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At least 883 records · Page 49Linked to original sources

Exploring the regional dynamics of U.S. irrigated agriculture from 2002 to 2017

The United States has a geographically mature and stable land use and land cover system including land used as irrigated cropland; however, changes in irrigation land use frequently occur related to various drivers. We applied a consistent methodology at a 250 m spatial resolution across the lower 48 states to map and estimate irrigation dynamics for four map eras (2002, 2007, 2012, and 2017) and over four 5-year mapping intervals. The resulting geospatial maps (called the Moderate Resolution Imaging Spectroradiometer (MODIS) Irrigated Agriculture Dataset or MIrAD-US) involved inputs from county-level irrigated statistics from the U.S. Department of Agriculture, National Agricultural Statistics Service, agricultural land cover from the U.S. Geological Survey National Land Cover Database, and an annual peak vegetation index derived from expedited MODIS satellite imagery. This study investigated regional and periodic patterns in the amount of change in irrigated agriculture and linked gains and losses to proximal causes and consequences. While there was a 7% overall increase in irrigated area from 2002 to 2017, we found surprising variability by region and by 5-year map interval. Irrigation land use dynamics affect the environment, water use, and crop yields. Regionally, we found that the watersheds with the largest irrigation gains (based on percent of area) included the Missouri, Upper Mississippi, and Lower Mississippi watersheds. Conversely, the California and the Texas–Gulf watersheds experienced fairly consistent irrigation losses during these mapping intervals. Various drivers for irrigation dynamics included regional climate fluctuations and drought events, demand for certain crops, government land or water policies, and economic incentives like crop pricing and land values. The MIrAD-US (Version 4) was assessed for accuracy using a variety of existing regionally based reference data. Accuracy ranged between 70% and 95%, depending on the region.

Conterminous United States↗

An empirical evaluation of landscape energetic models: Mallard and American black duck space use during the non-breeding period

Bird conservation Joint Ventures are collaborative partnerships between public agencies and private organizations that facilitate habitat management to support waterfowl and other bird populations. A subset of Joint Ventures has developed energetic carrying capacity models (ECCs) to translate regional waterfowl population goals into habitat objectives during the non-breeding period. Energetic carrying capacity models consider food biomass, metabolism, and available habitat to estimate waterfowl carrying capacity within an area. To evaluate Joint Venture ECCs in the context of waterfowl space use, we monitored 33 female mallards ( Anas platyrhynchos ) and 55 female American black ducks ( A. rubripes ) using global positioning system satellite telemetry in the central and eastern United States. To quantify space use, we measured first-passage time (FPT: time required for an individual to transit across a circle of a given radius) at biologically relevant spatial scales for mallards (3.46 km) and American black ducks (2.30 km) during the non-breeding period, which included autumn migration, winter, and spring migration. We developed a series of models to predict FPT using Joint Venture ECCs and compared them to a biological null model that quantified habitat composition and a statistical null model, which included intercept and random terms. Energetic carrying capacity models predicted mallard space use more efficiently during autumn and spring migrations, but the statistical null was the top model for winter. For American black ducks, ECCs did not improve predictions of space use; the biological null was top ranked for winter and the statistical null was top ranked for spring migration. Thus, ECCs provided limited insight into predicting waterfowl space use during the non-breeding season. Refined estimates of spatial and temporal variation in food abundance, habitat conditions, and anthropogenic disturbance will likely improve ECCs and benefit conservation planners in linking non-breeding waterfowl habitat objectives with distribution and population parameters. Published 2015. This article is a U.S. Government work and is in the public domain in the USA.

Arkansas, Delaware, Louisiana, Michigan, New Jerse↗

Spatially explicit modeling of blackbird abundance in the Prairie Pothole Region

Knowledge of factors influencing animal abundance is important to wildlife biologists developing management plans. This is especially true for economically important species such as blackbirds (Icteridae), which cause more than $100 million in crop damages annually in the United States. Using data from the North American Breeding Bird Survey, the National Land Cover Dataset, and the National Climatic Data Center, we modeled effects of regional environmental variables on relative abundance of 3 blackbird species (red-winged blackbird, Agelaius phoeniceus ; yellow-headed blackbird, Xanthocephalus xanthocephalus ; common grackle, Quiscalus quiscula ) in the Prairie Pothole Region of the central United States. We evaluated landscape covariates at 3 logarithmically related spatial scales (1,000 ha, 10,000 ha, and 100,000 ha) and modeled weather variables at the 100,000-ha scale. We constructed models a priori using information from published habitat associations. We fit models with WinBUGS using Markov chain Monte Carlo techniques. Both landscape and weather variables contributed strongly to predicting blackbird relative abundance (95% credibility interval did not overlap 0). Variables with the strongest associations with blackbird relative abundance were the percentage of wetland area and precipitation amount from the year before bird surveys were conducted. The influence of spatial scale appeared small—models with the same variables expressed at different scales were often in the best model subset. This large-scale study elucidated regional effects of weather and landscape variables, suggesting that management strategies aimed at reducing damages caused by these species should consider the broader landscape, including weather effects, because such factors may outweigh the influence of localized conditions or site-specific management actions. The regional species distributional models we developed for blackbirds provide a tool for understanding these broader landscape effects and guiding wildlife management practices to areas that are optimally beneficial. Published 2015. This article is a U.S. Government work and is in the public domain in the USA.

