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At least 793 records · Page 44Linked to original sources

Simulation of regional groundwater flow and advective transport of per- and polyfluoroalkyl substances, Joint Base McGuire-Dix-Lakehurst and vicinity, New Jersey, 2018

A three-dimensional numerical model of groundwater flow was developed and calibrated for the unconsolidated New Jersey Coastal Plain aquifers underlying Joint Base McGuire-Dix-Lakehurst (JBMDL) and vicinity, New Jersey, to evaluate groundwater flow pathways of per- and polyfluoroalkyl substances (PFAS) contamination associated with use of aqueous film forming foam (AFFF) at the base. The regional subsurface flow model spans an area of approximately 518 square miles around JBMDL and is based on a previously developed hydrogeologic framework of the area. Steady-state flow in the unconsolidated aquifers was simulated using the MODFLOW 6 groundwater flow model, which is able to account for hydrostratigraphic pinchouts and discontinuities in the Coastal Plain aquifers underlying JBMDL. To account for local patterns of fluid flow driving advective subsurface migration of PFAS, the grid was refined using quadtree meshes spanning 21 areas where historical AFFF use was identified, five off-site reconnaissance areas identified by AFCEC as areas in which the occurrence of PFAS is most likely to pose a potential danger to local drinking water supplies, and along streams that behave as drains in the base-flow-dominated Coastal Plain. Following grid refinement, four physical processes known to govern subsurface flow were introduced to the model. These included effective precipitation recharge, discharge to streams and stream-connected wetlands, regional inflows and outflows along the model bottom, and withdrawals from wells, each of which were incorporated into the model as either external or internal boundary conditions. To account for effective precipitation recharge, a specified-flow boundary was assigned along the top of the model. Similarly, regional flows predicted using the modified U.S Geological Survey’s New Jersey Coastal Plain Regional Aquifer System Analysis model were treated as specified-flow boundary conditions along the bottom of the model. Base-flow losses were treated as drains along streams delineated using a 10-foot LiDAR dataset. Drains were also assigned to cells falling within stream-connected National Hydrologic Database wetlands. Finally, well-pumpage data mined from the New Jersey Water Transfer database were added to the model to account for extraction of groundwater through pumping from industrial-supply and drinking-water-supply wells. Along model edges established at groundwater divides, where the net flux of water across the boundary is equal to zero, natural no-flow boundary conditions were imposed. The refined flow model was calibrated using the parameter-estimation (PEST) program, which adjusts model parameters by performing a gradient search over the sum-of-squared-error objective function until the parameter set that produces simulated water levels and base flows most closely matches 544 water levels and 20 estimated base flows and closely adheres to initial parameter estimates. Based on the analysis of calibration residuals, the model did not appear to be affected by significant model structural error. The MODPATH particle-tracking algorithm was used to estimate advective transport paths of PFAS in the vicinity of JBMDL. Forward tracking was used to determine paths of PFAS away from AFFF source areas to streams, wetlands, pumping wells, and geographic areas that PFAS may contaminate. Additionally, reverse tracking was used to determine particle pathlines away from off-site PFAS reconnaissance areas, or areas within which all sources of PFAS might be advectively transported into subsurface drinking-water supplies, to locations at land surface that may indicate a source of PFAS. The coupled and calibrated groundwater flow and particle-tracking transport model provide valuable tools for predicting the relative extent of PFAS contamination from onsite legacy source areas. The calibrated model also provides measures of water-level and base-flow observation influence that can help guide future data-collection efforts related to groundwater and surface water sampling for PFAS.

