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Preface: Impacts of extreme climate events and disturbances on carbon dynamics

The impacts of extreme climate events and disturbances (ECE&D) on the carbon cycle have received growing attention in recent years. This special issue showcases a collection of recent advances in understanding the impacts of ECE&D on carbon cycling. Notable advances include quantifying how harvesting activities impact forest structure, carbon pool dynamics, and recovery processes; observed drastic increases of the concentrations of dissolved organic carbon and dissolved methane in thermokarst lakes in western Siberia during a summer warming event; disentangling the roles of herbivores and fire on forest carbon dioxide flux; direct and indirect impacts of fire on the global carbon balance; and improved atmospheric inversion of regional carbon sources and sinks by incorporating disturbances. Combined, studies herein indicate several major research needs. First, disturbances and extreme events can interact with one another, and it is important to understand their overall impacts and also disentangle their effects on the carbon cycle. Second, current ecosystem models are not skillful enough to correctly simulate the underlying processes and impacts of ECE&D (e.g., tree mortality and carbon consequences). Third, benchmark data characterizing the timing, location, type, and magnitude of disturbances must be systematically created to improve our ability to quantify carbon dynamics over large areas. Finally, improving the representation of ECE&D in regional climate/earth system models and accounting for the resulting feedbacks to climate are essential for understanding the interactions between climate and ecosystem dynamics.

Biogeosciences↗

Efficacy of manipulating reproduction of common ravens to conserve sensitive prey species: Three case studies

Expansion of human enterprise across western North America has resulted in an increase in availability of anthropogenic resource subsidies for generalist species. This has led to increases in generalists’ population numbers across landscapes that were previously less suitable for their current demographic rates. Of particular concern are growing populations of common ravens ( Corvus corax ; ravens), because predation by ravens is linked to population declines of sensitive species. Ecosystem managers seek management options for mitigating the adverse effects of raven predation where unsustainable predator–prey conflicts exist. We present 3 case studies examining how manipulating reproductive success of ravens influences demographic rates of 2 sensitive prey species. Two case studies examine impacts of removing raven nests or oiling raven eggs on nest survival of greater sage-grouse ( Centrocercus urophasianus ; sage-grouse) within Wyoming and the Great Basin of California and Nevada, USA, respectively. The third case study uses Mojave desert tortoise ( Gopherus agassizii ; tortoise) decoys to examine effects of oiling raven eggs on depredation rates of juvenile tortoises in the Mojave Desert in California. Initial trial years from all 3 case studies were consistent in finding improved vital rates associated with the application of strategies for reducing reproductive success of ravens. Specifically, removal of raven nests resulted in increased nest survival of sage-grouse within treatment areas where predation by ravens was the primary cause of nest failure. In addition, nest survival of sage-grouse and survival of juvenile tortoise decoys was higher following a treatment of oiling the eggs of ravens in their nests at 2 sites within the Great Basin and 4 tortoise conservation areas in the Mojave Desert in California. Along with specialized technologies that can make techniques such as egg-oiling more feasible, these findings support these management practices as important tools for managing ravens, especially in areas where breeding ravens have negative impacts on sensitive prey species.

California, Nevada, Wyoming↗

Wildlife and habitat damage assessment from Hurricane Charley: Recommendations for recovery of the J. N. "Ding" Darling National Wildlife Refuge Complex