Iowa, Minnesotta, Montana, Nebraska, North Dakota↗

Effects of haying on breeding birds in CRP grasslands

The Conservation Reserve Program (CRP) is a voluntary program that is available to agricultural producers to help protect environmentally sensitive or highly erodible land. Management disturbances of CRP grasslands generally are not allowed unless authorized to provide relief to livestock producers during severe drought or a similar natural disaster (i.e., emergency haying and grazing) or to improve the quality and performance of the CRP cover (i.e., managed haying and grazing). Although CRP grasslands may not be hayed or grazed during the primary bird-nesting season, these disturbances may have short-term (1 yr after disturbance) and long-term (≥2 yr after disturbance) effects on grassland bird populations. We assessed the effects of haying on 20 grassland bird species in 483 CRP grasslands in 9 counties of 4 states in the northern Great Plains, USA between 1993 and 2008. We compared breeding bird densities (as determined by total-area counts) in idle and hayed fields to evaluate changes 1, 2, 3, and 4 years after haying. Haying of CRP grasslands had either positive or negative effects on grassland birds, depending on the species, the county, and the number of years after the initial disturbance. Some species (e.g., horned lark [ Eremophila alpestris ], bobolink [ Dolichonyx oryzivorus ]) responded positively after haying, and others (e.g., song sparrow [ Melospiza melodia ]) responded negatively. The responses of some species changed direction as the fields recovered from haying. For example, densities for common yellowthroat ( Geothlypis trichas ), sedge wren ( Cistothorus platensis ), and clay-colored sparrow ( Spizella pallida ) declined the first year after haying but increased in the subsequent 3 years. Ten species showed treatment × county interactions, indicating that the effects of haying varied geographically. This long-term evaluation on the effects of haying on breeding birds provides important information on the strength and direction of changes in bird populations following a disturbance. Results from this study can help guide management of CRP and other grasslands and inform future agricultural programs that address biomass energy production. © 2016 This article is a U.S. Government work and is in the public domain in the USA.

Minnesota, Montana, North Dakota, South Dakota↗

National seed strategy progress report, 2015-2020

Native plants are the true green infrastructure we rely on for healthy, resilient, and biodiverse ecosystems. They protect us against climate change and natural disasters; create habitat for wildlife, rare species, and pollinators; and are vital for carbon sequestration. Without native plants, especially their seeds, we do not have the ability to restore functional ecosystems after natural disasters and mitigate the effects of climate change. Investing now in coordinated, research-driven native seed production is an efficient and cost-effective nature-based solution for improving ecosystem resilience in the face of the climate and extinction crisis. Federal government agencies (see list on page 13 and their partners are collaborating to increase the supply of native seeds for restoration through the National Seed Strategy for Rehabilitation and Restoration (National Seed Strategy) to get the right seed in the right place at the right time. The National Seed Strategy is a public-private collaboration to increase the supply of native seeds for restoration projects to ensure ecosystem resilience and the health and prosperity of future generations. Developed by the Plant Conservation Alliance (PCA) in 2015, the National Seed Strategy harnesses cross sector botanical expertise, supports rural, agricultural, minority, and tribal livelihoods, and provides training opportunities to our next generation of natural resource professionals to maintain and preserve our iconic habitats. This science-driven national effort is integral to the Nation’s conservation priorities, including the commitment to conserve 30% of America’s lands and waters by 2030 as outlined in Executive Order 14008 on Tackling the Climate Crisis at Home and Abroad. Moreover, the National Seed Strategy is recognized in the objectives of the 2021 DOI Invasive Species Strategic Plan (DOI 2021) and addresses national priorities such as climate change, wildland fire, and tribal engagement. The National Seed Strategy charts a course for federal, tribal, state, local and private partners to increase private and public sector coordination on native seed development, thereby accelerating the pace and scale of restoration. Success is being achieved through the establishment of nationwide networks of seed collectors, researchers to develop seed, farmers to grow native seed, nurseries and seed storage facilities to supply adequate quantities of appropriate seed, and restoration ecologists.

Progress Report↗

Delaware River Basin

During the past 25 years, industry and government have made large financial investments in manufacturing, processing, and wastewater-treatment facilities to reduce the amount of contaminants being discharged. Although these investments have led to improved water quality across the Nation, concerns about the effects of nutrients, toxins, and pathogens on human health and that of ecological communities remain. To address the need for consistent and scientifically sound information for managing the Nation's water resources, the U.S. Geological Survey began the National Water-Quality Assessment (NAWQA) program in 1991. This program is unique in that it integrates surface- and ground-water-quality monitoring with the study of aquatic ecosystems. The goals of the NAWQA program are to (1) describe current water-quality conditions for a large part of the Nation's freshwater streams and aquifers (water-bearing sediments and rocks), (2) describe how water quality is changing over time, and (3) increase our understanding of the natural and human factors that affect water quality (Leahy and others, 1990, Gilliom and others, 1995). Assessing the quality of water in every location of the Nation would not be practical. Therefore, NAWQA investigations are conducted within 59 selected areas called study units (fig. 1). These study units encompass important river and aquifer systems in the United States and represent the diverse geographic, waterresource, land-use, and water-use characteristics of the Nation. The Delaware River Basin is one of 15 study units in which work began in 1996. Water-quality sampling in the study unit will begin in 1999. This fact sheet provides a brief overview of the NAWQA program, describes the Delaware River Basin study unit, identifies the major water-quality issues in the basin, and documents the plan of study that will be followed during the study-unit investigation.