New Jersey↗

Environmental issues associated with fossil fuel resources; an evaluation of research opportunities for the U.S. Geological Survey's Energy Resources Program

Fossil fuel consumption in the United States has nearly tripled within the last 50 years (fig. 1), and is expected to continue increasing. As our knowledge and awareness of environmental consequences related to fossil fuel extraction and use grow, we as a nation, face the challenge of balancing our energy requirements with a desire for environmentally cleaner fuel. To help meet this challenge, the Energy Resources Program (ERP) of the Geologic Division (GD), U.S. Geological Survey (USGS) sponsored three internal workshops and a World Wide Web (WWW) workshop. The primary goal of these workshops was to identify those environmental issues that are related to fossil fuels, are national in scope, and are within the purview of the USGS as an earth-science government agency. Those issues so identified will be prioritized according to ERP's future research plan and according to the extent they provide an environmental framework for ERP's petroleum and coal assessments. The purpose of this paper is to provide the results of the internal and WWW workshops as proposed topics of research for future ERP work, delineate studies to answer the questions related to each proposed research area, and link the studies to the seven science goals of the Geologic Division. The information provided herein will be used in preparing the USGS Geologic Division's FY2000 prospectus and ERP's next five-year strategic plan. Acknowledgements. The authors wish to acknowledge information on ERP environmental projects provided by Les Magoon, Paul Lillis, Keith Kvenvolden, Tom Lorenson, and Bob Rosenbauer. Peter Schweitzer was instrumental in providing the software for the WWW workshop, Cheryl Adkisson for constructing the workshop web pages, and Laura Friedrich for constructing the web pages summarizing the internal workshops. Stan Mroczkowski, Jim Otton, Donna Read, and Dorothy Tanti provided notes of or logistical assistance for the internal workshops. This report reflects the collective input of numerous USGS managers and scientists their participation in the workshops is greatly appreciated.

Open-File Report↗

Perspectives on equitable co-production workshop report

The co-production of knowledge is increasingly recognized as an approach to conducting research intended to achieve a societal impact. In this study, we used a broad definition of co-production, defining it as “a process that brings together diverse groups to iteratively create new knowledge and practices (1).” However, co-production has been defined and conceptualized in a variety of ways (2,3), across multiple domains, including public administration, conservation, health, education, and climate change. Theoretical definitions have been introduced by scholars like Jasanoff (4) and Ostrom (5), but definitions can also be grounded in practice (6). For example, unique definitions of co-production have been advanced for work with Arctic Indigenous Peoples (7), in the context of resource management (8), and for a specific program (9). Other similar processes of engagement, such as community-based participatory research (10), action research (11), civic science (12), community science (13), and post-normal science (14) may have overlap with the concept of co-production and have been used to describe similar processes of collaboration. These distinctions and varying definitions have been discussed extensively elsewhere (see Mach et al. 2020, Wyborn et al. 2019). In the context of co-production, power plays a crucial role in shaping interactions and outcomes. Some scholars and practitioners explicitly consider power dynamics as a central element in their definitions of co-production, recognizing how power imbalances can affect participation, decision-making, and the distribution of benefits. Others, however, might not emphasize power as prominently, focusing more on the collaborative aspects without explicitly addressing the underlying power structures. This leads to divergent objectives and priorities among projects claiming to be co-produced (2,3, 6). Chambers and colleagues (2) discussed how co-production projects in the context of sustainability usually emphasize one or more of six different goals, including: researching solutions, empowering voices, brokering power, reframing power, navigating differences, and reframing agency. Because power dynamics are inherent in co-production (15), equity dimensions should be considered in these definitions and conceptualizations. Yet, in the context of government or academically led climate change research and programs, equity is a relatively new focus, even among programs that have been engaging a co-production approach for decades (9). Alternatively, in some recent work the concept of equity in co-production is explicit, but it has only been considered in a limited context (7). Here, we present a discussion about co-production that is informed by research, practice, and community perspectives across partnerships from a range of regions and topics. We are specifically interested in how different actors in these projects think about equity and work towards more equitable approaches in the context of their co-production work. This understanding is needed, as the federal government has increasingly focused on co-production approaches in the design of their programs and funding calls, and most recently the Biden administration has called on federal agencies to more intentionally center equity for underserved groups of people in their work (16). Furthermore, with the Biden administration’s focus on environmental and climate justice, the opportunity for researchers and their societal partners to engage in co-production is expanding. Numerous programs within federal agencies have embraced a co-production approach, such as the National Oceanic and Atmospheric Administration (NOAA) Climate Adaptation Partnerships (CAP; formerly called the Regional Integrated Sciences and Assessments or RISA program) (9,17), Department of the Interior (DOI) Climate Adaptation Science Centers (CASCs)(18), and the US Department of Agriculture (USDA) Climate Hubs. However, the actual implementation of co-production processes varies significantly (1,19), with multiple implications for the design of equitable partnerships. Researchers, their partners, and funders have frequently cited many tensions and challenges in the successful implementation of co-production, including higher resource demands and few systemic structures for support (20). Practically implementing co-production, especially with people who have been underrepresented in or historically excluded from research activities, must consider fairness and the accessibility of co-production processes. While co-production is often cited as important for environmental governance, issues like power and equity are infrequently addressed (15). To explore this topic, we identified and studied three projects that centered on equity in co-production from three federal climate programs (CASC, CAP, USDA Climate Hubs) in three different regions of the U.S. (Alaska, Northeast, Southeast). We aimed to identify consensus or divergence in perspectives related to equitable co-production processes to elevate effective practices and link co-production research and practice. Findings from interviews and a survey (explained further in Akerlof et al., 2023) informed a twoday hybrid workshop involving participants from the three case studies, as well as individuals representing research, governmental, non-governmental, and community organizations across the United States. Participants also included scholars of co-production, program coordinators, and people who participated in co-production projects on behalf of their communities. Several boundary spanners, those practitioners who work at the intersection of the production and use of science (21,22), also attended the workshop. The goals of the workshop were to discuss and build on what was learned from the three case studies, discuss the three distinct perspectives on equitable co-production that emerged from the pre-workshop research, and draft a framework for equitable co-production processes. During the workshop, participants considered the three perspectives on equitable co-production, defining equitable co-production for each and discussing the practical implications of each, including barriers and priorities for overcoming them. We aimed to address the question: How can federal climate programs support equitable co-production processes?

