Search USGSSearch

SEARCH · Search USGS

Results for “Final Report”

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 811 records · Page 45Linked to original sources

Results of a workshop concerning ecological zonation in bottomland hardwoods

Under Section 404 of the Clean Water Act, the U.S. Environmental Protection Agency (EPA) has regulatory responsibilities concerning the discharge of dredged or fill material into the Nation's waters. In addition to its advisory role in the U.S. Army Corps of Engineers' permit program, EPA has a number of specific authorities, including formulation of the Section 404(b)(1) Guidelines, use of Section 404(c) to prohibit disposal at particular sites, and enforcement actions for unauthorized discharges. A number of recent court cases focus on the geographic scope of Section 404 jurisdiction in potential bottomland hardwood (BLH) wetlands and the nature of landclearing activities in these areas that require a permit under Section 404. Accordingly, EPA needs to establish the scientific basis for implementing its responsibilities under Section 404 in bottomland hardwoods. EPA is approaching this task through a series of workshops designed to provide current scientific information on bottomland hardwoods and to organize that information in a manner pertinent to key questions, including the following. What are the characteristics of bottomland hardwoods (in terms of hydrology, soils, vegetation, fish, wildlife, agricultural potential, and the like) and how can the functions (e.g., flood storage, water quality maintenance, detrital export) that they perform best be quantified? How do perturbations like landclearing, levee construction, and drainage impact the functions that bottomland hardwoods perform and how can these effects best be quantified? And finally, how significant are the impacts and how is their significance likely to change under various management scenarios? The first workshop in this series was held December 3-7, 1984, in St. Francisville, Louisiana. The workshop was attended by over 40 scientists and regulators (see ACKNOWLEDGMENTS section) and facilitated by the editors of this report under an Interagency Agreement between EPA and the U.S. Fish and Wildlife Service. The general objective of the workshop was to examine ways in which the structure and function of BLH ecosystems can be characterized and, in particular, to investigate the utility of a conceptual framework developed at a workshop held in Lake Lanier, Georgia, in 1980. In this framework, the transition from aquatic habitats to upland habitats through a BLH ecosystem is divided into six zones based on concomitant variation in the soil moisture regime and associated vegetation (Table 1). The zonation concept is of particular interest to EPA from at least two perspectives. The first is simply as a framework for organizing information. If the zones are discernible in the field, have recognizable characteristics, and perform identifiable functions, they might form a useful basis for tasks such as assessing the impacts of a particular site-specific activity. The second is the potential utility of the zonation concept in identifying the wetland portions of BLH communities. If the zones can be recognized in the field, and if one or more of them can be shown consistently to have wetland characteristics (i.e., perform functions, such as detrital export, often attributed to wetlands), while others do not, then the zones might have utility in identifying areas that fall under the jurisdiction of Section 404. The workshop itself was divided into two parts. The first was a series of papers in which authors described current research and data-synthesis activities in the context of the zonation concept. The second was a series of six workgroups in which participants discussed the zonation concept from the perspective of hydrology, soils, vegetation, fish, wildlife, and ecosystem processes. This report is a compilation of the written material from those workgroups, much of which was produced at the workshop. The formal papers presented in the first part of the workshop have been distributed to participants under separate cover, but are referenced in this report by citations such as: (Jones, workshop presentation).

Report

Estimating the impacts of oil spills on polar bears

The polar bear is the apical predator and universal symbol of the Arctic. They occur throughout the Arctic marine environment wherever sea ice is prevalent. In the southern Beaufort Sea, polar bears are most common within the area of the outer continental shelf, where the hunt for seals along persistent leads and openings in the ice. Polar bears are a significant cultural and subsistence component of the lifestyles of indigenous people. They may also be one of the most important indicators of the health of the Arctic marine environment. Polar bears have a late age of maturation, a long inter0brth period, and small liter sizes. These life history features make polar bear populations susceptible to natural and human perturbations. Petroleum exploration and extraction have been in progress along the coast of northern Alaska for more than 25 years. Until recently, most activity has taken place on the mainland or at sites connected to the shore by a causeway. In 1999, BP Exploration-Alaska began constructing the first artificial production island designed to transport oil through sub-seafloor pipelines. Other similar projects have been proposed to begin in the next several years. The proximity of oil exploration and development to principal polar bear habitats raises concerns, and with the advent of true off-shore development projects, these concerns are compounded. Contact with oil and other industrial chemicals by polar bears, through grooming, consumption of tainted food, or direct consumption of chemicals, may be lethal. The active ice where polar bears hunt is also where spilled oil may be expected to concentrate during spring break-up and autumn freeze-up. Because of this, we could expect that an oil spill in the waters and ice of the continental shelf would have profound effects on polar bears. Assessments of the effects of spills, however, have not been done. This report described a promising method for estimating the effects of oil spills on polar bears in the Arctic marine environment. It uses enough real data to illuminate necessary calculations and illustrate the value of the methods. The results and conclusions presented here are only examples of possible scenarios resulting from a new estimation method. Final assessment of the potential impacts to polar bears of an oil spill remains a work in progress.