Delaware, Maryland, New Jersey, New York, Pennsylv↗

Site Selection for a Deep Monitor Well, Kualapuu, Molokai, Hawaii

Management of the ground-water resources near Kualapuu on the island of Molokai, Hawaii, is hindered by the uncertainty in the vertical salinity structure in the aquifer. In the State of Hawaii, vertical profiles of ground-water salinity are commonly obtained from deep monitor wells, and these profiles are used to estimate the thicknesses of the freshwater part of the ground-water flow system and the freshwater-saltwater transition zone. Information from a deep monitor well would improve the understanding of the ground-water flow system and the ability to effectively manage the ground-water resources near Kualapuu; however, as of mid-1999 no deep monitor wells had been drilled on the island of Molokai. Selection of an appropriate site for drilling a deep monitor well in the Kualapuu area depends partly on where future ground-water development may occur. Simulations using an areally two-dimensional, steady-state, sharp-interface ground-water flow model previously developed for the island of Molokai, Hawaii, indicate that the southeastern part of the Kualapuu area is a possible area of future ground-water development because (1) withdrawals from this area have a small effect on water levels at existing wells in the Kualapuu area (relative to effects from withdrawals in other parts of the Kualapuu area that are outside of the dike complex), and (2) model-calculated water levels in this part of the Kualapuu area are high relative to water levels in other parts of the Kualapuu area that are outside of the dike complex. Additional site-selection criteria include (1) ground-water level, (2) ground-surface altitude, (3) land classification, ownership, and accessibility, (4) geology, (5) locations of existing production wells, and (6) historical ground-water quality information. A deep monitor well in the Kualapuu area will likely be most useful for management purposes if it is located (1) in the vicinity of future ground-water development, (2) in an area where water levels are between about 8 and 12 feet above sea level, (3) at a ground-surface altitude that is between about 1,000 and 1,100 feet, (4) on government-owned land, (5) outside of the dike complex and as far from known volcanic vents as possible, (6) at least about 1,000 feet from, but within the same hydrogeologic setting as, existing or proposed production wells, and (7) east of well 0902-01. A viable area for drilling a deep monitor well is about a half mile southeast of existing wells 0801-01 to -03 and a half mile north of a known volcanic vent, Puu Luahine.

Water-Resources Investigations Report↗

Evaluation of multidimensional transport through a field-scale compacted soil liner

A field-scale compacted soil liner was constructed at the University of Illinois at Urbana-Champaign by the U.S. Environmental Protection Agency (USEPA) and Illinois State Geological Survey in 1988 to investigate chemical transport rates through low permeability compacted clay liners (CCLs). Four tracers (bromide and three benzoic acid tracers) were each added to one of four large ring infiltrometers (LRIs) while tritium was added to the pond water (excluding the infiltrometers). Results from the long-term transport of Br - "> Br - from the localized source zone of LRI are presented in this paper. Core samples were taken radially outward from the center of the Br - "> Br - LRI and concentration depth profiles were obtained. Transport properties were evaluated using an axially symmetric transport model. Results indicate that (1) transport was diffusion controlled; (2) transport due to advection was negligible and well within the regulatory limits of k sat ⩽ 1 × 10 - 7 cm / s ; "> k sat ⩽ 1 × 10 − 7 cm / s; (3) diffusion rates in the horizontal and vertical directions were the same; and (4) small positioning errors due to compression during soil sampling did not affect the best fit advection and diffusion values. The best-fit diffusion coefficient for bromide was equal to the molecular diffusion coefficient multiplied by a tortuosity factor of 0.27, which is within 8% of the tortuosity factor (0.25) found in a related study where tritium transport through the same liner was evaluated. This suggests that the governing mechanisms for the transport of tritium and bromide through the CCL were similar. These results are significant because they address transport through a composite liner from a localized source zone which occurs when defects or punctures in the geomembrane of a composite system are present.

Journal of Geotechnical and Geoenvironmental Engin↗

Summary and Analysis of the U.S. Government Bat Banding Program

This report summarizes the U.S. Government Bat Banding Program (BBP) from 1932 to 1972. More than 2 million bands were issued during the program, of which approximately 1.5 million bands were applied to 36 bat species by scientists in many locations in North America including the U.S., Canada, Mexico, and Central America. Throughout the BBP, banders noticed numerous and deleterious effects on bats, leading to a moratorium on bat banding by the U.S. Fish and Wildlife Service, and a resolution to cease banding by the American Society of Mammalogists in 1973. One of the main points of the memorandum written to justify the moratorium was to conduct a 'detailed evaluation of the files of the bat-banding program.' However, a critical and detailed evaluation of the BBP was never completed. In an effort to satisfy this need, I compiled a detailed history of the BBP by examining the files and conducting a literature review on bat banding activities during the program. I also provided a case study in managing data and applying current mark-recapture theory to estimate survival using the information from a series of bat bands issued to Clyde M. Senger during the BBP. The majority of bands applied by Senger were to Townsend's big-eared bat (Corynorhinus townsendii), a species of special concern for many states within its geographic range. I developed a database management system for the bat banding records and then analyzed and modeled survival of hibernating Townsend's big-eared bats at three main locations in Washington State using Cormack-Jolly-Seber (CJS) open models and the modeling capabilities of Program MARK. This analysis of a select dataset in the BBP files provided relatively precise estimates of survival for wintering Townsend's big-eared bats. However, this dataset is unique due to its well-maintained and complete state and because there were high recapture rates over the course of banding; it is doubtful that other unpublished datasets of the same quality exist buried in the BBP files for further analyses. Lastly, I make several recommendations based on the findings of this summary and analysis, the most important of which is that marking bats with standard metal or split-ring forearm bands should not be considered for mark-recapture studies unless the information sought and the potential for obtaining unbiased estimates from that information vastly outweighs the potential negative effects to the bats.