Report↗

Geomorphic analysis of the river response to sedimentation downstream of Mount Rainier, Washington

A study of the geomorphology of rivers draining Mount Rainier, Washington, was completed to identify sources of sediment to the river network; to identify important processes in the sediment delivery system; to assess current sediment loads in rivers draining Mount Rainier; to evaluate if there were trends in streamflow or sediment load since the early 20th century; and to assess how rates of sedimentation might continue into the future using published climate-change scenarios. Rivers draining Mount Rainier carry heavy sediment loads sourced primarily from the volcano that cause acute aggradation in deposition reaches as far away as the Puget Lowland. Calculated yields ranged from 2,000 tonnes per square kilometer per year [(tonnes/km 2 )/yr] on the upper Nisqually River to 350 (tonnes/km 2 )/yr on the lower Puyallup River, notably larger than sediment yields of 50–200 (tonnes/km2)/yr typical for other Cascade Range rivers. These rivers can be assumed to be in a general state of sediment surplus. As a result, future aggradation rates will be largely influenced by the underlying hydrology carrying sediment downstream. The active-channel width of rivers directly draining Mount Rainier in 2009, used as a proxy for sediment released from Mount Rainier, changed little between 1965 and 1994 reflecting a climatic period that was relatively quiet hydrogeomorphically. From 1994 to 2009, a marked increase in geomorphic disturbance caused the active channels in many river reaches to widen. Comparing active-channel widths of glacier-draining rivers in 2009 to the distance of glacier retreat between 1913 and 1994 showed no correlation, suggesting that geomorphic disturbance in river reaches directly downstream of glaciers is not strongly governed by the degree of glacial retreat. In contrast, there was a correlation between active-channel width and the percentage of superglacier debris mantling the glacier, as measured in 1971. A conceptual model of sediment delivery processes from the mountain indicates that rockfalls, glaciers, debris flows, and main-stem flooding act sequentially to deliver sediment from Mount Rainier to river reaches in the Puget Lowland over decadal time scales. Greater-than-normal runoff was associated with cool phases of the Pacific Decadal Oscillation. Streamflow-gaging station data from four unregulated rivers directly draining Mount Rainier indicated no statistically significant trends of increasing peak flows over the course of the 20th century. The total sediment load of the upper Nisqually River from 1945 to 2011 was determined to be 1,200,000±180,000 tonnes/yr. The suspended-sediment load in the lower Puyallup River at Puyallup, Washington, was 860,000±300,000 tonnes/yr between 1978 and 1994, but the long-term load for the Puyallup River likely is about 1,000,000±400,000 tonnes/yr. Using a coarse-resolution bedload transport relation, the long-term average bedload was estimated to be about 30,000 tonnes/yr in the lower White River near Auburn, Washington, which was four times greater than bedload in the Puyallup River and an order of magnitude greater than bedload in the Carbon River. Analyses indicate a general increase in the sediment loads in Mount Rainier rivers in the 1990s and 2000s relative to the time period from the 1960s to 1980s. Data are insufficient, however, to determine definitively if post-1990 increases in sediment production and transport from Mount Rainier represent a statistically significant increase relative to sediment-load values typical from Mount Rainier during the entire 20th century. One-dimensional river-hydraulic and sediment-transport models simulated the entrainment, transport, attrition, and deposition of bed material. Simulations showed that bed-material loads were largest for the Nisqually River and smallest for the Carbon River. The models were used to simulate how increases in sediment supply to rivers transport through the river systems and affect lowland reaches. For each simulation, the input sediment pulse evolved through a combination of translation, dispersion, and attrition as it moved downstream. The characteristic transport times for the median sediment-size pulse to arrive downstream for the Nisqually, Carbon, Puyallup, and White Rivers were approximately 70, 300, 80, and 60 years, respectively.