&bull; On 13 August 2004, the first of four hurricanes to strike Florida in <6 weeks came ashore near J. N. &ldquo;Ding&rdquo; Darling National Wildlife Refuge (JNDDNWR) Complex, Sanibel Island, Florida. The eye of Category 4 Hurricane Charley passed just north of Sanibel Island with maximum sustained winds of 145 mph (123 knots) and a storm surge of 0.3-2.7 m (1-9 ft). Three USGS-BRD scientists (coastal ecologist and research wildlife biologists) and a USFWS wildlife biologist surveyed the storm damage to JNDDNWR Complex on the ground from 20-24 September 2004. &bull; At the request of United States Fish and Wildlife Service refuge staff, the USGS team concentrated on assessing damage to wetlands and habitat for selected bird populations (especially mangrove forests, Mangrove Cuckoos [Coccyzus minor], and Black-whiskered Vireo [Vireo altiloquus]), waterbird rookeries (mangrove islands), impoundments (waterbirds and waterfowl), sea grass beds (manatees), and upland hardwood hammocks and ridges (threatened eastern indigo snake [Drymarchon couperi]). &bull; The refuge complex sustained moderate to catastrophic damage to vegetation, especially mangrove forests and waterbird nesting or roosting islands. Lumpkin Island, Hemp Island, and Bird Key waterbird nesting areas had >50% and sometimes 90% of their vegetation severely damaged (dead, broken tree stems, and tipped trees). The Shell Mound Trail area of JNDDNWR sustained catastrophic damage to its old growth mangrove forests. Direct storm mortality and injury to manatees in the area of the JNDDNWR Complex was probably slight as manatees may have several strategies to reduce storm mortality. Damage to seagrass beds, an important habitat for manatees, fishes and invertebrates, is believed to be limited to the breach at North Captiva Island. At this breach, refuge staff documented inundation of beds by sand and scarring by trees dragged by winds. &bull; Because seagrass beads and manatee habitat extend beyond refuge boundaries (see p. 28), a regional approach with partner agencies to more thoroughly assess storm impacts and monitor recovery of seagrass and manatees is recommended. &bull; Besides intensive monitoring of waterbirds and their nesting habitat (pre- and post-storm), the survey team recommends that the Mangrove Cuckoo be used as an indicator species for recovery of mangrove forests and also for monitoring songbirds at risk (this songbird is habitat-area sensitive). Black-whiskered Vireo may be another potential indicator species to monitor in mangrove forests. Monitoring for these species can be done by distance sampling on transects or by species presenceabsence from point counts. &bull; Damaged vegetation should be monitored for recovery (permanent or long-term plots), especially where previous study plots have been established and with additional plots in mangrove forests of waterbird nesting islands and freshwater wetlands. &bull; Potential loss of wetlands (and information for management) may be prevented by water level monitoring (3 permanent stations), locating the positions (GPS-GIS) and maintaining existing water control structures, creating a GIS map of the refuge with accurate vertical data, and monitoring and eradicating invasive plants. Invasive species, including Brazilian pepper (Schinus terebinthifolius) and air potato (Dioscorea bulbifora), were common in a very limited survey and may become more dominant in areas damaged by the storm. Special attention is needed to eradicate these exotic plants. &bull; As an important monitoring goal, the survey team recommends that species presence-absence data analysis (with probability of detection) be used to determine changes in animal communities. This could be accomplished possibly with comparison to other storm-damaged and undamaged refuges in the Region. This information may be helpful to refuge managers when storms return in the future.

Florida↗

Rising seas and sinking coastal marshes: Implications to Atlantic waterbirds

Along the mid-Atlantic U.S. coast, relative sea level rise (RSLR) is higher than the global average of 1.5-2.0 mm/yr, ranging from about 2.5 in parts of Virginia and Delaware to about 4.0 in New Jersey (Atlantic City and Sandy Hook) and near the mouth of Chesapeake Bay, Virginia. Very few data exist on marsh elevation changes, but information from some areas in Virginia, New Jersey and New York suggest that marsh islands are not 'keeping pace' with this RSLR. We began a study in 1999 that addresses changes in sea level and marsh elevation at sites from Cape Cod to s. Virginia known to be important areas for migratory waterbirds, including waterfowl, shorebirds, wading birds, and seabirds. Marsh monitoring sites have been established and data on microhabitat use by birds during all 4 seasons is being collected at these sites. Species expected to be most vulnerable to RSLR in these marshes are breeding species such as Laughing Gulls, Common, Gull-billed and Forster's terns, Clapper Rails, and American Black Ducks. Most of these species are of special concern at state, regional, or national levels. We show how important this region to these species from a flyway perspective, with> 70% of all Atlantic coast Laughing Gulls and Forster's Terns nesting from New Jersey to Virginia.

Book chapter↗

Acoustic telemetry and fisheries management

This paper reviews the use of acoustic telemetry as a tool for addressing issues in fisheries management, and serves as the lead to the special Feature Issue of Ecological Applications titled “Acoustic Telemetry and Fisheries Management” . Specifically, we provide an overview of the ways in which acoustic telemetry can be used to inform issues central to the ecology, conservation, and management of exploited and/or imperiled fish species. Despite great strides in this area in recent years, there are comparatively few examples where data have been applied directly to influence fisheries management and policy. We review the literature on this issue, identify the strengths and weaknesses of work done to date, and highlight knowledge gaps and difficulties in applying empirical fish telemetry studies to fisheries policy and practice. We then highlight the key areas of management and policy addressed, as well as the challenges that needed to be overcome to do this. We conclude with a set of recommendations about how researchers can, in consultation with stock assessment scientists and managers, formulate testable scientific questions to address and design future studies to generate data that can be used in a meaningful way by fisheries management and conservation practitioners. We also urge the involvement of relevant stakeholders (managers, fishers, conservation societies, etc.) early on in the process (i.e. in the co-creation of research projects), so that all priority questions and issues can be addressed effectively.