Alaska, Northwest Territories, Yukon

Guidance documents: Continued support to improve operations of fish hatcheries and field sites to reduce the impact or prevent establishment of New Zealand Mudsnails and other invasive mollusks

This project tested and revised a risk assessment/management tool authored by Moffitt and Stockton designed to provide hatchery biologists and others a structure to measure risk and provide tools to control, prevent or eliminate invasive New Zealand mudsnails (NZMS) and other invasive mollusks in fish hatcheries and hatchery operations. The document has two parts: the risk assessment tool, and an appendix that summarizes options for control or management. The framework of the guidance document for risk assessment/hatchery tool combines approaches used by the Hazard Analysis and Critical Control Points (HACCP) process with those developed by the Commission for Environmental Cooperation (CEC), of Canada, Mexico, and the United States, in the Tri-National Risk Assessment Guidelines for Aquatic Alien Invasive Species. The framework approach for this attached first document assesses risk potential with two activities: probability of infestation and consequences of infestation. Each activity is treated equally to determine the risk potential. These two activities are divided into seven basic elements that utilize scientific, technical, and other relevant information in the process of the risk assessment. To determine the probability of infestation four steps are used that have scores reported or determined and averaged. This assessment follows a familiar HACCP process to assess pathways of entry, entry potential, colonization potential, spread potential. The economic, environmental and social consequences are considered as economic impact, environmental impact, and social and cultural influences. To test this document, the Principal Investigator worked to identify interested hatchery managers through contacts at regional aquaculture meetings, fish health meetings, and through the network of invasive species managers and scientists participating in the Western Regional Panel on Aquatic Nuisance Species and the 100th Meridian Initiative's Columbia River Basin Team, and the Western New Zealand Mudsnail Conference in Seattle. Targeted hatchery workshops were conducted with staff at Dworshak National Fish Hatchery Complex (ID), Similkameen Pond, Oroville WA, and Ringold Springs State Hatchery (WA). As a result of communications with hatchery staff, invasive species managers, and on site assessments of hatchery facilities, the document was modified and enhanced. Additional resources were added to keep it up to date. The result is a more simplified tool that can lead hatchery or management personnel through the process of risk assessment and provide an introduction to the risk management and communication process. In addition to the typical HACCP processes, this tool adds steps to rate and consider uncertainty and the weight of evidence regarding options and monitoring results . Uncertainty of outcome exists in most tools that can be used to control or prevent NZMS or other invasive mollusks from infesting an area. In additional this document emphasizes that specific control tools and plans must be tailored to each specific setting to consider the economic, environmental and social influences. From the testing and evaluation process, there was a strong recognition that a number of control and prevention tools previously suggested and reported in the literature from laboratory and small scale trials may not be compatible with regional and national regulations, economic constraints, social or cultural constraints, engineering or water chemistry characteristics of each facility. The options for control are summarized in the second document, Review of Control Measures for Hatcheries Infested with NZMS (Appendix A) that provides sources for additional resources and specific tools, and guidance regarding the feasibility and success of each approach. This tool also emphasizes that management plans need to be adaptive and incorporate oversight from professionals familiar with measuring risks of fish diseases, and treatments (e.g. the fish health practitioners and water quality and effluent management teams). Finally, with such a team, the adaptive management approach must be ongoing, and become a regular component of hatchery operations. Although it was the intent that this two part document would be included as part of the revised National Management and Control Plan for the NZMS proposed by the U.S. Fish and Wildlife Service (USFWS) and others, it is provided as a stand-alone document.

Cooperator Science Series

Water-quality modeling of Klamath Straits Drain recirculation, a Klamath River wetland, and 2011 conditions for the Link River to Keno Dam reach of the Klamath River, Oregon

The upper Klamath River and adjacent Lost River are interconnected basins in south-central Oregon and northern California. Both basins have impaired water quality with Total Maximum Daily Loads (TMDLs) in progress or approved. In cooperation with the Bureau of Reclamation, the U.S. Geological Survey (USGS) and Watercourse Engineering, Inc., have conducted modeling and research to inform management of these basins for multiple purposes, including agriculture, endangered species protection, wildlife refuges, and adjacent and downstream water users. A water-quality and hydrodynamic model (CE-QUAL-W2) of the Link River to Keno Dam reach of the Klamath River for 2006–09 is one of the tools used in this work. The model can simulate stage, flow, water velocity, ice cover, water temperature, specific conductance, suspended sediment, nutrients, organic matter in bed sediment and the water column, three algal groups, three macrophyte groups, dissolved oxygen, and pH. This report documents two model scenarios and a test of the existing model applied to year 2011, which had exceptional water quality. The first scenario examined the water-quality effects of recirculating Klamath Straits Drain flows into the Ady Canal, to conserve water and to decrease flows from the Klamath Straits Drain to the Klamath River. The second scenario explicitly incorporated a 2.73×10 6 m 2 (675 acre) off-channel connected wetland into the CE-QUAL-W2 framework, with the wetland operating from May 1 through October 31. The wetland represented a managed treatment feature to decrease organic matter loads and process nutrients. Finally, the summer of 2011 showed substantially higher dissolved-oxygen concentrations in the Link-Keno reach than in other recent years, so the Link-Keno model (originally developed for 2006–09) was run with 2011 data as a test of model parameters and rates and to develop insights regarding the reasons for the improved water-quality conditions.