Washington↗

Down to Earth with nuclear electromagnetic pulse: Realistic surface impedance affects mapping of the E3 geoelectric hazard

An analysis is made of Earth-surface geoelectric fields and voltages on electricity transmission power-grids induced by a late-phase E3 nuclear electromagnetic pulse (EMP). A hypothetical scenario is considered of an explosion of several hundred kilotons set several hundred kilometers above the eastern-midcontinental United States. Ground-level E3 geoelectric fields are estimated by convolving a standard parameterization of E3 geomagnetic field variation with magnetotelluric Earth-surface impedance tensors derived from wideband measurements acquired across the study region during a recent survey. These impedance tensors are a function of subsurface three-dimensional electrical conductivity structure. Results, presented as a movie-map, demonstrate that localized differences in surface impedance strongly distort the amplitude, polarization, and variational phase of induced E3 geoelectric fields. Locations with a high degree of E3 geoelectric polarization tend to have high geoelectric amplitude. Uniform half-space models and one-dimensional, depth-dependent models of Earth-surface impedance, such as those widely used in government and industry reports informing power-grid vulnerability assessment projects, do not provide accurate estimates of the E3 geoelectric hazard in complex geological settings. In particular, for the Eastern-Midcontinent, half-space models can lead to (order-one) overestimates/underestimates of EMP-induced geovoltages on parts of the power grid by as much as 1,000 volts (a range of 2,000 volts)—comparable to the amplitudes of the geovoltages themselves.

Earth and Space Sciences↗

Joint Agency Commercial Imagery Evaluation (JACIE)

Remote sensing data are vital to understanding the physical world and to answering many of its needs and problems. The United States Geological Survey's (USGS) Remote Sensing Technologies (RST) Project, working with its partners, is proud to sponsor the annual Joint Agency Commercial Imagery Evaluation (JACIE) Workshop to help understand the quality and usefulness of remote sensing data. The JACIE program was formed in 2001 to leverage U.S. Federal agency resources for the characterization of commercial remote sensing data. These agencies sponsor and co-chair JACIE: U.S. Geological Survey (USGS) National Aeronautics and Space Administration (NASA) National Geospatial-Intelligence Agency (NGA) U.S. Department of Agriculture (USDA) JACIE is an effort to coordinate data assessments between the participating agencies and partners and communicate the knowledge and results of the quality and utility of the remotely sensed data available for government and private use.

