefit from additional research, our findings can inform guidelines on sediment handling practices to limit negative impacts to larval lampreys.

Report↗

Aleutian Low variability for the last 7500 years and its relation to the Westerly Jet

The Aleutian Low (AL) is one of the major atmospheric systems that determines environmental conditions during winter in the North Pacific Ocean, with impacts that affect the climates of both Asia and North America from mid- to high latitudes. However, the multi-centennial and longer scale behavior of the AL during the Holocene is not fully understood. In this study, AL variability since 7.5 ka was examined by applying the principal component analysis technique to published δ 18 O data derived from sedimentary calcite, peat, ice, and speleothem from western North America. The extracted Principal Component 1 (PC1) represents a dramatic change from the mid- to late Holocene, and appears to reflect long-term intensified AL related to interactions between orbitally-driven southward shift of the Westerly Jet (WJ) over East Asia and the northwestern Pacific, and intensification of the El Niño–Southern Oscillation. In contrast, PC2 is characterized by multi-centennial to millennial-scale oscillations, with a spatial loading pattern that suggests PC2 reflects AL intensity and position shifts. These oscillations are contemporaneous with both WJ latitude and/or the meandering path shifts over East Asia and solar activity change, suggesting that a decrease/increase in solar irradiance is related to AL variability via interactions with the WJ.

Quaternary Research↗

Small atoll fresh groundwater lenses respond to a combination of natural climatic cycles and human modified geology

Freshwater lenses underlying small ocean islands exhibit spatial variability and temporal fluctuations in volume, influencing ecologic management. For example, The Palmyra Atoll National Wildlife Refuge harbors one of the few surviving native stands of Pisonia grandis in the central Pacific Ocean, yet these trees face pressure from groundwater salinization, with little basic groundwater data to guide decision making. Adding to natural complexity, the geology of Palmyra was heavily altered by dredge and fill activities. Our study based at this atoll combines geophysical and hydrological field measurements from 2008 to 2019 with groundwater modeling to study the drivers of observed freshwater lens dynamics. Electromagnetic induction (EMI) field data were collected on the main atoll islands over repeat transects in 2008 following ‘strong’ La Niña conditions (wet) and in 2016 during ‘very strong’ El Niño conditions (dry). Shallow monitoring wells were installed adjacent to the geophysical transects in 2013 and screened within the fresh/saline groundwater transition zone. Temporal EMI and monitoring well data showed a strong contraction of the freshwater lens in response to El Niño conditions, and indicated a thicker lens toward the ocean side, an opposite spatial pattern to that observed for many other Pacific islands. On an outer islet where a stand of mature Pisonia trees exist, EMI surveys revealed only a thin (<3 m from land surface) layer of brackish groundwater during El Niño. Numerical groundwater simulations were performed for a range of permeability distributions and climate conditions at Palmyra. Results revealed that the observed atypical lens asymmetry is likely due to more efficient submarine groundwater discharge on the lagoon side as a result of lagoon dredging and filling with high-permeability material. Simulations also predict large decreases (40%) in freshwater lens volume during dry cycles and highlight threats to the Pisonia trees, yielding insight for atoll ecosystem management worldwide.

Science of the Total Environment↗

Simulations of floodflows on the White River in the vicinity of U.S. Highway 79 near Clarendon, Arkansas