Oregon

The Novarupta-Katmai eruption of 1912 - largest eruption of the twentieth century; centennial perspectives

The explosive outburst at Novarupta (Alaska) in June 1912 was the 20th century's most voluminous volcanic eruption. Marking its centennial, we illustrate and document the complex eruptive sequence, which was long misattributed to nearby Mount Katmai, and how its deposits have provided key insights about volcanic and magmatic processes. It was one of the few historical eruptions to produce a collapsed caldera, voluminous high-silica rhyolite, wide compositional zonation (51-78 percent SiO 2 ), banded pumice, welded tuff, and an aerosol/dust veil that depressed global temperature measurably. It emplaced a series of ash flows that filled what became the Valley of Ten Thousand Smokes, sustaining high-temperature metal-transporting fumaroles for a decade. Three explosive episodes spanned ~60 hours, depositing ~17 km 3 of fallout and 11±2 km 3 of ignimbrite, together representing ~13.5 km 3 of zoned magma. No observers were nearby and no aircraft were in Alaska, and so the eruption narrative was assembled from scattered villages and ship reports. Because volcanology was in its infancy and the early investigations (1915-23) were conducted under arduous expeditionary conditions, many provocative misapprehensions attended reports based on those studies. Fieldwork at Katmai was not resumed until 1953, but, since then, global advances in physical volcanology and chemical petrology have gone hand in hand with studies of the 1912 deposits, clarifying the sequence of events and processes and turning the eruption into one of the best studied in the world. To provide perspective on this century-long evolution, we describe the geologic and geographic setting of the eruption - in a remote, sparsely inhabited wilderness; we review the cultural and scientific contexts at the time of the eruption and early expeditions; and we compile a chronology of the many Katmai investigations since 1912. Products of the eruption are described in detail, including eight layers of regionwide fallout, nine packages of ash flows, and three lava domes that followed the explosive pyroclastic episodes. Changes in the proportions of coerupting rhyolite, dacite, and andesite pumice documented for the fallout and ash-flow successions, which are locally interbedded, permit close correlation of those synchronously emplaced sequences and their varied facies. Petrological correlation of the sequence of deposits near Novarupta with ash layers at Kodiak village, 170 km downwind, where three episodes of ashfall were recorded (to the hour), provides key constraints on timing of the eruptive events. Syneruptive collapse of a kilometer-deep caldera took place atop Mount Katmai, a stratovolcano centered 10 km east of the eruption site at Novarupta, owing to drainage of magma from beneath the Katmai edifice. Correlation of ~50 earthquakes recorded at distant seismic stations (including 14 shocks of magnitude 6.0 to 7.0) to fitful caldera collapse provides further constraints on eruption timing, because layers of nonjuvenile breccia and mud ejected from Mount Katmai during collapse pulses are intercalated with the pumice-fall layers from Novarupta. Structure of the Novarupta vent, a 2-km-wide depression backfilled by welded tuff and inferred to be funnel-shaped at depth, is described in detail, as is the 4-km-wide caldera at Mount Katmai. Discussions are also provided concerning: (1) the impact on global climate of the great mass of sulfur-poor but halogen-rich aerosol ejected into the atmosphere by the rhyolite-dominated eruption; (2) chemical and mineralogical effects of the fumarolic acid gases; and (3) the timing of several syneruptive landslide deposits sandwiched within the pumice-fall sequence. Secondary posteruption phenomena characterized include impounded lakes, ash-rich debris flows, phreatic craters on the ignimbrite sheet, responses of glaciers to the fallout blanket and to beheading by caldera collapse, growth of new glaciers inside the caldera, and gradual filling of the caldera lake. Structure, composition, and ages of the several andesite-dacite stratovolcanoes, closely clustered near Novarupta, all of which remain fumarolically and seismically active, are summarized. But among them only Mount Katmai extends compositionally to include basalt and rhyolite. The petrological affinities of 1912 magmas erupted at Novarupta with pre-1912 Katmai lavas are outlined, and various chemical, mineralogical, isotopic, and experimental data are assembled to construct a model of preeruptive magma storage beneath Mount Katmai. The monograph concludes by comparing the 1912 eruption with several other well-studied large explosive eruptions, 14 of them historical and 9 prehistoric. Finally, we retrospectively review the historical difficulties in understanding what had actually taken place at Katmai in 1912 and the century of progress in volcano science that has allowed most of it to be figured out.