Ecological Applications↗

Magnetic anomaly map of North America

This digital Magnetic Anomaly database and map for the North American continent is the result of a joint effort by the Geological Survey of Canada (GSC), U.S. Geological Survey (USGS), and Consejo de Recursos Minerales of Mexico (CRM). The database and map represent a substantial upgrade from the previous compilation of Magnetic Anomaly data for North America, now over a decade old (Committee for the Magnetic Anomaly Map of North America, 1987). This integrated, readily accessible, modern digital database of magnetic anomaly data will be a powerful tool for further evaluation of the structure, geologic processes, and tectonic evolution of the continent and may also be used to help resolve societal and scientific issues that span national boundaries. The North American magnetic anomaly map derived from the digital database provides a comprehensive magnetic view of continental-scale trends not available in individual data sets, helps link widely separated areas of outcrop, and unifies disparate geologic studies. This booklet outlines the data processing and compilation procedures used to produce the magnetic anomaly database and map that accompany this booklet.

Special Map↗

Determination of the rare-earth elements in geological materials by inductively coupled plasma mass spectrometry

A method of analysis of geological materials for the determination of the rare-earth elements using the Inductively coupled plasma mass spectrometric technique (ICP-MS) has been developed. Instrumental parameters and factors affecting analytical results have been first studied and then optimized. Samples are analyzed directly following an acid digestion, without the need for separation or preconcentration with limits of detection of 2-11 ng/g, precision of ?? 2.5% relative standard deviation, and accuracy comparable to inductively coupled plasma emission spectrometry and instrumental neutron activation analysis. A commercially available ICP-MS instrument is used with modifications to the sample introduction system, torch, and sampler orifice to reduce the effects of high salt content of sample solutions prepared from geologic materials. Corrections for isobaric interferences from oxide ions and other diatomic and triatomic ions are made mathematically. Special internal standard procedures are used to compensate for drift in metahmetal oxide ratios and sensitivity. Reference standard values are used to verify the accuracy and utility of the method.

Analytical Chemistry↗

Gene pool boundaries for the Yosemite toad (Anaxyrus canorus) reveal asymmetrical migration within meadow neighborhoods

The Yosemite toad ( Anaxyrus [ Bufo ] canorus ) is a federally threatened species of meadow-specializing amphibian endemic to the high-elevation Sierra Nevada Mountains of California. The species is one of the first amphibians to undergo a large demographic collapse that was well-documented, and is reputed to remain in low abundance throughout its range. Recent phylogeographic work has demonstrated that Pleistocene toad lineages diverged and then admixed to differing extents across an elevational gradient. Although lineage divisions may have significant effects on evolutionary trajectories over large spatial and temporal scales, present-day population dynamics must be delineated in order to manage and conserve the species effectively. In this study, we used a double-digest RADseq dataset to address three primary questions: (1) Are single meadows or neighborhoods of nearby meadows most correlated with population boundaries? (2) Does asymmetrical migration occur among neighborhoods of nearby meadows? (3) What topographic or hydrological variables predict such asymmetrical migration in these meadow neighborhoods? Hierarchical STRUCTURE and AMOVA analyses suggested that populations are typically circumscribed by a single meadow, although 84% of meadows exist in neighborhoods of at least two meadows connected by low levels of migration, and over half (53%) of neighborhoods examined display strong asymmetrical migration. Meadow neighborhoods often contain one or more large and flat “hub” meadows that experience net immigration, surrounded by smaller and topographically rugged “satellite” meadows with net emigration. Hubs tend to contain more genetic diversity and could be prioritized for conservation and habitat management and as potential sources for reestablishment efforts.

California↗

Water quality, hydrology, and simulated response to changes in phosphorus loading of Mercer Lake, Iron County, Wisconsin, with special emphasis on the effects of wastewater discharges