A two-dimensional finite-element surface-water model was used to study the effects of the proposed modification to the U.S. Highway 79 corridor on flooding on the White River near Clarendon, Arkansas. The effects of floodflows were simulated for the following scenarios: existing, natural, and four proposed bridging alternatives. All of the scenarios were modeled with floods having the 5- and 100-year recurrence intervals (115,100 and 216,000 cubic feet per second). The simulated existing conditions included a 3,200-foot White River bridge located on the east side of the study area near Clarendon, Arkansas; a 3,700-foot First Old River bridge located 0.5 mile west of the White River bridge opening; and a 1,430-foot Roc Roe Bayou bridge located 1.6 mile west of the First Old River bridge. The simulated hypothetical natural conditions involved removing the U.S. Highway 79 and the Union Pacific Railroad embankments along the entire length of the flood plain. The primary purpose of model simulations for natural conditions was to calculate backwater data for the existing and proposed conditions. The four simulated hypothetical proposed alternatives involved a 1.8-mile White River bridge located on the east side of the study area near Clarendon, Arkansas, either a 1,400-foot relief bridge (Alternative 1) or a 1,545 relief bridge (Alternatives 2-4) located 0.25 mile west of the White River bridge opening, and three different Roc Roe Bayou bridge openings ranging from 1,540-3,475 feet in length located 0.9 mile west of the relief bridge (Alternatives 1-4). Simulation of the 5-year floodflow for the existing bridge openings indicates that about 57 percent (65,600 cubic feet per second) of flow was conveyed by the White River bridge, about 26 percent (29,900 cubic feet per second) by the First Old River bridge, and about 17 percent (19,600 cubic feet per second) by the Roc Roe Bayou bridge. Maximum depth-averaged point velocities for the White River, First Old River, and Roc Roe Bayou bridges were 3.6, 1.6, and 3.3 feet per second, respectively. For the 100-year floodflow, the simulation indicates that about 56 percent (123,100 cubic feet per second) of flow was conveyed by the White River bridge, about 26 percent (56,200 cubic feet per second) by the First Old River bridge, and about 19 percent (41,000 cubic feet per second) by the Roc Roe Bayou bridge. The maximum depth-averaged point velocities for the White River, First Old River, and Roc Roe Bayou bridges were 4.2, 2.2, and 4.1 feet per second, respectively. Simulation of the 5-year floodflow for the proposed U.S. Highway 79 alignment alternatives indicates that 76-78 percent (87,100-89,900 cubic feet per second) of the flow was conveyed by the proposed White River bridge, 6-7 percent (7,000-7,500 cubic feet per second) by the proposed relief bridge, and 13-16 percent (14,600-18,600 cubic feet per second) by the proposed Roc Roe Bayou bridge. For the 100-year floodflow, simulations predicted that 70-72 percent (151,200-155,600 cubic feet per second) of the flow was conveyed by the proposed White River bridge, 9-10 percent (19,800-20,700 cubic feet per second) by the proposed relief bridge, and 14-20 percent (30,700-43,000 cubic feet per second) by the proposed Roc Roe Bayou bridge.

Water-Resources Investigations Report↗

Identifying Kittlitz's Murrelet nesting habitat in North America at the landscape scale

The Kittlitz's Murrelet ( Brachyramphus brevirostris ) is a small, non-colonial seabird endemic to marine waters of Alaska and eastern Russia that may have experienced significant population decline in recent decades, in part because of low reproductive success and terrestrial threats. Although recent studies have shed new light on Kittlitz's Murrelet nesting habitat in a few discrete areas, the location and extent of suitable nesting habitat throughout most of its range remains unclear. Here, we have compiled all existing nest records and locations to identify landscape-scale parameters (distance to coast, elevation, slope, and land cover) that provide potential nesting habitat in four regions: northern Alaska, Aleutian Islands, Alaska Peninsula Mountains and Kodiak Island, and Pacific Coastal Mountains (including nearshore interior Canada). We produced a final map classifying 12% (70,411 km 2 ) of the lands assessed as potential Kittlitz's Murrelet nesting habitat, with dense but distinct patches in northern Alaska and a more uninterrupted, narrow band extending across the Pacific Coastal Mountains, Alaska Peninsula Mountains, and Aleutian Islands. The extent of habitat-capable parameter values varied regionally, indicating that the Kittlitz's Murrelet may be able to use a variety of habitats for nesting, depending on availability. Future nesting habitat studies could employ spatially random sampling designs to allow for quantitatively robust modeling of nesting habitat and predictive extrapolation to areas where nests have not been located but likely exist.