Alaska;British Columbia;Washington;Yukon

Estimating the magnitude of peak flows for streams in Maine for selected recurrence intervals

This report gives estimates of, and presents techniques for estimating, the magnitude of peak flows for streams in Maine for recurrence intervals of 2, 5, 10, 25, 50, 100, and 500 years. A flowchart in this report guides the user to the appropriate estimates and (or) estimating techniques for a site on a specific stream. Section 1, 'Estimates of peak flows and maximum recorded flows at USGS streamflow-gaging stations,' contains peak-flow estimates and the maximum recorded flows at 98 U.S. Geological Survey (USGS) streamflow-gaging stations. In the development of the peak-flow estimates at gaging stations, a new generalized skew coefficient was calculated for Maine. This single statewide value of 0.029 (with a standard error of prediction of 0.297) is more accurate for Maine than the national skew isoline map in Bulletin 17B of the Interagency Advisory Committee on Water Data. Two techniques are presented to estimate the peak flows for ungaged, unregulated streams in rural drainage basins. These two techniques were developed using generalized least squares regression procedures at 70 USGS gaging stations in Maine and eastern New Hampshire. Section 2, 'Estimating peak flows for ungaged, unregulated streams in rural drainage basins,' uses the final explanatory variables of drainage area and basin wetlands. The average standard error of prediction for the 100-year peak flow regression equation in section 2 was 48.6 percent to -32.7 percent. Drainage area was the only explanatory variable used in section 3, 'Estimating peak flows for ungaged, unregulated streams in rural drainage basins - Simplified technique.' The average standard error of prediction for the 100-year peak flow regression equation in section 3 was 80.3 percent to -44.5 percent. Section 4 of the report describes techniques for estimating peak flows for ungaged sites on gaged, unregulated streams in rural drainage basins. Section 5, 'Estimating peak flows for ungaged, unregulated streams in urbanized drainage basins,' describes regression equations for use when a drainage basin is urbanized. These urban regression equations come from a previous USGS nationwide study. As stated in section 6, because peak flows on regulated streams are dependent on variable human actions, estimating peak flows at ungaged sites on regulated streams is beyond the scope of this report.

Maine

Combined impacts of Black-crowned Night-Heron predation/disturbance and various management activities on Roseate Tern productivity in 2003, and testing of a video surveillance system for recording the diurnal and nocturnal behavior of terns and night-herons at Falkner Island, Stewart B. McKinney National Wildlife Refuge, Connecticut, in 2004: Report to U.S. Fish and Wildlife Service, Stewart B. McKinney National Wildlife Refuge, Westbrook, Connecticut and U.S. Fish and Wildlife Service, Region 5 Regional Office, Hadley, Massachusetts

Falkner Island (FICT), a unit of the U.S. Fish and Wildlife Service's Stewart B. McKinney National Wildlife Refuge (SBMNWR) since 1985, is located in Long Island Sound 5 km south of Guilford, CT. For more than three decades it has been the site of the only large breeding colony in Connecticut of the federally endangered Northwest Atlantic population of Roseate Terns (Sterna dougallii) and the state's largest colony of Common Terns (S. hirundo). Both species have been studied at this site since 1978 as part of the Falkner Island Tern Project (FITP), and since 1987 also as part of a regional Cooperative Roseate Tern Metapopulation Dynamics and Ecology Project (CRTMP), both coordinated by Dr. Jeffrey A. Spendelow of the U.S. Geological Survey's Patuxent Wildlife Research Center (USGS-PWRC). From 1997-2002 the Roseate Tern breeding population at this site declined by more than 50% from about 150 to about 70 nesting pairs, mostly as a result of the nocturnal predation and disturbance of tern chicks and eggs by Black-crowned Night-Herons (Nycticorax nycticorax). Here we report the results of research done with the goal of improving management of nocturnal predators and developing new practices/structures to reduce losses of tern eggs and chicks so as to prevent the abandonment of this site by Roseate Terns. Notification of release of the USGS 'Quick Response Funds' (QRF) that were to be used to support the part of this study entitled 'Nocturnal behavior/interactions of endangered Roseate Terns and Black-crowned Night-Herons', and final approval of the Study Plan for this research did not occur until after the breeding season in 2003 was well underway. As a result, some work will need to be completed during the 2004 field season. There are two major objectives of this study. The first is to collect basic information (a) on the nocturnal behavior and interactions of Roseate (and Common) Terns with predatory Black-crowned Night-Herons, and (b) on how the behavior of the night-herons and the behavior and productivity of the terns are affected by the activities of management personnel (or researchers) that may be moving around the island at night. The second objective is to develop new structures (or to modify existing ones) that can be used by adult Roseate Terns for nesting sites and/or by chicks as hiding sites so that tern eggs and chicks will be less susceptible to night-heron predation. Work on the development and comparative use of various man-made structures began prior to the start of the 2003 nesting season; work on the evaluation and testing of a video surveillance system to study the nocturnal behavior of the terns and night-herons began in June 2003. Reported here are (1) the results of work on the placement and use by Roseate Terns of several types of structures in different habitats, and (2) a description of the set-up, testing, and evaluation of a multi-camera video system to record tern and predator behavior during both day and night. Also given here is some additional information on other factors that affected the productivity of the Roseate Terns at FICT collected as part of the CRTMP which served as the underlying foundation for the additional work done with support of the 2003 Quick Response Funds.