Open-File Report↗

Status and trends of Caribbean coral reefs: 1970-2012

This it the 9th status report since the Global Coral Reef Monitoring Network (GCRMN) was founded in 1995 was the data arm of the International Coral Reef Initiative (ICRI) to document the ecological condition or corral reefs, strengthen monitoring efforts, and link existing organizations and people working on reefs worldwide. The US Government provided the initial funding to help set up a global network of coral reef workers and has continued to provide core support. Since then, the series of reports have aimed to present the current status of coral reefs of the world or particular regions, the major threats to reefs and their consequences, and any initiative undertaken under the auspices of ICRI or other bodies to arrest or reverse the decline of coral reefs. IUCN assumed responsibility for hosting the global coordination of the GCRMN in 2010 under the scientific direction of Jeremy Jackson with the following objectives: 1. Document quantitatively the global status and trends for corals, macroalgae, sea urchins, and fishes based on available data from individual scientists as well as the peer reviewed scientific literature, monitoring programs, and report. 2. Bring together regional experts in a series of workshops to involve them in data compilation, analysis, and synthesis. 3. Integrate coral reef status and trends with independent environmental, management, and socioeconomic data to better understand the primary factors responsible for coral reef decline, the possible synergies among factors that may further magnify their impacts, and how these stresses may be more effectively alleviated. Work with GCRMN partners to establish simple and practical standardized protocols for future monitoring and assessment. Disseminate information and results to help guide member state policy and actions. The overarching objective is to understand why some reefs are much healthier than others, to identify what kinds of actions have been particularly beneficial or harmful, and to vigorously communicate results in simple and straightforward terms to foster more effective conservation and management. This and subsequent reports will focus on separate biogeographic regions in a stepwise fashion and combine all of the results for a global synthesis in the coming years. We began in the wide Caribbean region because the historical data are so extensive and to refine methods of analysis before moving on to other regions. This report documents quantitative trends for Caribbean reef corals, macroalgae, sea urchins, and fishes based on data from 90 reef locations over the past 43 tears. This is the first report to combine all these disparate kinds of data in a single place to explore how the different major components of coral reef ecosystems interact on a broadly regional oceanic scale. We obtained data from more than 35,000 ecological surveys carried out by 78 principal investigators (PIs) and some 200 colleagues working in 34 countries, states, and territories throughout the wide Caribbean region. We conducted two workshops in Panama and Brisbane, Australia to bring together people who provided the data to assist in data quality control, analysis, and synthesis. The first workshop at the Smithsonian Tropical Research Institute (STRI) in the Republic of Panama 29 April to 5 May, 2012 included scientists from 18 countries and territories to verify and expand the database and to conduct exploratory analyses of status and trends. Preliminary results based on the Panama workshop were presented to the DC Marine Community and Smithsonian Institution Senate of Scientists in May 2012 and at the International Coral Reef Symposium (ICRS) and annual ICRI meeting in Cairns, Australia in July 2012. The second workshop in Brisbane, Australia in December 2012 brought together eight coral reef scientists for more detailed data analysis and organization of results for this report and subsequent publications. Subsequent presentations to solicit comments while the report was being finalized were made in 2013-2014 at the ICRI General meeting in Belize, the biennial meeting of the Association of Island Marine Laboratories in Jamaica, the Panamerican Coral Reef Congress in Merida, Mexico, the annual meeting of he Western Society of Naturalists, and numerous universities in Costa Rica, the USA and Europe. The main body of the report is in two sections. Part I provides an overview of overall status and trends and detailed analyses of the multiple factors responsible for the decline of reef corals throughout the entire wider Caribbean region. The editors are grateful to all the people who have so generously provided data and expertise, but we assume responsibility for the many statements, conclusions and recommendations and final wording of the text. Part II provides a more detailed analysis of the status and trends of coral reef ecosystems in the 32 countries, states, and territories for which we have data. The format includes maps indicating all locations sampled, a detailed table of data sources and sites surveyed, timelines of ecologically important evens, and relevant references. Each of these reports was compiled in consultation with local experts and all those who provided data and advice are listed as authors of each country report.