Fact Sheet↗

Life zone investigations in Wyoming

Wyoming is among the foremost of our States in its wealth of natural scenery, culminating in the grandeur of Yellowstone National Park, one of the wonders of the world. In addition to this distinction it posseses vast open plains and lofty mountains whence flow the headwaters of mighty river systems emptying far away to the west into the Pacific Ocean, to the southeast into the Gulf of Mexico, and to the southwest into the Gulf of California. The various slope exposures of its mountain ranges, the fertility of its intervening valleys or basins, and the aridity of its desert spaces present a study of geographic and vertical distribution of wild life that is in many particulars unique. The study of geographic and vertical distribution of life with the governing factors and attendant problems is valuable as a matter of scientific research and in the attainment of practical knowledge. The Biological Survey has been making detailed investigations of the transcontinental life belts, or zones, of North America for some years, and this work has been carried on with special reference to their practical value. It has become increasingly evident that life zones furnish a fairly accurate index to average climatic conditions and, therefore, are useful as marking the limits of agricultural possibilities, so far as these are dependent upon climate. The knowledge thus gained has been published and made available as the investigations have progressed and the life zones have been mapped. 1

North American Fauna↗

Using ensemble data assimilation to estimate transient hydrologic exchange flow under highly dynamic flow conditions

Quantifying dynamic hydrologic exchange flows (HEFs) within river corridors that experience high-frequency flow variations caused by dam regulations is important for understanding the biogeochemical processes at the river water and groundwater interfaces. Heat has been widely used as a tracer to infer steady-state flow velocities through analytical solutions of heat transport defined by the diurnal temperature signals. Under sub-daily dynamic flow conditions, however, such analytical solutions are not applicable due to the violation of their fundamental assumptions. In this study, we developed a data assimilation-based approach to estimate the sub-daily flux under highly dynamic flow conditions using multi-depth temperature observations at a 5-min resolution. If the hydraulic gradient is measured, Darcy's law was used to calculate the flux with permeability estimated from temperature responses below the riverbed. Otherwise, flux was estimated directly by assimilating multi-depth temperature data at 1- or 2-hr time intervals assuming one-dimensional flow and heat transport governing equation. By comparing estimated fluxes with model-generated synthetic truth, we demonstrated that both schemes have robust performance in estimating fluxes under highly dynamic flow conditions. This data assimilation-based flux estimation method was able to capture the vertical sub-daily fluxes using multi-depth high-resolution temperature data alone, even in the presence of multi-dimensional flow. This approach has been successfully applied to real field temperature data collected at the Hanford site, which experiences highly dynamic HEFs. Our study shows the promise of adopting distributed 1-D temperature monitoring to capture spatial and temporal exchange dynamics in river corridors at a watershed scale or beyond.

Washington↗

Science and innovation for battling invasive carp

The U.S. Geological Survey (USGS) is the Federal Government’s independent research agency that conducts research to inform management of invasive species. Bighead, black, grass, and silver carp, which are native to China, were originally stocked in aquaculture facilities to control algae, snails, and vegetation. These species have invaded the Mississippi River and are now established throughout the lower and middle Mississippi River Basins and some of its large tributaries where they damage ecosystems and harm economies. A reproducing population of grass carp in Lake Erie is a risk to the $7 billion Great Lakes fishery. The USGS is leading research efforts on risk assessment and on early detection of new invasions. The USGS is also developing and evaluating harvest methods, barriers and deterrents, and baits/attractants to provide Federal and State management agencies the tools needed to manage and reduce populations of these species.