Book

Responses of vertebrate wildlife to oil and natural gas development: Patterns and frontiers

Purpose of Review Anthropogenic activities can lead to the loss, fragmentation, and alteration of wildlife habitats. I reviewed the recent literature (2014–2019) focused on the responses of avian, mammalian, and herpetofaunal species to oil and natural gas development, a widespread and still-expanding land use worldwide. My primary goals were to identify any generalities in species’ responses to development and summarize remaining gaps in knowledge. To do so, I evaluated the directionality of a wide variety of responses in relation to taxon, location, development type, development metric, habitat type, and spatiotemporal aspects. Recent Findings Studies ( n = 70) were restricted to the USA and Canada, and taxonomically biased towards birds and mammals. Longer studies, but not those incorporating multiple spatial scales, were more likely to detect significant responses. Negative responses of all types were present in relatively low frequencies across all taxa, locations, development types, and development metrics but were context-dependent. The directionality of responses by the same species often varied across studies or development metrics. Summary The state of knowledge about wildlife responses to oil and natural gas development has developed considerably, though many biases and gaps remain. Studies outside of North America and that focus on herpetofauna are lacking. Tests of mechanistic hypotheses for effects, long-term studies, assessment of response thresholds, and experimental designs that isolate the effects of different stimuli associated with development, remain critical. Moreover, tests of the efficacy of habitat mitigation efforts have been rare. Finally, investigations of the demographic effects of development across the full annual cycle were absent for non-game species and are critical for the estimation of population-level effects.

Current Landscape Ecology Reports

Sandstone and shale compaction curves derived from sonic and gamma ray logs in offshore wells, North Slope, Alaska– Parameters for basin modeling

Representative compaction curves for the principle lithologies are essential input for reliable models of basin history. Compaction curves influence estimates of maximum burial and erosion. Different compaction curves may produce significantly different thermal histories. Default compaction curves provided by basin modeling packages may or may not be a good proxy for the compaction properties in a given area. Compaction curves in the published literature span a wide range, even within one lithology, e.g., sandstone (see Panel 3). An abundance of geophysical well data for the North Slope, from both government and private sources, provides us with an unusually good opportunity to develop compaction curves for the Cretaceous-Tertiary Brookian sandstones, siltstones, and shales. We examined the sonic and gamma ray logs from 19 offshore wells (see map), where significant erosion is least likely to have occurred. Our data are primarily from the Cretaceous-Tertiary Brookian sequence and are less complete for older sequences. For each well, the fraction of shale (Vsh) at a given depth was estimated from the gamma ray log, and porosity was computed from sonic travel time. By compositing porosities for the near-pure sand (Vsh<1%) and shale (Vsh>99%)from many individual wells we obtained data over sufficient depth intervals to define sandstone and shale 'master' compaction curves. A siltstone curve was defined using the sonic-derived porosities for Vsh values of 50%. These compaction curves generally match most of the sonic porosities with an error of 5% or less. Onshore, the curves are used to estimate the depth of maximum burial at the end of Brookian sedimentation. The depth of sonic-derived porosity profiles is adjusted to give the best match with the 'master' compaction curves. The amount of the depth adjustment is the erosion estimate. Using our compaction curves, erosion estimates on the North Slope range from zero in much of the offshore, to as much as 1500 ft along the coast, and to more than 10,000 ft in the foothills (Panel 3). Compaction curves provide an alternative to vitrinite reflectance for estimating erosion. Vitrinite reflectance data are often very sparse in contrast to well log data and are subject to inconsistencies when measurements are made by different labs. The phenomenon of 'recycling' can also make the reflectance values of dispersed vitrinite problematic for quantifying erosion. Recycling is suspected in dispersed vitrinite in North Slope rocks, particularly in the younger, Cretaceous-Tertiary section. The compaction curves defined here are being integrated into our burial history and thermal models to determine the timing of source rock maturation. An example on Panel 3 shows the results of calculating the maturity of the Shublik Fm. at the Tulaga well using two different sets of shale and siltstone compaction curves. Finally, accurate compaction curves improve a model's ability to realistically simulate the pressure regime during burial, including overpressures.