Report↗

Generation and validation of characteristic spectra from EO1 Hyperion image data for detecting the occurrence of the invasive species, Chinese tallow

Chinese tallow (Triadica sebifera) is an invasive tree that is spreading throughout the south-eastern United States and now into the west, and in many places causing extensive change to native habitat and associated wildlife. Detecting and mapping the relative distribution of this species is important to its control and eradication. To map the relative distribution of Chinese tallow within a southwestern Louisiana coastal wetland to upland environment, Earth Observing 1 (EO1) satellite Hyperion sensor hyperspectral image data were combined with a subpixel extraction method that modelled characteristic spectra from the image data without requiring a priori characteristic spectra. Because of the low percentage occurrences of Chinese tallow and high spectral covariation in the environment, unique validation and verification methods were implemented, relying on simultaneous collection of field canopy reflectance spectra and subsequent classification of canopy compositions. The subpixel extraction method produced five characteristic spectra, which we further refined to four that adequately represented the field spectra, as well as the Hyperion imaged canopy reflectance datasets. Characteristic spectra were designated as senescing foliage, cypress-tupelo trees, and trees without leaves; shadows and green vegetation; senescing Chinese tallow with yellow leaves and yellowing foliage; and senescing Chinese tallow with red leaves ('red tallow'). About 81% (n=34) of the field and 78% (n=33) of the Hyperion imaged characteristic spectra associated with 'red tallow' were explained by the compositions generated in the field slide classifications. ?? 2005 US Government.

International Journal of Remote Sensing↗

Temperature model in support of the U.S. Geological Survey National Crustal Model for seismic hazard Ssudies

The U.S. Geological Survey National Crustal Model (NCM) is being developed to assist with earthquake hazard and risk assessment by supporting estimates of ground shaking in response to an earthquake. The period-dependent intensity and duration of shaking depend upon the three-dimensional seismic velocity, seismic attenuation, and density distribution of a region, which in turn is governed to a large degree by geology and how that geology behaves under varying temperatures and pressures. A three-dimensional temperature model is presented here to support the estimation of physical parameters within the U.S. Geological Survey NCM. The crustal model is defined by a geological framework consisting of various lithologies with distinct mineral compositions. A temperature model is needed to calculate mineral density and bulk and shear modulus as a function of position within the crust. These properties control seismic velocity and impedance, which are needed to accurately estimate earthquake travel times and seismic amplitudes in earthquake hazard analyses. The temperature model is constrained by observations of surface temperature, temperature gradient, and conductivity, inferred Moho temperature and depth, and assumed conductivity at the base of the crust. The continental plate is assumed to have heat production that decreases exponentially with depth and thermal conductivity that exponentially changes from a surface value to 3.6 watts per meter-Kelvin at the Moho. The oceanic plate cools as a half-space with a geotherm dependent on plate age. Under these conditions, and the application of observed surface heat production, predicted Moho temperatures match Moho temperatures inferred from seismic P-wave velocities, on average. As has been noted in previous studies, high crustal temperatures are found in the western United States, particularly beneath areas of recent volcanism. In the central and eastern United States, elevated temperatures are found from southeast Texas, into the Mississippi Embayment, and up through Wisconsin. A USGS ScienceBase data release that supports this report is available and consists of grids covering the NCM across the conterminous United States, for example, surface temperature and temperature gradient, that are needed to produce temperature profiles.

Open-File Report↗

Geologic map of Alaska

Summary This map and associated digital databases are the result of compilation and interpretation of published and unpublished 1:250,000-scale and limited 1:500,000- to 1:63,360-scale maps. Covering the entire state of Alaska, it reflects more than a century of work by a host of geologists and almost two decades of compilation work. There are two versions of the map: a detailed digital version, and a simplified, “generalized” map for print. The map units described in the accompanying pamphlet reflect those of the detailed digital map. At the end of each unit description, the generalized map unit for that unit is listed. Compilation of this map began in September 1996, using available 1:250,000-scale data to compile and release a regional map of central Alaska (Wilson and others, 1998). An ongoing iterative process was used to describe and correlate individual geologic units to produce the units for this statewide map and its interim products—a series of regional geologic map compilations—which were released as the process continued (in the references cited in the pamphlet that are shown with an *). As additional geologic data were acquired, previously released data, correlations, and interpretations were updated as needed. Compilation of this map was complex, because the original source maps were made by different generations of geologists, mapping with very different ideas. Several of the older maps were completed before the concepts of accreted (suspect) terranes or even plate tectonics existed. On the other hand, some of the more recent maps were so governed by terrane analysis that conventional stratigraphic nomenclature was not used or is obscured. We adopted a traditional stratigraphic approach and avoided use of the sometimes controversial and commonly inconsistently defined or applied terrane terminology. Our decision to adopt a traditional approach is evident in a map that emphasizes the age and lithology of map units, rather than differences among fault-bounded packages of rocks. We did our best to resolve conflicting interpretations and map data from the regional compilations and from the individual source maps in areas where regional compilations had not been produced. We made every effort to preserve the original geologic map information, incorporating, where available, new data, but we were careful to not overinterpret the geologic data. Yet even our willingness to make interpretations and revisions did not enable us in some areas to resolve mapping conflicts or to reconcile different mapping styles. Therefore, there are several areas on the map where map units are separated by “quadrangle boundary faults.” More data and fieldwork may allow resolution of these conflicts. This Alaska compilation is unique in that it is integrated with a rich database of information provided in the spatial datasets and standalone attribute databases. Within the spatial files every line and polygon is attributed to its original source; the references to these sources are contained in related tables, as well as in stand-alone tables. Additional attributes include typical lithology, geologic setting, and age range for the map units. Also included are tables of radiometric ages.