Alaska↗

Living with a volcano in your backyard: An educator's guide with emphasis on Mount Rainier

Today&rsquo;s residents, as well as residents of centuries past, consider Mount Rainier &ldquo;the spiritual and cultural icon of the Pacific Northwest.&rdquo; As a backdrop for many of the State&rsquo;s residents, Mount Rainier offers beauty, solace, inspiration, and challenge. The mountain sets the daily mood for thousands of people who gaze at and respect it. There is no mistaking this object of admiration when people smile and remark that, &ldquo;the mountain is out!&rdquo; Yet, the origin of Mount Rainier, formed by volcanic processes and now heavily laden with snow and ice, remains an enigma to many admirers. During the 1980s, volcanologists from around the world voted Mount Rainier as one of 17 volcanoes most worthy of additional study because of the hazard potential to large population centers nearby. Subsequent research indicates that Mount Rainier, though quiet since the nineteenth century, is very much an &ldquo;active volcano&rdquo; with potential to erupt again and disrupt the life of Pacific Northwest residents. Following days to months or more of warning, Mount Rainier could erupt lava and ash and melt snow and ice to form lahars (volcanic mudflows). Or, Mount Rainier could simply warm up briefly, jolt us from our apathy, and then return to slumber for many more years. Until such time, the mountain is ours to explore. Living with a Volcano in Your Backyard&mdash;An Educator&rsquo;s Guide with Emphasis on Mount Rainier invites educators and their students to learn what scientists are discovering about Mount Rainier&rsquo;s past, to explore its slopes during this period of quiescence, and to plan future responses to volcanic unrest. Mount Rainier National Park is a unique classroom, rich in resources for observing geologic change. The park staff encourages safe and knowledgeable use by educators and students and their families. The National Park Service and the U.S. Geological Survey&rsquo;s Volcano Hazards Program (USGS-VHP) support development and publication of this educator&rsquo;s guide as part of their mission to educate the public about volcanoes. The USGS-VHP studies the dynamics of volcanoes, investigates eruption histories, develops hazard assessments, monitors volcano-related activity, and collaborates with local officials to lower the risk of disruption when volcanoes become restless.

Washington↗

Predation on juvenile pacific salmon oncorhynchus spp. in downstream migrant traps in prairie creek, california

Downstream migrant traps are a widely applied fishery management tool for sampling anadromous Pacific salmon Oncorhynchus spp. and steelhead O. mykiss smolts along theWest Coast of North America and elsewhere, yet predation on juvenile salmonids in traps has not been studied quantitatively.We assessed the frequency of occurrence and abundance of juvenile salmonids in the stomachs of coastal cutthroat trout O. clarkii clarkii, coho salmon O. kisutch, steelhead, and prickly sculpin Cottus asper (>70 mm fork length) captured in traps and in nearby stream habitats. All four predator species took juvenile salmonids with much greater frequency in traps than in stream habitats. Among free-swimming predators, only coastal cutthroat trout were observed with salmonid fry in their stomachs, but they took fewer salmonid prey and appeared to rely more heavily on insect prey than did coastal cutthroat trout captured in traps. Predators consumed up to 25% of the available prey over a broad range of prey abundances. Over the course of the study, predators consumed 2.5% of all salmonid fry captured in traps, but this fraction ranged from less than 1% to more than 10% in any given year. The number of prey taken in traps increased with predator length and with prey abundance in traps, and predation in traps peaked during the period of most intense downstream migration by salmon fry. In contrast, live-box design and trap location had little or no effect on the total number of prey taken by individual predators.We estimated that the predation mortality of juvenile salmon increased by 0.5-1.0% due to in-trap predation (i.e., a 9-10% relative increase over natural predation rates). We found no evidence that predators selected for prey on the basis of species. These results should motivate additional research on methods that reduce or eliminate predation in trap live-boxes and protocols for efficiently measuring predation associated with the trapping of downstream migrants. ?? American Fisheries Society 2011.

North American Journal of Fisheries Management↗

Diverse patterns of migratory timing, site use, and site fidelity by Alaska-breeding Whimbrels

Birds that conduct long-distance migrations exhibit varied patterns of consistency in migratory timing and site use. Understanding variation in these traits among populations can help uncover mechanisms driving migratory behaviors and identify potential population threats. Whimbrels ( Numenius phaeopus ) are long-distance migratory shorebirds with a Holarctic breeding distribution, and recent studies have documented population-specific migrations that vary in duration (short to long) and frequency of stops (none/few to multiple). Factors driving these population-specific differences are unclear. We studied the migration ecology of Whimbrels breeding in Alaska, USA, using satellite transmitters deployed from 2006 to 2010 and tracked through 2015. Whimbrels moved entirely within the Pacific Americas Flyway, and some conducted nonstop flights that exceeded seven days across ~ 8700 km. Birds dispersed across numerous sites throughout the flyway, often using agriculture or aquaculture habitats. Whimbrels generally exhibited fidelity to breeding and non-breeding sites, but typically only exhibited fidelity to staging sites used prior to long, nonstop migratory flights. The duration of migration for Whimbrels at more southern non-breeding locations was longer than for those at more northern non-breeding sites, and birds at more southern sites also terminated southbound migration later and initiated northbound migration earlier than birds at more northern sites. Alaska-breeding Whimbrels exhibited greater variation in migratory behaviors than those in other populations in the species’ range. We attribute this within-population diversity to the extensive breadth of non-breeding distributions (~ 70° latitude across ~ 8600 km), a range that naturally shaped individual responses to unequal migratory demands.