Alabama, Arkansas, Illinois, Indiana, Iowa, Kansas↗

Recent trends in the nonfuel minerals industry of Iran

Summary In response to the recent removal of international sanctions on Iran, including the lifting of “secondary” sanctions by the United States on investment into and trade with Iran, the U.S. Geological Survey National Minerals Information Center compiled and analyzed available information on the current state of Iran’s nonfuel minerals industry. This Circular features a new map and table that identify existing mines and mineral-processing facilities and provide information on location, ownership, and capacity for metals and industrial minerals whose output levels may substantially change in the near future. Additionally, the report covers Iran’s mineral resources and reserves, official mineral production targets for 2025, and current output and share of global mineral production. Recent trends and developments in individual mineral commodities are discussed, including mineral exploration and partnerships with foreign investors. The U.S. Geological Survey estimated that Iran held globally significant reserves of feldspar (2d largest in the world), barite (5th largest), gypsum (5th largest), fluorspar (8th largest), and iron ore (10th largest). The Government of Iran claimed to also have significant reserves of chromium, copper, gold, manganese, phosphate rock, and zinc. In 2014, Iran was the second-leading producer of gypsum and the sixth-leading producer of barite, with 6.1 percent and 3.6 percent of world output, respectively. Iran was also the world’s 7th-leading producer of cement, feldspar, and fluorspar; 8th-leading producer of bentonite; 9th-leading producer of molybdenum; 11th-leading producer of iron ore; and 14th-leading producer of crude steel. The Government of Iran plans to quadruple the output of aluminum, copper cathode, direct-reduced iron, and iron ore pellets; triple that of crude steel and gold; and double that of cement, pig iron, and zinc by 2025. It also plans to double the contribution of mining and to quadruple that of mineral processing to the national economy in the next decade. In order to achieve these major goals, the construction and expansion of several mines and mineral facilities are planned or under development. Whether Iran’s annual mineral production increases as rapidly as envisioned by the Government will depend largely on the amount of foreign investment into the minerals industry; integration of modern technology into mineral facilities; and availability of energy to aluminum, copper, and steel plants at competitive prices to international investors.

Circular↗

Opportunities for businesses to use and support development of SEEA-aligned natural capital accounts

Global understanding of the interconnections between the environment and economy has increased, driving the development of frameworks and standards that support the measurement and valuation of natural capital and ecosystem services by both governments and businesses. This paper outlines how businesses can use natural capital accounts (NCA) aligned to the System of Environmental Economic Accounting (SEEA) standard described in this special issue to support identification, management, and valuation of natural capital not typically listed on corporate balance sheets. Such accounts have direct applications for business strategic planning, investment decisions, supply chain management , operations management, risk management, and corporate reporting. Businesses also have important roles to play in advancing SEEA-aligned NCA by providing information that would be useful to include in the accounts and by helping to shape accounts to provide decision-relevant information for both the private and the public sectors. Current pilot SEEA-aligned NCA data and analyses developed for the United States can help address some of the common challenges that businesses face in using natural capital data such as accessibility, quality, and credibility, important for business decision making. However, improvements are needed to fill data gaps and produce more frequent and timely estimates aligned to the temporal resolution needed by businesses.

Ecosystem Services↗

Coastal classification atlas: South Texas coastal classification maps: Mansfield Channel to the Rio Grande

The Nation's rapidly growing coastal population requires reliable information regarding the vulnerability of coastal regions to storm impacts. This has created a need for classifying coastal lands and evaluating storm-hazard vulnerability. Government officials and resource managers responsible for dealing with natural hazards also need accurate assessments of potential storm impacts in order to make informed decisions before, during, and after major storm events. Both economic development and coastal-damage mitigation require integrated models of storm parameters, hazard vulnerability, and expected coastal responses. Thus, storm-hazard vulnerability assessments constitute one of the fundamental components of forecasting storm impacts. Each year as many as 10 to 12 hurricanes and tropical storms will be the focus of national attention. Of particular interest are intense hurricanes (Categories 3 to 5 of the Saffir-Simpson Hurricane Scale) that have the potential to cause substantial economic and environmental damage to the Atlantic and Gulf Coasts of the United States. These coastal regions include some of the largest metropolitan areas in the country and they continue to experience rapid population growth. Based on media reports, there is a general lack of public knowledge regarding how different coastal segments will respond to the same storm or how the same coastal segment will respond differently depending on storm conditions. A primary purpose of the USGS National Assessment of Coastal Change Project is to provide accurate representations of pre-storm ground conditions for areas that are designated high priority because they have dense populations or valuable resources that are at risk. A secondary purpose is to develop a broad coastal classification that, with only minor modification, can be applied to most coastal regions in the United States.