Alaska

Great Basin Paleontological Bibliography

Introduction This work was conceived as a derivative product for 'The Metallogeny of the Great Basin' project of the Mineral Resources Program of the U.S. Geological Survey. In the course of preparing a fossil database for the Great Basin that could be accessed from the Internet, it was determined that a comprehensive paleontological bibliography must first be compiled, something that had not previously been done. This bibliography includes published papers and abstracts as well as unpublished theses and dissertations on fossils and stratigraphy in Nevada and adjoining portions of California and Utah. This bibliography is broken into first-order headings by geologic age, secondary headings by taxonomic group, followed by ancillary topics of interest to both paleontologists and stratigraphers; paleoecology, stratigraphy, sedimentary petrology, paleogeography, tectonics, and petroleum potential. References were derived from usage of Georef, consultation with numerous paleontologists and geologists working in the Great Basin, and literature currently on hand with the authors. As this is a Web-accessible bibliography, we hope to periodically update it with new citations or older references that we have missed during this compilation. Hence, the authors would be grateful to receive notice of any new or old papers that the readers think should be added. As a final note, we gratefully acknowledge the helpful reviews provided by A. Elizabeth J. Crafford (Anchorage, Alaska) and William R. Page (USGS, Denver, Colorado).

Open-File Report

ARkStorm@Tahoe: Stakeholder perspectives on vulnerabilities and preparedness for an extreme storm event in the greater Lake Tahoe, Reno, and Carson City region

Atmospheric rivers (ARs) are strongly linked to extreme winter precipitation events in the Western U.S., accounting for 80 percent of extreme floods in the Sierra Nevada and surrounding lowlands. In 2010, the U.S. Geological Survey developed the ARkStorm extreme storm scenario for California to quantify risks from extreme winter storms and to allow stakeholders to better explore and mitigate potential impacts. To explore impacts on natural resources and communities in montane and adjacent environments, we downscaled the scenario to the greater Lake Tahoe, Reno and Carson City region of northern Nevada and California. This ArkStorm@Tahoe scenario was presented at six stakeholder meetings, each with a different geographic and subject matter focus. Discussions were facilitated by the ARkStorm@Tahoe team to identify social and ecological vulnerabilities to extreme winter storms, science and information needs, and proactive measures that might minimize impacts from this type of event. Information collected in these meetings was used to develop a tabletop emergency response exercise and set of recommendations for increasing resilience to extreme winter storm events in both Tahoe and the downstream communities of Northern Nevada. Over 300 individuals participated in ARkStorm@Tahoe stakeholder meetings and the emergency response exercise, including representatives from emergency response, natural resource and ecosystem management, health and human services, public utilities, and businesses. Interruption of transportation, communications, and lack of power and backup fuel supplies were identified as the most likely and primary points of failure across multiple sectors and geographies, as these interruptions have cascading effects on natural and human systems by impeding emergency response efforts. Other key issues that arose in discussions included contamination risks to water supplies and aquatic ecosystems, especially in the Tahoe Basin and Pyramid Lake, interagency coordination, credentialing, flood management, and coordination of health and human services during such an event. Mitigation options were identified for each of the key issues. Several science needs were identified, particularly the need for improved flood inundation maps. Finally, key lessons learned were identified and may help to increase preparedness, response and recovery from extreme storms in the future.

Report

Map showing general availability of ground water in the Kaiparowits coal-basin area, Utah

This is one of a series of maps that describe the geology and related natural resources in the Kaiparowits coal-basin area. This map is based partly on records of water wells, springs, and coal and petroleum exploration holes, partly on unpublished reports of field evaluations of prospective stock-water well sites by personnel of the U.S. Geological Survey, and partly on a 6-day field reconnaissance by the writer in parts of the mapped area. Most of the data used to compile this map were collected by the U.S. Geological Survey in cooperation with State, local, and other Federal agencies. Published sources of data included Phoenix (1963), Iorns, Hembree, and Phoenix (1964), Cooley (1965), Feltis (1966), Goode (1966, 1969), and the final environmental impact statement for the proposed Kaiparowits power project (U.S. Bureau of Land Management, 1976). Few data about the availability or depth of ground water could be obtained for large areas in the Kaiparowits coal basin. In those areas, expected yields of individual wells are inferred from the geology as compiled by Stokes (1964) and Hackman and Wyant (1973), and depths of ground water in wells are inferred largely from the local topography. El Paso Natural Gas Co., Resources Co., Kaiser Engineers, and Southern California Edison Co. provided specific information regarding the availability and depth of ground water in their exploratory holes on the Kaiparowits Plateau. The cooperation of those firms is gratefully acknowledged.