Mercer Lake is a relatively shallow drainage lake in north-central Wisconsin. The area near the lake has gone through many changes over the past century, including urbanization and industrial development. To try to improve the water quality of the lake, actions have been taken, such as removal of the lumber mill and diversion of all effluent from the sewage treatment plant away from the lake; however, it is uncertain how these actions have affected water quality. Mercer Lake area residents and authorities would like to continue to try to improve the water quality of the lake; however, they would like to place their efforts in the actions that will have the most beneficial effects. To provide a better understanding of the factors affecting the water quality of Mercer Lake, a detailed study of the lake and its watershed was conducted by the U.S. Geological Survey in collaboration with the Mercer Lake Association. The purposes of the study were to describe the water quality of the lake and the composition of its sediments; quantify the sources of water and phosphorus loading to the lake, including sources associated with wastewater discharges; and evaluate the effects of past and future changes in phosphorus inputs on the water quality of the lake using eutrophication models (models that simulate changes in phosphorus and algae concentrations and water clarity in the lake). Based on analyses of sediment cores and monitoring data collected from the lake, the water quality of Mercer Lake appears to have degraded as a result of the activities in its watershed over the past 100 years. The water quality appears to have improved, however, since a sewage treatment plant was constructed in 1965 and its effluent was routed away from the lake in 1995. Since 2000, when a more consistent monitoring program began, the water quality of the lake appears to have changed very little. During the two monitoring years (MY) 2008-09, the average summer near-surface concentration of total phosphorus was 0.023 mg/L, indicating the lake is borderline mesotrophic-eutrophic, or has moderate to high concentrations of phosphorus, whereas the average summer chlorophyll a concentration was 3.3 mg/L and water clarity, as measured with a Secchi depth, was 10.4 ft, both indicating mesotrophic conditions or that the lake has a moderate amount of algae and water clarity. Although actions have been taken to eliminate the wastewater discharges, the bottom sediment still has slightly elevated concentrations of several pollutants from wastewater discharges, lumber operations, and roadway drainage, and a few naturally occurring metals (such as iron). None of the concentrations, however, were high enough above the defined thresholds to be of concern. Based on nitrogen to phosphorus ratios, the productivity (algal growth) in Mercer Lake should typically be limited by phosphorus; therefore, understanding the phosphorus input to the lake is important when management efforts to improve or prevent degradation of the lake water quality are considered. Total inputs of phosphorus to Mercer Lake were directly estimated for MY 2008-09 at about 340 lb/yr and for a recent year with more typical hydrology at about 475 lb/yr. During these years, the largest sources of phosphorus were from Little Turtle Inlet, which contributed about 45 percent, and the drainage area near the lake containing the adjacent urban and residential developments, which contributed about 24 percent. Prior to 1965, when there was no sewage treatment plant and septic systems and other untreated systems contributed nutrients to the watershed, phosphorus loadings were estimated to be about 71 percent higher than during around 2009. In 1965, a sewage treatment plant was built, but its effluent was released in the downstream end of the lake. Depending on various assumptions on how much effluent was retained in the lake, phosphorus inputs from wastewater may have ranged from 0 to 342 lb. Future highway and stormwater improvements have been identified in the Mercer Infrastructure Improvement Project, and if they are done with the proposed best management practices, then phosphorus inputs to the lake may decrease by about 40 lb. Eutrophication models [Canfield and Bachman model (1981) and Carlson Trophic State Index equations (1977)] were used to predict how the water quality of Mercer Lake should respond to changes in phosphorus loading. A relatively linear response was found between phosphorus loading and phosphorus and chlorophyll a concentrations in the lake, with changes in phosphorus concentrations being slightly less (about 80 percent) and changes in chlorophyll a concentrations being slightly more (about 120 percent) than the changes in phosphorus loadings to the lake. Water clarity, indicated by Secchi depths, responded more to decreases in phosphorus loading than to increases in loading. Results from the eutrophication models indicated that the lake should have been negatively affected by the wastewater discharges. Prior to 1965, when there was no sewage treatment plant effluent and inputs from the septic systems and other untreated systems were thought to be high, the lake should have been eutrophic; near the surface, average phosphorus concentrations were almost 0.035 mg/L, chlorophyll a concentrations were about 7 &mu;g/L, and Secchi depths were about 6 ft, which agreed with the shallower Secchi depths during this time estimated from the sediment-core analysis. The models indicated that between 1965 and 1995, when the lake retained some of the effluent from the new sewage treatment plant, water quality should have been between the conditions estimated prior to 1965 and what was expected during typical hydrologic conditions around MY 2008-09. The models also indicated that if the future Mercer Infrastructure Improvement Project is conducted with the best management practices as proposed, the water quality in the lake could improve slightly from that measured during 2006-10. Because of the small amount of phosphorus that is presently input into Mercer Lake any additional phosphorus added to the lake could degrade water quality; therefore, management actions can usefully focus on minimizing future phosphorus inputs. Phosphorus released from the sediments of a degraded lake often delays its response to decreases in external phosphorus loading, especially in shallow, frequently mixed systems. Mercer Lake, however, remains stratified throughout most of the summer, and phosphorus released from the sediments represents only about 6 percent, or a small fraction, of the total phosphorus load to the lake. Therefore, the phosphorus trapped in the sediments should minimally affect the long-term water quality of the lake and should not delay the response in its productivity to future changes in nutrient loading from its watershed.