Alaska↗

An exploratory assessment of thiamine status in western Alaska Chinook salmon (Oncorhynchus tshawytscha)

This study was conducted to investigate the thiamine status of Chinook salmon Oncorhynchus tshawytscha . Egg thiamine levels in Yukon and Kuskokwim River Chinook were examined in 2001 and 2012. Muscle and liver thiamine in Chinook, coho O. kisutch , chum O. keta , and pink O. gorbuscha salmon were measured in northern Bering Sea juveniles and the percentage of the diet containing thiaminase, an enzyme that destroys thiamine, was calculated. Only 23% of the eggs were thiamine replete (> 8.0 nmol·g -1 ) in 2012. Seventy-four percent of the eggs had thiamine concentrations (1.5–8.0 nmol·g -1 ) which can lead to mortality from secondary eff ects of thiamine defi ciency. Only 3% of the eggs had < 1.5 nmol·g -1 associated with overt fry mortality. In 2001 egg thiamine in upper Yukon Chinook was 11.7 nmol·g -1 which was higher than that measured in 2012 (6.2 nmol·g -1 ) and paralleled Chinook productivity. Total thiamine (nmol·g -1 ) in Bering Sea Chinook muscle (3.8) was similar to coho (4.15), but lower than in chum (8.9) and pink salmon (9.6). Thiaminase-containing prey in Chinook (63%) and coho (36%) stomachs were elevated compared to those of chum (3%) and pink (5%) salmon. These results provide evidence of egg thiamine being less than fully replete. Thiamine deficiency was not observed in juvenile muscle tissue, but differences were present among species reflecting the percentage of diet containing thiaminase. Additional studies are recommended.

Alaska↗

Pre-restoration woody species crown and vegetation community mapping using high-resolution uncrewed aerial system imagery, Palmyra Atoll

The terrestrial management plan for Palmyra Atoll includes large-scale removal of coconut ( Cocos nucifera ) as part of native forest restoration and contaminant remediation that will leave soils and vegetation communities profoundly altered. To inform those efforts and provide baseline data for restoration monitoring, woody stem crowns and vegetation communities at Palmyra Atoll were mapped using existing datasets and manual photointerpretation of high-resolution aerial imagery collected using uncrewed aerial systems. Coconut palm, grand devil's claws ( Pisonia grandis ), and numerous other species were delineated as either individual crowns, crown portions, or species patches. The extent of land area at high tide was also delineated based on vegetation patterns, topographic indicators, and deposition lines of vegetation litter and flotsam. Finally, in a novel “bottom-up” approach to vegetation community mapping, crown maps were used to delineate U.S. National Vegetation Classification System vegetation communities and other management areas. Of the more than 44,000 mapped crowns, coconut was by far the most abundant species, comprising nearly half of the mapped stems. By establishing a quantitative baseline for current habitat conditions, this project facilitates the integration of contaminant remediation recovery activities with habitat restoration planning, implementation, and monitoring at Palmyra Atoll. Results illustrate the appropriateness of the mapping approach for plant species-level censuses and cover estimation over relatively small areas to aid in inventory and monitoring and to facilitate management planning. The relatively simple mapping methods used in this study are appropriate for resource managers with limited human and computational resources to support automated mapping.