Utah

Thermodynamics of open networks: Ordering and entropy in NaAlSiO4 glass, liquid, and polymorphs

The thermodynamic properties of carnegieite and NaAlSiO4 glass and liquid have been investigated through Cp determinations from 10 to 1800 K and solution-calorimetry measurements. The relative entropies S298-S0 of carnegieite and NaAlSiO4 glass are 118.7 and 124.8 J/mol K, respectively. The low-high carnegieite transition has been observed at 966 K with an enthalpy of transition of 8.1??0.3 kJ/mol, and the enthalpy of fusion of carnegieite at the congruent melting point of 1799 K is 21.7??3 kJ/mol. These results are consistent with the reported temperature of the nepheline-carnegieite transition and available thermodynamic data for nepheline. The entropy of quenched NaAlSiO4 glass at 0 K is 9.7??2 J/mol K and indicates considerable ordering among AlO4 and SiO4 tetrahedra. In the liquid state, progressive, temperature-induced Si, Al disordering could account for the high configurational heat capacity. Finally, the differences between the entropies and heat capacities of nepheline and carnegieite do not seem to conform to current polyhedral modeling of these properties ?? 1990 Springer-Verlag.

Physics and Chemistry of Minerals

What common-garden experiments tell us about climate responses in plants

Common garden experiments are indoor or outdoor plantings of species or populations collected from multiple distinct geographic locations, grown together under shared conditions. These experiments examine a range of questions for theory and application using a variety of methods for analysis. The eight papers of this special feature comprise a cross section of contemporary approaches, summarized and synthesized here by what they tell us about the relationships between climate-related trait spectra and fitness optima. Four of the eight papers are based on field experiments in prairie, desert, Mediterranean and boreal biomes. Representative of many common garden experiments, these experiments reveal consistent evidence of traits varying with population climate provenance, but evidence of a tradeoff between growth and tolerance traits or of consistent fitness optimization at home is scant, in contrast to trait theory. Two synthesis papers highlight dominant patterns of trait divergence, including for an exotic invasive species. One theoretical paper warned that unknown kinship relationships between populations can result in the misidentification of adaptive trait divergence. A third synthesis paper formulated novel and ambitious goals for common-garden studies through including measurement of response variables at multiple levels of biological organization. The featured papers discuss multiple avenues for improving common garden studies. Genomic analysis, together with the quantification of kinship relationships, will continue to reveal the influence of environmental drivers on gene selection. Measuring a more complete set of fitness traits, especially for traits related to regeneration, will permit the development of projection models to explicitly link trait spectra, climate patterns and fitness consequences. More standardized data reporting will additionally improve abilities to synthesize findings across experiments. Testing population performance in competition with other species will produce more robust fitness comparisons between genotypes, especially for slower-growing genotypes in higher-resource environments. Adding gardens in and beyond climatic edge locations will furthermore strengthen the understanding of population failure and species exclusion. Finally, there is unrealized potential in adding ecosystem-level observations to common-garden studies that will enhance integrative analysis across scales of biological organization and scientific domains. Synthesis . With novel, creative designs, data integration and synthesis, common garden experiments will continue to advance the understanding of trait ensembles interacting with climate across scales of biological organization, provide pivotal data for global change models and guide ecological applications such as restoration of habitats for rare and climate sensitive species.

Journal of Ecology

Geotechnical characterization of TriNet sites: A status report

The TriNet project, launched in 1997, created an improved, real-time seismic monitoring network in Southern California. Planning of the network began in 1995 ( e.g. , Heaton et al. , 1996 ), building on the success of the earlier TERRAscope network, which included 24 digital broadband and strong-motion instruments throughout Southern California ( e.g. , Kanamori et al. , 1993 ). At the end of the five-year TriNet project the network comprised 150 real-time digital broadband stations and another 400 strong-motion sensors, 50 of which were also real-time. This network is now recording digital broadband data for Southern California earthquakes at an unprecedented rate, data that are already proving valuable for investigations of earthquake sources and regional wave propagation, as well as earthquake response. In this report we describe an ongoing effort aimed at a full geotechnical characterization of the newly installed TriNet sets. Shallow geologic structure is known to play a substantial role in controlling the ground motions recorded at any site. Documentation of amplified ground motion at soft-sediment sites can be found among even early macroseismic observations of strong ground motions ( e.g. , Drake, 1815 ). Seismic waves are also now known to be strongly affected by deep basin structure as well ( e.g. , Frankel et al. , 1991 ; Field, 2000 ; Joyner, 2000 ). It will be necessary to understand these effects to exploit fully the rich data set being recorded at TriNet sites. Clearly, the nature of site conditions and site response at the recording sites must be understood for studies focused on ground motions and hazard from future large earthquakes, but it is also necessary to understand these effects to conduct earthquake source studies of both large and small earthquakes. Our multifaceted site characterization project involves geological/geotechnical site investigations, database development, and investigation of empirical amplification factors determined from broadband and strong-motion data recorded to date. Our goal is to complete a first-order geologic site characterization by 2005 and then employ appropriate methods to obtain direct constraint on shallow shear-wave velocity structure at each site. In the latter effort we will endeavor to find the most accurate and cost-effective methods to quantify geotechnical parameters at sites that have ranges of geologic site conditions and cultural settings. Our long-term goal is to obtain direct estimates of the average shear-wave velocity in the upper 30 m, Vs30, at each site. If velocity information is available to greater depths, for example at sites characterized under the ROSRINE project ( http://geoinfo.usc.edu/rosrine/ ), this information will be included in the database as well. The original motivation for using Vs30 to characterize near-surface velocity was pragmatic, determined by such factors as the typical reach of a drill rig in a single day. The parameter has become the accepted standard with which many seismic recording sites are characterized, however. In a recent study using mainshock and aftershock recordings at sites in the Los Angeles region, Wald and Mori ( 2000 ) observed good correlation between Vs30 and amplification at 1-7 Hz, albeit with significant scatter. The purpose of this report is threefold. First, we describe our ongoing efforts and present site characterization results collected to date for 62 broadband and strong-motion stations in and around the greater Los Angeles metropolitan region. Second, we present preliminary results that illustrate how improved geologic site characterizations can improve the correlation between site conditions and site response. Finally, we invite feedback from the community to guide our future investigations, in particular with respect to our ongoing database development efforts.