Wisconsin↗

An integrated approach to modeling changes in land use, land cover, and disturbance and their impact on ecosystem carbon dynamics: a case study in the Sierra Nevada Mountains of California

Increased land-use intensity (e.g. clearing of forests for cultivation, urbanization), often results in the loss of ecosystem carbon storage, while changes in productivity resulting from climate change may either help offset or exacerbate losses. However, there are large uncertainties in how land and climate systems will evolve and interact to shape future ecosystem carbon dynamics. To address this we developed the Land Use and Carbon Scenario Simulator (LUCAS) to track changes in land use, land cover, land management, and disturbance, and their impact on ecosystem carbon storage and flux within a scenario-based framework. We have combined a state-and-transition simulation model (STSM) of land change with a stock and flow model of carbon dynamics. Land-change projections downscaled from the Intergovernmental Panel on Climate Change’s (IPCC) Special Report on Emission Scenarios (SRES) were used to drive changes within the STSM, while the Integrated Biosphere Simulator (IBIS) ecosystem model was used to derive input parameters for the carbon stock and flow model. The model was applied to the Sierra Nevada Mountains ecoregion in California, USA, a region prone to large wildfires and a forestry sector projected to intensify over the next century. Three scenario simulations were conducted, including a calibration scenario, a climate-change scenario, and an integrated climate- and land-change scenario. Based on results from the calibration scenario, the LUCAS age-structured carbon accounting model was able to accurately reproduce results obtained from the process-based biogeochemical model. Under the climate-only scenario, the ecoregion was projected to be a reliable net sink of carbon, however, when land use and disturbance were introduced, the ecoregion switched to become a net source. This research demonstrates how an integrated approach to carbon accounting can be used to evaluate various drivers of ecosystem carbon change in a robust, yet transparent modeling environment.

California↗

Temperature-dependent variations in mineralogy, major element chemistry and the stable isotopes of boron, lithium and chlorine resulting from hydration of rhyolite glass: Constraints from hydrothermal experiments at 150 to 350°C and 25 MPa

Rhyolite-hosted hydrothermal systems in the continental crust contain valuable energy and mineral resources that make them of special interest across several scientific disciplines. Despite extensive research on these systems, the temperature-dependence of chemical reactions between host rocks and aqueous-rich fluids and the mineralogical transformations resulting from these reactions are not well quantified. To expand our understanding of the controlling processes operating in these systems, we carried out seven laboratory experiments in which rhyolite was reacted with deionized water at 150 °C to 350 °C and 25 MPa. An additional experiment at 200 °C was carried out to examine the effect of dissolved CO 2 on the reactions. The overarching goal of this experimental study was to provide new insights on the temperature-dependence of water-rock interaction in continental hydrothermal systems. We applied a wide range of chemical, isotopic and mineralogical methods to analyze the reacted rhyolite and waters, and the major observations are: (1) the rhyolite progressively hydrates with increasing temperature between 150 °C to a maximum of 8.2 wt% H 2 O at 275 °C; hydration then decreases until 350 °C in conjunction with the destruction of the rhyolite glass and crystallization of secondary mineral phases; (2) the ratio of molecular water (H 2 O m ) to hydroxyl (OH − ) of the water that is dissolved in the reacted rhyolite decreases from ∼7 at 150 °C to ∼4 at 250 °C; (3) the main secondary minerals formed are the zeolite ferrierite (T ≥ 275 °C); biotite, albite and cristobalite mainly form at higher experimental temperatures (T ≥ 300 °C); (4) the reacted waters are nearly saturated with respect to amorphous silica; (5) at temperatures ≥ 275 °C nearly all the chlorine is leached into solution; (6) fluorine leaching from the rhyolite gradually increases between 150 °C and 250 °C, but then gradually decreases at higher temperatures and is incorporated into a secondary mineral phase; (7) dissolved CO 2 in the water enhances alkali metal cation leaching from the rhyolite; and (8) calculated Na-K and silica geothermometer temperatures differ from the experimental temperatures by varying amounts. In addition, apart from some small lithium isotope fractionation at temperatures ≤ 250 °C, the stable isotopes of boron, lithium and chlorine do not fractionate during rhyolite-water reactions, and the stable isotope compositions of these species in the reacted water are similar to those in the reactant rhyolite. These results provide new insights for a broad range of applications, including quantifying processes involving rhyolite glass hydration (obsidian hydration dating, perlite formation and discriminating secondary from magmatic water in rhyolitic matrix-glass of volcanic pyroclasts), for geothermal energy and mineral deposit exploration and for monitoring volcanoes.