Alaska↗

Toxicity of carbon dioxide to freshwater fishes: Implications for aquatic invasive species management

Carbon dioxide (CO 2 ) has been approved by the US Environmental Protection Agency as a new aquatic pesticide to control invasive Asian carps and other aquatic nuisance species in the United States. However, limited CO 2 toxicity data could make it challenging for resource managers to characterize the potential risk to nontarget species during CO 2 applications. The present study quantified the toxicity of CO 2 to 2 native riverine fishes, bluegill ( Lepomis macrochirus ) and fathead minnow ( Pimephales promelas ), using 12‐h continuous flow‐through CO 2 exposure at 5, 15, and 25 °C water temperatures. Resulting survival indicated that bluegill (median lethal concentration [LC50] range 91–140 mg/L CO 2 ) were more sensitive to CO 2 than fathead minnow (LC50 range 235–306 mg/L CO 2 ) across all water temperatures. Bluegill were also more sensitive to CO 2 at 5 °C (LC50 91 mg/L CO 2 , 95% CI 85–96 mg/L CO 2 ) than at 25 °C (LC50 140 mg/L CO 2 , 95% CI 135–146 mg/L CO 2 ). Fathead minnow showed an opposite response and were less sensitive at 5 °C (LC50 306 mg/L CO 2 , 95% CI 286–327 mg/L CO 2 ) relative to 25 °C (LC50 235 mg/L CO 2 , 95% CI 224–246 mg/L CO 2 ). Our results show that CO 2 toxicity can differ by species and water temperature. Data from the present study may inform decisions related to the use of CO 2 as a control tool. Environ Toxicol Chem 2020;39:2247–2255. Published 2020. This article is a U.S. government work and is in the public domain in the USA.

Environmental Toxicology and Chemistry (ET&C)↗

Coastal sensitivity to sea level rise— A focus on the Mid-Atlantic Region

This Synthesis and Assessment Product (SAP), developed as part of the U.S. Climate Change Science Program, examines potential effects of sea-level rise from climate change during the twenty-first century, with a focus on the mid-Atlantic coast of the United States. Using scientific literature and policy-related documents, the SAP describes the physical environments; potential changes to coastal environments, wetlands, and vulnerable species; societal impacts and implications of sea-level rise; decisions that may be sensitive to sea-level rise; opportunities for adaptation; and institutional barriers to adaptation. The SAP also outlines the policy context in the mid-Atlantic region and describes the implications of sea-level rise impacts for other regions of the United States. Finally, this SAP discusses ways natural and social science research can improve understanding and prediction of potential impacts to aid planning and decision making. Projections of sea-level rise for the twenty-first century vary widely, ranging from several centimeters to more than a meter. Rising sea level can inundate low areas and increase flooding, coastal erosion, wetland loss, and saltwater intrusion into estuaries and freshwater aquifers. Existing elevation data for the mid-Atlantic United States do not provide the degree of confidence needed for local decision making. Systematic nationwide collection of high-resolution elevation data would improve the ability to conduct detailed assessments in support of planning. The coastal zone is dynamic and the response of coastal areas to sea-level rise is more complex than simple inundation. Much of the United States consists of coastal environments and landforms such as barrier islands and wetlands that will respond to sea-level rise by changing shape, size, or position. The combined effects of sea-level rise and other climate change factors such as storms may cause rapid and irreversible coastal change. All these changes will affect coastal habitats and species. Increasing population and development in coastal areas also affects the ability of natural ecosystems to adjust to sea-level rise. Coastal communities and property owners have responded to coastal hazards by erecting shore protection structures, elevating land and buildings, or relocating inland. Accelerated sea-level rise would increase the costs and environmental impacts of these responses. Shoreline armoring can eliminate the land along the shore to which the public has access; beach nourishment projects often increase access to the shore. Preparing for sea-level rise can be justified in many cases, because the cost of preparing now is small compared to the cost of reacting later. Examples include wetland protection, flood insurance, longlived infrastructure, and coastal land-use planning. Nevertheless, preparing for sea-level rise has been the exception rather than the rule. Most coastal institutions were based on the implicit assumption that sea level and shorelines are stable. Efforts to plan for sea-level rise can be thwarted by several institutional biases, including government policies that encourage coastal development, flood insurance maps that do not consider sea-level rise, federal policies that prefer shoreline armoring over soft shore protection, and lack of plans delineating which areas would be protected or not as sea level rises. The prospect of accelerated sea-level rise and increased vulnerability in coastal regions underscores the immediate need for improving our scientific understanding of and ability to predict the effects of sea-level rise on natural systems and society. These actions, combined with development of decision support tools for taking adaptive actions and an effective public education program, can lessen the economic and environmental impacts of sea-level rise.