Texas↗

Geologic information for aggregate resource planning

Construction and maintenance of the infrastructure is dependent on such raw materials as aggregate (crushed stone, sand, and gravel). Despite this dependence, urban expansion often works to the detriment of the production of those essential raw materials. The failure to plan for the protection and extraction of aggregate resources often results in increased consumer cost, environmental damage, and an adversarial relation between the aggregate industry and the community. As an area grows, the demand for aggregate resources increases, and industries that produce these materials are established. Aggregate is a low-cost commodity, and to keep hauling costs at a minimum, the operations are located as close to the market as possible. As metropolitan areas grow, they encroach upon established aggregate operations. New residents in the vicinity of pits and quarries object to the noise, dust, and truck traffic associated with the aggregate operation. Pressure is applied to the local government to limit operation hours and truck traffic. In addition to encroaching on established aggregate operations, urban growth commonly covers unmined aggregate resources. Frequently urban growth occurs without any consideration of the resource or an analysis of the impact of its loss. The old idea that aggregate resources can be found anywhere is false. New aggregate operations may have to be located long distances from the markets. The additional expense of the longer transport of resources must be passed on to consumers in the community. In many instances, the new deposit is of inferior quality compared with the original source, yet it is used to avoid the expense of importing high-quality material from a more-distant source. Some governmental, including city, provincial or state, and national, agencies, have enacted regulations to help maintain access to prime aggregate resources. Although regulations have met with variable success, some policy or regulation to protect aggregate resources is worth consideration. A basic requirement of any aggregate resource policy or regulation is the knowledge of the geographic distribution, volumes, and quality of aggregate resources. This knowledge commonly is obtained through geologic mapping and characterization of aggregate resources. Geographic Information Systems (GIS) and Decision Support Systems (DSS) provide excellent tools to help present and evaluate the information in a manner that is understandable by public decisionmakers.

Book chapter↗

Nutrients in the nexus

Synthetic nitrogen (N) fertilizer has enabled modern agriculture to greatly improve human nutrition during the twentieth century, but it has also created unintended human health and environmental pollution challenges for the twenty-first century. Averaged globally, about half of the fertilizer-N applied to farms is removed with the crops, while the other half remains in the soil or is lost from farmers’ fields, resulting in water and air pollution. As human population continues to grow and food security improves in the developing world, the dual development goals of producing more nutritious food with low pollution will require both technological and socio-economic innovations in agriculture. Two case studies presented here, one in sub-Saharan Africa and the other in Midwestern United States, demonstrate how management of nutrients, water, and energy is inextricably linked in both small-scale and large-scale food production, and that science-based solutions to improve the efficiency of nutrient use can optimize food production while minimizing pollution. To achieve the needed large increases in nutrient use efficiency, however, technological developments must be accompanied by policies that recognize the complex economic and social factors affecting farmer decision-making and national policy priorities. Farmers need access to affordable nutrient supplies and support information, and the costs of improving efficiencies and avoiding pollution may need to be shared by society through innovative policies. Success will require interdisciplinary partnerships across public and private sectors, including farmers, private sector crop advisors, commodity supply chains, government agencies, university research and extension, and consumers.

Journal of Environmental Studies and Sciences↗

Some relations between ground‐water hydrology and oceanography

In many areas along the sea-coasts of the world the water-supply for human use is derived largely, and in some areas wholly, from underground sources. Because of the proximity to the ocean in these areas, in some respects the geologic and hydrologic conditions that govern the occurrence and movement of ground-water are quite different from those in inland areas, and to properly interpret them the ground-water hydrologist must avail himself of facts developed by the oceanographer. These conditions are encountered in a marginal zone that in different localities may extend only a few feet or many miles inland from the coast, and presumably for greater or less distances out beneath the ocean. These special conditions have been recognized and extensively studied for many years, for example, in the lowland-area of Holland that lies between the Zuider Zee and the North Sea, and on Long Island, New York. Within recent years more or less attention has been given to these conditions in many of the coastal states of the United States, and in the Hawaiian Islands and Cuba. It is the purpose of this statement to indicate some of the problems of groundwater hydrology that are related to oceanography.