Pacific Science↗

Element dispersion in alluvium covering gold deposits east of the Osgood Mountains, Getchell Trend, Humboldt County, Nevada: slides and text of a talk given at the Association of Exploration Geochemists' 15th International Geochemical Exploration Symposium, Reno, Nevada

The current trend in mineral exploration is to search for covered deposits. In the Great Basin, this translates into searching for ore bodies buried by alluvial cover. The exploration techniques used range from random drilling to the use of new and exciting geochemical sampling media and analytical methods. But we have a problem. Many of our geochemical techniques lack a conceptual basis (We tried it and it worked) or the original conceptual basis is now suspect (The method also works when it shouldn't). What we need is a basic understanding of what is going on in the alluvium -- the third dimension. The discovery and development of the alluvium-covered, disseminated gold deposits at Rabbit Creek, Chimney Creek, and Pinson provides us with an opportunity to gain some knowledge of the dispersion of elements in the third dimension. The work presented here is one part of a larger multi-disciplinary study of the Kelly Creek Valley by the U.S. Geological Survey in cooperation with FirstMiss Gold, Inc., Gold Fields Mining Corporation, Pinson Mining Company, and Santa Fe Pacific Mining, Inc.

Nevada↗

Modeling the Effects of Fire Frequency and Severity on Forests in the Northwestern United States

This study used a model of forest dynamics (FORCLIM) and actual forest survey data to demonstrate the effects of various fire regimes on different forest types in the Pacific Northwest. We examined forests in eight ecoregions ranging from wet coastal forests dominated by Pseudotsuga menziesii and other tall conifers to dry interior forests dominated by Pinus ponderosa. Fire effects simulated as elevated mortality of trees based on their species and size did alter forest structure and species composition. Low frequency fires characteristic of wetter forests (return interval >200 yr) had minor effects on composition. When fires were severe, they tended to reduce total basal area with little regard to species differences. High frequency fires characteristic of drier forests (return interval <30 yr) had major effects on species composition and on total basal area. Typically, they caused substantial reductions in total basal area and shifts in dominance toward highly fire tolerant species. With the addition of fire, simulated basal areas averaged across ecoregions were reduced to levels approximating observed basal areas.

Scientific Investigations Report↗

United States streamflow probabilities and uncertainties based on anticipated El Niño, water year 2003

During the course of spring and summer 2002, tropical sea-surface temperatures in the eastern Pacific Ocean have warmed and the wind and pressure fields have shifted, so that by August, there was considerable confidence that water year (October&ndash;September) 2003 will be characterized by a weak to mild El Ni&ntilde;o climate (http://iri.columbia.edu/climate/ENSO/currentinfo/archive/200208/QuickLook.html). At the same time, the Pacific Decadal Oscillation pattern of sea-surface temperatures in the North Pacific (Mantua et al., 1997) has shifted towards a more neutral state than in the past several years and will not be considered in detail here. Previous studies of the connections between El Ni&ntilde;os and streamflow in the United States by the authors (e.g., Redmond and Koch, 1991; Cayan and Webb, 1992; Cayan et al., 1999; Dettinger et al., 2001) indicate that El Ni&ntilde;o conditions influence historical streamflow distributions to varying extents. These conclusions, along with those of other researchers, suggest that foreknowledge of El Ni&ntilde;o conditions can inform seasonal outlooks for streamflows throughout the Americas and elsewhere. For example, Dettinger et al. (2001), as distilled here into Fig. 1, showed that historical annual streamflow totals have correlated negatively with the Southern Oscillation Index (SOI, which is negatively associated with El Ni&ntilde;os) in the U.S. Southwest as well as in the subtropics of South America, and correlate positively in the U.S. Northwest, in much of tropical South America, and, perhaps, in southernmost South America. These interhemispheric bands of El Ni&ntilde;o influence are a matter of considerable concern for water- and land-managers throughout the Americas, and expand upon results from previous studies in the western United States (e.g., Redmond and Koch, 1991; Cayan and Webb, 1992), including a recent analysis by Pizarro and Lall (2002), where water availability and hydrologic extremes are particularly pressing issues.