Report↗

In-reservoir behavior, dam passage, and downstream migration of juvenile Chinook salmon and juvenile steelhead from Detroit Reservoir and Dam to Portland, Oregon, February 2013-February 2014

In the second year of 2 years of study, the movements of juvenile spring Chinook salmon ( Oncorhynchus tshawytscha ) and juvenile summer steelhead ( Oncorhynchus mykiss ) through Detroit Reservoir, passing Detroit Dam, and migrating downstream to Portland, Oregon, were studied during a 1-year-long period beginning in February 2013. The primary purpose of the study was to provide empirical data to inform decisions about future alternatives for improving downstream passage of salmonids at Detroit Dam. A secondary purpose was to design and assess the performance of a system to detect juvenile salmonids implanted with acoustic transmitters migrating in the Willamette River. Inferences about fish migration were made from detections of juvenile fish of hatchery origin at least 95 millimeters in fork length surgically implanted with an acoustic transmitter and released during the spring (March–May) and fall (September–November) of 2013. Detection sites were placed throughout the reservoir, near the dam, and at two sites in the North Santiam River and at three sites in the Willamette River culminating at Portland, Oregon. We based most inferences on an analysis period up to the 90th percentile of tag life (68–78 days after release, depending on species and season), although a small number of fish passed after that period as late as April 8, 2014. Chinook salmon migrated from the tributaries of release to the reservoir in greater proportion than steelhead, particularly in the fall. The in-reservoir migration behaviors and dam passage of the two species were similar during the spring study, but during the fall study, few steelhead reached the reservoir and none passed the dam within the analysis period. Migrations in the reservoir were directed and non-random, except in the forebay. Depths of fish within 25 meters of the dam were deeper in the day than at night for Chinook salmon and similar in the day and night for steelhead; steelhead generally were at shallower depths than Chinook salmon. The primary factors affecting dam passage rates were seasonal dam operating conditions and diel period. Fish passage rates were much greater during the spring and summer than in the fall and winter, and the difference was attributed to the availability and use of the spillway near the top of the dam during the spring and summer. The flood-control purpose of the reservoir prevented spillway use during much of the fall and winter because of the low forebay elevation. Passage rates at night were greater than in the day during spring and summer (4.2 times) and during the fall and winter (14.9 times). Fish length, dam discharge, and forebay elevation also affected dam passage rates. Travel times from Detroit Dam passage to the downstream sites were shorter during the fall and winter than during the spring and summer, and were less than a median of 8.68 days to Portland. The estimated survival in the 11 kilometers (km) between Detroit Dam and the Minto Dam forebay was lower than in the remaining 241 km to the Portland site. Estimated survival per 100 km in the free-flowing reach from Minto Dam to Portland was 0.675–0.836, depending on species and season, and was similar to other free-flowing rivers in the Western United States. The high probability of fish in the reservoir reaching the dam, the chance for repeated presence near the dam, the fish depths, and the factors known to affect passage rates suggest that a properly designed surface passage route could be a viable downstream passage alternative for juvenile Chinook salmon and steelhead at Detroit Dam. As part of the evaluations conducted at Detroit Dam, we continued to refine and improve methods for monitoring fish movements in the Willamette River. The goal was to develop stable, cost-effective, long-term monitoring arrays suitable for detection of any Juvenile Salmon Acoustic Telemetry System (JSATS)-tagged fish in the Willamette River. These data then could be used to estimate timing, migration rates, and survival of JSATS-tagged fish from various studies in the Willamette River Basin. The challenge, however, is that acoustic telemetry generally performs poorly in shallow, turbulent water, like that found in the Willamette River. We successfully designed, deployed, and maintained a series of monitoring sites near the Oregon cities of Salem, Wilsonville, and Portland. In the spring, detection probabilities at these sites ranged from 0.900 to 1.000. In the fall, the detection probabilities decreased and ranged from 0.526 to 1.000. The lower detection probabilities, particularly at the Salem site (0.526), were owing to loss of data caused by abnormally high flows as well as the 2013 Federal government shutdown, which prevented us from servicing the equipment. The monitoring sites that we installed seem to be robust and enable the efficient use of acoustic-tagged fish for studies of migration or survival in the Willamette River and similar environments.

Oregon↗

Surficial sediment character of the New York-New Jersey offshore continental shelf region: A GIS compilation