Geochimica et Cosmochimica Acta↗

Special topic—Eruption plumes and clouds

Introduction Explosive eruptions create plumes of volcanic ash and gas that can rise more than 30,000 feet (9.1 kilometers [km]) above sea level within minutes of eruption onset. The resulting clouds disperse under prevailing winds and may cause hazardous conditions hundreds to thousands of kilometers from the volcano, including in international airspace. Rapid detection and characterization of explosive activity is vital to mitigate the wide-ranging effects of volcanic ash. Ashfall thicknesses as small as a millimeter or so on the ground can affect infrastructure, agriculture, and air quality, requiring extensive clean-up procedures (Schuster, 1981; Warrick and others, 1981, U.S. Geological Survey, 2022). Volcanic clouds also pose substantial threats to aircraft. Since 1953, 88 encounters between airplanes and ash clouds have been documented worldwide (International Civil Aviation Organization, 2015, appendix F), resulting in aircraft damage and, in 9 cases, engine failure (Guffanti and others, 2010). In 1982, two large passenger planes suffered complete engine failure owing to eruptions in Indonesia (Global Volcanism Program, 1982) and a similar incident occurred over Alaska in 1989 (Casadevall, 1994). In all three cases, they were able to restart some engine capability and land safely once they emerged from the ash clouds, although with substantial damage (Guffanti and others, 2010). The clear threat to aviation has led to establishment of nine Volcanic Ash Advisory Centers (VAAC) around the world to monitor and rapidly disseminate information about volcanic eruptions to the aviation community. U.S. Geological Survey (USGS) volcano observatories issue the Volcano Observatory Notice for Aviation that informs of preeruptive unrest or eruptive activity. When ash-producing eruptions do occur, volcano observatories work closely with their regional VAAC to ensure consistency and accuracy in eruption onset time, cloud altitude, ash production, and duration as reported in Volcanic Ash Advisories. Explosive volcanism in the United States and Commonwealth of the Northern Mariana Islands prompts 50–100 such advisories in any given year (table J1). This collaborative effort is greatly aided by USGS detection and monitoring of eruption clouds to ensure a timely and coordinated response. To support these efforts to provide guidance on ash transport and fallout, the USGS developed the Ash3d volcanic ash dispersion model ( https://vsc-ash.wr.usgs.gov/ash3d-gui ) (Schwaiger and others, 2012). Automated simulations are run daily by the USGS for volcanoes that are in elevated states of unrest, and in response mode when eruptions occur. During eruptions, the model output is provided to local National Weather Service Weather Forecast Offices to guide them in the issuance of their information products (such as special weather statements, ashfall advisories, or ashfall warnings), as well as to State and local governments and the public. Characterization of the eruption source is needed to estimate the parameters used to initialize the Ash3d model, and by the Anchorage and Washington VAACs to initialize other dispersion models that inform forecasts for the airborne volcanic cloud. The source parameters that can be provided by observation during an eruption include eruption start time, eruption cloud height over time, and eruption duration. Other, nonobservable source parameters, such as mass eruption rate and grain-size distribution, are based on empirical correlations and study of historical deposits. The goal is to provide a time series of cloud heights, mass eruption rates, and particle-size distributions that accurately reflects current conditions. When feasible, the USGS also provides guidance on the nature of ongoing eruptions and forecasts future activity using petrologic monitoring of collected tephra samples. The aims of providing accurate observable parameters are achieved through analysis of (1) near-real-time meteorological satellite data, (2) ground-based cameras (see of Flinders, A.F., Lowenstern, J.B., Coombs, M.L., and Poland, M.P., eds., Recommended capabilities and instrumentation for volcano monitoring in the United States: U.S. Geological Survey Scientific Investigations Report 2024–5062–G, 11 p., https://doi.org/10.3133/sir20245062g.">chapter G , this volume; Orr and others, 2024), (3) weather radar, (4) volcanic lightning detection, and (5) ground-based ash sensors and sampling. Explosive eruptions can be detected by a variety of geophysical monitoring, including infrasound (see of Flinders, A.F., Lowenstern, J.B., Coombs, M.L., and Poland, M.P., eds., Recommended capabilities and instrumentation for volcano monitoring in the United States: U.S. Geological Survey Scientific Investigations Report 2024–5062–C, 11 p., https://doi.org/10.3133/sir20245062c.">chapter C , this volume; Lyons and others, 2024) and seismicity (see of Flinders, A.F., Lowenstern, J.B., Coombs, M.L., and Poland, M.P., eds., Recommended capabilities and instrumentation for volcano monitoring in the United States: U.S. Geological Survey Scientific Investigations Report 2024–5062–B, 9 p., https://doi.org/10.3133/sir20245062b.">chapter B , this volume; Thelen and others, 2024). However, those methods cannot quantify the altitude, ash content, and dispersal dynamics of resulting volcanic clouds. Ideally, all available sources of monitoring data are synthesized to develop a coherent understanding of eruptive activity. The guidance summarized here provides a framework for characterizing volcanic clouds in the atmosphere and tracking the evolution of explosive eruption dynamics.