Experimental Long-Lead Forecast Bulletin↗

Biochemical characterization of the eelgrass Zostera marina at its southern distribution limit in the North Pacific

The eelgrass Zostera marina L. is distributed along the Baja California Peninsula (Mexico) where it is exposed to a wide range of irradiances and temperatures that could promote changes in its biochemical composition. Consequently, the objective of this study was to characterize the variations in the levels of chlorophyll, carbohydrates, proteins, fiber, ash and calories in the shoots of Z. marina from the north (San Quintin) and south (Ojo de Liebre and San Ignacio lagoons) of the peninsula. Temperature in the southern lagoons was 5-6??C higher than in the northern lagoon; likewise, in situ irradiance was two-fold greater in the south than in the north. As a result of the lower irradiance levels, the concentration of chlorophyll in the shoots of Z. marina was twice as high (1.7 mg gWW-1) in the northern lagoon than in the southern ones (0.8 mg gWW-1). Similar to chlorophyll levels, the concentration of soluble carbohydrates in the shoots was greater in the northern lagoon than in the southern ones, suggesting that the high levels of chlorophyll are enough to compensate for the low irradiance levels and to maintain a positive carbon balance at San Quintin. On the other hand, the levels of proteins in the shoots from the north of the peninsula were slightly lower than those from the southern populations. In general, these results suggest that the different environmental conditions to which Z. marina is exposed along the peninsula impact its biochemical composition.

Ciencias Marinas↗

Petrology and geochemistry of primitive lower oceanic crust from Pito Deep: Implications for the accretion of the lower crust at the Southern East Pacific Rise

A suite of samples collected from the uppermost part of the plutonic section of the oceanic crust formed at the southern East Pacific Rise and exposed at the Pito Deep has been examined. These rocks were sampled in situ by ROV and lie beneath a complete upper crustal section providing geological context. This is only the second area (after the Hess Deep) in which a substantial depth into the plutonic complex formed at the East Pacific Rise has been sampled in situ and reveals significant spatial heterogeneity in the plutonic complex. In contrast to the uppermost plutonic rocks at Hess Deep, the rocks studied here are generally primitive with olivine forsterite contents mainly between 85 and 88 and including many troctolites. The melt that the majority of the samples crystallized from was aggregated normal mid-ocean ridge basalt (MORB). Despite this high Mg# clinopyroxene is common despite model predictions that clinopyroxene should not reach the liquidus early during low-pressure crystallization of MORB. Stochastic modeling of melt crystallisation at various levels in the crust suggests that it is unlikely that a significant melt mass crystallized in the deeper crust (for example in sills) because this would lead to more evolved shallow level plutonic rocks. Similar to the upper plutonic section at Hess Deep, and in the Oman ophiolite, many samples show a steeply dipping, axis-parallel, magmatic fabric. This suggests that vertical magmatic flow is an important process in the upper part of the seismic low velocity zone beneath fast-spreading ridges. We suggest that both temporal and spatial (along-axis) variability in the magmatic and hydrothermal systems can explain the differences observed between the Hess Deep and Pito Deep plutonics. ?? Springer-Verlag 2007.

Contributions to Mineralogy and Petrology↗

Neogene biostratigraphy and paleoenvironments of Enewetak Atoll, equatorial Pacific Ocean

Micropaleontologic analyses of Neogene sediments from Enewetak Atoll, Marshall Islands, provide data on the age of lagoonal deposits, stratigraphic disconformities and the paleoenvironmental and subsidence history of the atoll. Benthic foraminifers, planktic foraminifers, calcareous nannofossils and ostracodes were studied from six boreholes, the deepest penetrating 1605 feet below the lagoon floor into upper Oligocene strata. The Oligocene-Miocene boundary occurs at about 1200 ft below the lagoon floor. The early and middle Miocene is characterized by brief periods of deposition and numerous hiatuses. Ostracodes and benthic foraminifers indicate a shallow-marine reefal environment with occasional brackish water conditions. Upper Miocene and lower Pliocene deposits placed in calcareous nannofossil Zones NN9-15 and in planktic foraminifer Zones N16-19 contain species-rich benthic microfaunas which indicate alternating reefal and brackish water mangrove environments. The upper Pliocene contains at least two major depositional hiatuses that coincide with a major faunal turnover in benthic foraminiferal and ostracode assemblages. The Quaternary is characterized by benthic microfaunas similar to those of modern atoll lagoons and is punctuated by at least 11 disconformities which signify periods of low sea level. Atoll subsidence rates during the last 10 Ma averaged 30 to 40 m/m.y. ?? 1991 Elsevier Science Publishers B.V. All rights reserved.

Marine Micropaleontology↗