Broad continental shelf regions such as the New York Bight are the product of a complex geologic history and dynamic oceanographic processes, dominated by the Holocene marine transgression (>100 m sea-level rise) following the end of the last Pleistocene ice advance ~ 20,000 years ago. The area of the U.S. Exclusive Economic Zone (U.S. EEZ) territory, extending 200 nautical miles seaward from the coast, is larger than the continental U.S. and contains submerged landforms that provide a variety of natural functions and societal benefits, such as: critical habitats for fisheries, ship navigation and homeland security, and engineering activities (i.e. oil and gas platforms, pipeline and cable routes, potential wind-energy-generation sites). Some parts of the continental margins, particularly inner-continental shelf regions, also contain unconsolidated hard-mineral deposits such as sand and gravel that are regarded as potential aggregate resources to meet or augment needs not met by onshore deposits (Williams, 1992). The present distribution of surficial sediment off the northeastern United States is shaped from the deposits left by the last glaciation and reflects the cumulative effects of sediment erosion, transport, sorting, and deposition by storm and tidal processes during the Holocene rise in sea level. As a result, the sediments on the sea floor represent both an historical record of former conditions and a guide to possible future sedimentary environments. The U.S. Geological Survey (USGS) through the Coastal and Marine Geology Program, in cooperation with the University of Colorado and other partners, has compiled extant sediment character and textural data as well as other geologic information on the sea floor from all regions around the U.S. into the usSEABED data system (Reid and others, 2005; Buczkowski and others, 2006; Reid and others, 2006). The usSEABED system, which contains information on sediment grain size and lithology for more than 340,500 stations within the U.S. EEZ. has been developed and populated with data as part of the USGS Marine Aggregate Resources and Processes and the National Benthic Habitats projects in order to provide the base-line data needed to update the current maps of offshore surficial geologic character and sediment distribution. The maps are also used to characterize benthic sea floor environments important for marine ecosystems. U.S. Geological Survey, Data Series 118 (Reid and others, 2005), of the usSEABED data release series, represents the combined efforts of the USGS and several other government agencies to provide a unified resource for accessing and preserving records of U.S. east coast sea floor geologic information and sediment texture data. For this present report, we have chosen to focus on the New York-New Jersey region, an area that has been intensely studied by the USGS for many years to address many complex issues. This report illustrates the uses of the usSEABED database for GIS applications, while offering additional insight into the resources and data available from the USGS and its collaborative institutions. This report is based on data contained in U.S. Geological Survey Data Series 118 (Reid and others, 2005) and shows an assortment of example GIS products that are possible using usSEABED. All data are intended to be GIS-ready and should not require any additional cleanup, formatting, or renaming of fields in order to use the data in a Geographic Information System. This project employs the Environmental Systems Research Institute's (ESRI) ArcView™ software. Many of these maps were made as part of the ongoing USGS study to assess marine aggregate resources offshore New York and New Jersey, but these maps can serve many other purposes. The marine science community, educators, students and others are encouraged to use these data to generate GIS products for their own purposes. The objectives of the Marine Aggregate Resources and Processes project are to produce a series of new geologic maps and reports of the sea floor that will provide scientific insights into the character and geologic development of U.S. continental margins and to use these maps and information to assess the potential availability of offshore sand and gravel resources. The mapping and aggregate resource assessments are being conducted on a national scale using the usSEABED data base as described in Williams and others (2003). Potential uses for these data include: (1) defining the geological variability of the sea floor in relation to benthic habitat diversity; (2) improving our understanding of the processes that control the distribution and transport of bottom sediments and benthic habitats; (3) locating aggregate resources for beach nourishment and industrial applications; and (4) providing a detailed geospatial framework for future marine science research, monitoring, and management activities. The initial assessments are in progress for the New York Bight and Louisiana offshore areas.

New Jersey, New York↗

Radioactive deposits in California

Reconnaissance examination by Government geologists of many areas, mine properties, and prospects in California during the period between 1948 and 1953 has confirmed the presence of radioactive materials in place at more than 40 localities. Abnormal radioactivity at these localities is due to concentrations of primary and secondary uranium minerals, to radon gas, radium (?), and to thorium minerals. Of the known occurrences only three were thought to contain uranium oxide (uranitite or pitchblende), 4 contained uranium-bearing columbate, tantalate, or titanate minerals, 12 contained secondary uranium minerals, such as autunite, carnotite, and torbernite, one contained radon gas, 7 contained thorium minerals, and, at the remaining 16 localities, the source of the anomalous radiation was not positively determined. The occurrences in which uranium oxide has been tentatively identified include the Rathgeb mine (Calaveras County), the Yerih group of claims (San Bernardino County), and the Rainbow claim (Madera County). Occurrences of secondary uranium minerals are largely confined to the arid desert regions of south-eastern California including deposits in San Bernardino, Kern, Inyo, and Imperial Counties. Uranium-bearing columbate, tantalate, or titanate minerals have been reported from pegmatite and granitic rock in southeastern and eastern California. Thorium minerals have been found in vein deposits in eastern San Bernardino County and from pegmatites and granitic rocks in various parts of southeastern California; placer concentrations of thorium minerals are known from nearly all areas in the State that are underlain, in part, by plutonic crystalline rocks. The primary uranium minerals occur principally as minute accessory crystals in pegmatite or granitic rock, or with base-metal sulfide minerals in veins. Thorium minerals also occur as accessory crystals in pegmatite or granitic rock, in placer deposits derived from such rock, and, at Mountain Pass, in veins containing rare earths. Secondary uranium minerals have been found as fracture coatings and as disseminations in various types of wall rock, although they are largely confined to areas of Tertiary volcanic rocks. Probably the uranium in the uraniferous deposits in California is related genetically to felsic crystalline rocks and felsic volcanic rocks; the present distribution of the secondary uranium minerals has been controlled, in part, by circulating ground waters and probably, in part, by magmatic waters related to the Tertiary volcanic activity. The thorium minerals are genetically related to the intrusion of pegmatite and plutonic crystalline rocks. None of the known deposits of radioactive minerals in California contain marketable reserves of uranium or thorium ore under economic conditions existing in 1952. With a favorable local market small lots of uranium ore may be available in the following places: the Rosamund prospect, the Rafferty and Chilson properties, the Lucky Star claim, and the Yerih group. The commercial production of thorium minerals will be possible, in the near future, only if these minerals can be recovered cheaply as a byproduct either from the mining of rare earths minerals at Mountain Pass or as a byproduct of placer mining for gold.

California↗