Scientific Investigations Report↗

Dawning of Herpetological Conservation and Biology: A special welcome to your new journal

Inception of a new journal in herpetology is a rare event. The first discussion of developing a journal with an emphasis on natural history and conservation occurred among a subset of us (McCallum, others), while at the 2005 joint annual meeting of the SSAR/HL/ASIH in Tampa, Florida. Some of the initial questions we posed for a new herpetological journal were as follows: (1) is there a need; (2) audience; and (3) support? If any one of these did not exist, then the concept should be abandoned or modified. We critically examined these questions through discussions with many individuals and informal surveys performed on the Partners in Amphibian and Reptile Conservation (PARC) listserver (parc@listserv.uga.edu) and other forums. Early on, it was obvious to us that there was strong demand for an outlet serving natural history, field ecology and conservation studies, especially descriptive investigations and management case studies that appeared to lack a home in other journals. The road traveled since those discussions has been fast paced, culminating in this 2006 launch of Herpetological Conservation and Biology (HCB).

Herpetological Conservation and Biology↗

Water Quality and Hydrology of Silver Lake, Barron County, Wisconsin, With Special Emphasis on Responses of a Terminal Lake to Changes in Phosphorus Loading and Water Level

Silver Lake is typically an oligotrophic-to-mesotrophic, soft-water, terminal lake in northwestern Wisconsin. A terminal lake is a closed-basin lake with surface-water inflows but no surface-water outflows to other water bodies. After several years with above-normal precipitation, very high water levels caused flooding of several buildings near the lake and erosion of soil around much of the shoreline, which has been associated with a degradation in water quality (increased phosphorus and chlorophyll a concentrations and decreased water clarity). To gain a better understanding of what caused the very high water levels and degradation in water quality and collect information to better understand the lake and protect it from future degradation, the U.S. Geological Survey did a detailed study from 2004 to 2008. This report describes results of the study; specifically, lake-water quality, historical changes in water level, water and phosphorus budgets for the two years monitored in the study, results of model simulations that demonstrate how changes in phosphorus inputs affect lake-water quality, and the relative importance of changes in hydrology and changes in the watershed to the water quality of the lake. From 1987 to about 1996, water quality in Silver Lake was relatively stable. Since 1996, however, summer average total phosphorus concentrations increased from about 0.008 milligrams per liter (mg/L) to 0.018 mg/L in 2003, before decreasing to 0.011 mg/L in 2008. From 1996 to 2003, Secchi depths decreased from about 14 to 7.4 feet, before increasing to about 19 feet in 2008. Therefore, Silver Lake is typically classified as oligotrophic to mesotrophic; however, during 2002-4, the lake was classified as mesotrophic to eutrophic. Because productivity in Silver Lake is limited by phosphorus, phosphorus budgets for the lake were constructed for monitoring years 2005 and 2006. The average annual input of phosphorus was 216 pounds: 78 percent from tributary and nearshore runoff and 22 percent from atmospheric deposition. Because Silver Lake is hydraulically mounded above the local groundwater system, little or no input of phosphorus to the lake is from groundwater and septic systems. Silver Lake had previously been incorrectly described as a groundwater flowthrough lake. Phosphorus budgets were constructed for a series of dry years (low water levels) and a series of wet years (high water levels). About 6 times more phosphorus was input to the lake during wet years with high water levels than during the dry years. Phosphorus from erosion represented 13-20 percent of the phosphorus input during years with very high water levels. Results from the Canfield and Bachman eutrophication model and Carlson trophic state index equations demonstrated that water quality in Silver Lake directly responds to changes in external phosphorus input, with the percent change in chlorophyll a being about 80 percent of the percent change in total phosphorus input and the change in Secchi depth and total phosphorus concentrations being about 40 and 50 percent of the percent change in input, respectively. Therefore, changes in phosphorus input should impact water quality. Specific scenarios were simulated with the models to describe the effects of natural (climate-driven) and anthropogenic (human-induced) changes. Results of these scenarios demonstrated that several years of above-normal precipitation cause sustained high water levels and a degradation in water quality, part of which is due to erosion of the shoreline. Results also demonstrated that 1) changes in tributary and nearshore runoff have a dramatic effect on lake-water quality, 2) diverting water into the lake to increase the water level is expected to degrade the water quality, and 3) removal of water to decrease the water level of the lake is expected to have little effect on water quality. Fluctuations in water levels since 1967, when records began for the lake, are representative

Scientific Investigations Report↗

U.S. Geological Survey Core Research Center: A gateway to subsurface discovery for geoscience research