Eos, Transactions, American Geophysical Union↗

Triangle area water supply monitoring project, North Carolina-Summary of monitoring activities, quality assurance, and data, October 2015–September 2017

Surface-water supplies are important sources of drinking water for residents in the Triangle area of North Carolina, which is located within the upper Cape Fear and Neuse River Basins. Since 1988, the U.S. Geological Survey and a consortium of local governments have tracked water-quality conditions and trends in several of the area’s water-supply lakes and streams. This report summarizes data collected through this cooperative effort, known as the Triangle Area Water Supply Monitoring Project, during October 2015 through September 2016 (water year 2016) and October 2016 through September 2017 (water year 2017). Major findings for this period include the following: More than 5,000 individual measurements of water quality were made at a total of 20 sites—7 in the Neuse River Basin and 13 in the Cape Fear River Basin. Only the measurements from the photic zone and 1 meter below the water surface are documented in this report. Twenty-nine water-quality properties or constituents are presented in this report; State water-quality thresholds exist for 11 of these. All observations met State water-quality thresholds for hardness, chloride, fluoride, sulfate, and nitrate plus nitrite. North Carolina water-quality thresholds were exceeded one or more times for dissolved oxygen, dissolved-oxygen percent saturation, pH, water temperature, turbidity, and chlorophyll a .

North Carolina↗

Triangle Area Water Supply Monitoring Project, North Carolina—Summary of monitoring activities, quality assurance, and data, October 2017–September 2019

Surface-water supplies are important sources of drinking water for residents in the Triangle area of North Carolina, which is located within the upper Cape Fear and Neuse River Basins. Since 1988, the U.S. Geological Survey and a consortium of local governments have tracked water-quality conditions and trends in several of the area’s water-supply lakes and streams. This report summarizes data collected through this cooperative effort, known as the Triangle Area Water Supply Monitoring Project, from October 2017 through September 2018 (water year 2018) and from October 2018 through September 2019 (water year 2019). Major findings for this period include the following: More than 7,500 individual measurements of water quality were made at 20 sites—7 in the Neuse River Basin and 13 in the Cape Fear River Basin. For the lake sites, only measurements from the photic zone and 1 meter below the water surface are documented in this report. Thirty-six water-quality properties or constituents are presented in this report; the State of North Carolina water-quality thresholds are presented for 11 of these. All observations met the State of North Carolina water-quality thresholds for water temperature, hardness, chloride, fluoride, sulfate, and nitrate plus nitrite. The State of North Carolina water-quality thresholds were exceeded one or more times for dissolved oxygen, dissolved-oxygen percent saturation, pH, turbidity, and chlorophyll a .

North Carolina↗

Hydrology of the Estancia Basin, central New Mexico

The Estancia Basin of central New Mexico is a topographically closed basin that ranges in altitude from 6,000 feet to more than 10,000 feet above sea level. In the center of the basin a valley-fill aquifer of Quaternary age is as much as 400 feet thick. Limestone of the Madera Group of Pennsylvanian and Permian age crops out over most of the southwestern part of the basin. Large-scale ground-water withdrawals for irrigation began about 1950. Between 1950 and 1985, water levels declined 50 to 60 feet in a number of places. From 1985 to the present (1989), however, a small rise in water level has been measured in a number of wells; this rise can be attributed to decreased ground-water withdrawals resulting from a government crop- reduction program and also to several years of heavy winter snowfall. Continuous water-level recorders were placed on three wells from 1986 to 1988. Two of these wells showed short-term water-level changes characteristic of unconfined aquifers, whereas the other showed changes characteristic of confined aquifers. All three wells showed water-level changes caused by barometric-pressure changes. Six series of miscellaneous measurements and two gain-and-loss (seepage) studies were made in streams in the south- western part of the basin. These measurements showed an extreme variability in discharge under different climatic conditions. The specific conductance of water in much of the southwestern part of the basin ranges from 350 to 550 microsiemens per centimeter at 25 degrees Celsius. East of State Highway 41 in the area of the salt lakes, water quality is highly dependent on depth in the aquifer. Specific- conductance values ranging from about 4,000 to 6,000 microsiemens were measured in water samples from wells in the center of the basin during this study, but previous studies have identified water samples having specific-conductance values of as much as 187,000 microsiemens. A comparison of specific- conductance measurements and laboratory analyses of well water shows that water quality has changed in the past several decades. In many places, increases in spedtic conductance can be correlated with deelines in water level.

Water-Resources Investigations Report↗