California

Winter losses of Canada geese at Pea Island, North Carolina

Report of research and findings to date. Topics discussed include: studies on life history and biology of gizzard worm; results of autopsies; experiments on survival and transmission of gizzard worm eggs and larvae in both field and laboratory; persistence of infections; and results of infections in geese of different ages. Cause of deaths has not been finally determined, but indications are that gizzard worm is an important contributing factor and that poor physical condition, brought about at least partially by malnutrition, also contributes to the losses.

North Carolina

Controls on the geochemical evolution of Prairie Pothole Region lakes and wetlands over decadal time scales

One hundred sixty-seven Prairie Pothole lakes, ponds and wetlands (largely lakes) previously analyzed chemically during the late 1960’s and early to mid-1970’s were resampled and reanalyzed in 2011–2012. The two sampling periods differed climatically. The earlier sampling took place during normal to slightly dry conditions, whereas the latter occurred during and immediately following exceptionally wet conditions. As reported previously in Mushet et al. ( 2015 ), the dominant effect was expansion of the area of these lakes and dilution of their major ions. However, within that context, there were significant differences in the evolutionary pathways of major ions. To establish these pathways, we employed the inverse modeling computer code NetpathXL. This code takes the initial and final lake composition and, using mass balance constrained by the composition of diluting waters, and input and output of phases, calculates plausible geochemical evolution pathways. Despite the fact that in most cases major ions decreased, a subset of the lakes had an increase in SO 4 2− . This distinction is significant because SO 4 2− is the dominant anion in a majority of Prairie Pothole Region wetlands and lakes. For lakes with decreasing SO 4 2− , the proportion of original lake water required for mass balance was subordinate to rainwater and/or overland flow. In contrast, lakes with increasing SO 4 2− between the two sampling episodes tended to be dominated by original lake water. This suite of lakes tended to be smaller and have lower initial SO 4 2− concentrations such that inputs of sulfur from dissolution of the minerals gypsum or pyrite had a significant impact on the final sulfur concentration given the lower dilution factors. Thus, our study provides context for how Prairie Pothole Region water bodies evolve geochemically as climate changes. Because wetland geochemistry in turn controls the ecology of these water bodies, this research contributes to the prediction of the impact of climate change on this important complex of ecosystems.

North Dakota

On the role of climate in monthly baseflow changes across the continental United States

Baseflow is the portion of streamflow that comes from groundwater and subsurface sources. Although baseflow is essential for sustaining streams during low flow and drought periods, we have little information about how and why it has changed over large regions of the continental United States. The objective of this study was to evaluate how changes in the climate system have affected observed monthly baseflow records at 3,283 USGS gauges over the last 30 years (1989–2019). We developed a statistical modeling framework to determine the relationship between monthly baseflow and monthly climate predictors (i.e., precipitation, temperature, and antecedent wetness). Overall, we found that baseflow trends and the factors influencing them vary by region and month. In the US Northeast, increases were detected earlier in the year (February and March) and in the summer (May and June), and were likely due to increasing precipitation, warmer temperature, and subsequent changes in snowmelt. Increasing baseflow in the US Pacific Northwest and Midwest were associated with increases in precipitation and antecedent wetness throughout the year. Decreasing trends were located in the US Southeast and Southwest. Baseflow trends in the US Southeast were only detected in March, possibly as a result of decreased precipitation during the spring. On the other hand, decreases in baseflow in the Central Southwestern United States occurred throughout the year. These trends were associated with a lack of precipitation and increases in temperature. Finally, we examined the relationship between monthly baseflow trends and changes in total water storage using monthly Gravity Recovery and Climate Experiment mascon products from the Jet Propulsion Laboratory. In this study, trends in total water storage were strongly associated with baseflow trends across the United States. The spatial and temporal variability in baseflow response to climate reported here can aid water managers in adapting to future climate change.

continental United States