The U.S. Geological Survey (USGS) operates the Core Research Center (CRC) in Denver, Colorado, USA, a public access repository of rock cores from over 9800 wells and drill cuttings from over 53 000 wells, primarily from states in or adjacent to the Rocky Mountain Region. Annually, approximately 1400 visitors use the collection for traditional and innovative research. The CRC has an online, searchable database which includes downloadable core photos, analytical data, and thin-section images. When visitors sample for analyses, the results must be returned to the CRC for public dissemination providing immediate, free access to users while sparing the finite, irreplaceable collection from redundant testing. A representative quantity of every core depth is preserved in perpetuity. Studies on CRC materials, paired with new extraction methods, have unlocked new productive deposits. Materials drilled and curated decades ago remain in high demand while materials receiving little attention today may be crucial for future research. The collection provides immediate, inexpensive access to subsurface materials at a fraction of the cost of new drilling, sparing money, time and environmental impacts.

Geological Society, London, Special Publications↗

Theory, construction and operation of simple tensiometers

The tensiometer, introduced by Richards and Gardner (1936) has been a tool often ignored in unsaturated zone investigations. Hazardous waste disposal studies that require values of unsaturated zone matric potentials will expand tensiometer use. Familiarity with operation and installation principles is necessary to ensure quality data collection. The essential elements of a tensiometer are a porous cup connected with tubing to a vacuum gauge; all are filled with water. When the porous cup is buried in unsaturated soil, the soil draws water through the cup wall, until the water tension inside the cup equals the surrounding soil-water tension. The tension is transmitted through the water filled tube to an accessible vacuum gauge (manometer or transducer) and is recorded manually or automatically. Although specialized tensiometers exist, the tensiometer presented here in detail is suited to diverse on-site applications. Constructed from readily available, inexpensive parts, it can measure as much as 0.85 bar of tension. Design features include a flushing system for removal of entrapped air or mercury, and an easily maintained modular network of nylon manometers and water-supply tubes. Good hydraulic connection between porous cup and soil and meticulous backfill procedures are necessary for accurate measurement of representative matric potentials. Proper and consistent use of tensiometers should yield reliable values of matric potentials, and lead to a better understanding of unsaturated zone processes.

Groundwater Monitoring and Remediation↗

Lake Michigan Diversion Accounting land cover change estimation by use of the National Land Cover Dataset and raingage network partitioning analysis

The U.S. Army Corps of Engineers (USACE), Chicago District, is responsible for monitoring and computation of the quantity of Lake Michigan water diverted by the State of Illinois. As part of this effort, the USACE uses the Hydrological Simulation Program&ndash;FORTRAN (HSPF) with measured meteorological data inputs to estimate runoff from the Lake Michigan diversion special contributing areas (SCAs), the North Branch Chicago River above Niles and the Little Calumet River above South Holland gaged basins, and the Lower Des Plaines and the Calumet ungaged that historically drained to Lake Michigan. These simulated runoffs are used for estimating the total runoff component from the diverted Lake Michigan watershed, which is accountable to the total diversion by the State of Illinois. The runoff is simulated from three interpreted land cover types in the HSPF models: impervious, grass, and forest. The three land cover data types currently in use were derived from aerial photographs acquired in the early 1990s. This study used the National Land Cover Dataset (NLCD) and developed an automated process for determining the area of the three land cover types, thereby allowing faster updating of future models, and for evaluating land cover changes by use of historical NLCD datasets. The study also carried out a raingage partitioning analysis so that the segmentation of land cover and rainfall in each modeled unit is directly applicable to the HSPF modeling. Historical and existing impervious, grass, and forest land acreages partitioned by percentages covered by two sets of raingages for the Lake Michigan diversion SCAs, gaged basins, and ungaged basins are presented.

Illinois↗

A preliminary report of the geohydrology of the Mississippi salt-dome basin

The U.S. Department of Energy is investigating the suitability of salt domes in the Mississippi salt-dome basin as repositories for storing radioactive wastes. The Department of Energy has requested that the U.S. Geological Survey describe the groundwater hydrology of the Mississippi salt-dome basin, giving special attention to direction and rate of movement of water. In this first part of a continuing investigation the data obtained from one year of extensive literature search and data compilation are summarized. The regional groundwater hydrology in the salt-dome basin is defined with respect to (1) groundwater flow, (2) facies changes, (3) geological structure, (4) recharge and discharge, (5) freshwater-saltwater relations, and (6) identification of localities where additional data are needed. From the 50 piercement-type salt domes in the Mississippi salt-dome basin three domes (Richton, Cypress Creek, and Lampton) were selected for more intensive study. To further evaluate the geohydrology of Richton, Lampton, and Cypress Creek domes as possible sites for storage of radioactive waste, an intensive geohydrologic study based on a comprehensive test drilling program near the domes is planned. (USGS)

Mississippi↗