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At least 937 records · Page 52Linked to original sources

Population-level thermal performance of a cold-water ectotherm is linked to ontogeny and local environmental heterogeneity

Negative effects of global warming are predicted to be most severe for species that occupy a narrow range of temperatures, have limited dispersal abilities or have long generation times. These are characteristics typical of many species that occupy small, cold streams. Habitat use, vulnerabilities and mechanisms for coping with local conditions can differ among populations and ontogenetically within populations, potentially affecting species‐level responses to climate change. However, we still have little knowledge of mean thermal performance for many vertebrates, let alone variation in performance among populations. Assessment of these sources of variation in thermal performance is critical for projecting the effects of climate change on species and for identifying management strategies to ameliorate its effects. To gauge how populations of the Rocky Mountain tailed frog ( Ascaphus montanus ) might respond to long‐term effects of climate change, we measured the ability of tadpoles from six populations in Glacier National Park (Montana, U.S.A.) to acclimate to a range of temperatures. We compared survival among populations according to tadpole age (1 year or 2 years) and according to the mean and variance of late‐summer temperatures in natal streams. The ability of tadpoles to acclimate to warm temperatures increased with age and with variance in late‐summer temperature of natal streams. Moreover, performance differed among populations from the same catchment. Our experiments with a cold‐water species show that population‐level performance varies across small geographic scales and is linked to local environmental heterogeneity. This variation could influence the rate and mode of species‐level responses to climate change, both by facilitating local persistence in the face of changes in thermal conditions and by providing thermally tolerant colonists to neighbouring populations.

Montana↗

StreamStats in Oklahoma– Drainage-basin characteristics and peak-flow frequency statistics for ungaged streams

The USGS Streamflow Statistics (StreamStats) Program was created to make geographic information systems-based estimation of streamflow statistics easier, faster, and more consistent than previously used manual techniques. The StreamStats user interface is a map-based internet application that allows users to easily obtain streamflow statistics, basin characteristics, and other information for user-selected U.S. Geological Survey data-collection stations and ungaged sites of interest. The application relies on the data collected at U.S. Geological Survey streamflow-gaging stations, computer aided computations of drainage-basin characteristics, and published regression equations for several geographic regions comprising the United States. The StreamStats application interface allows the user to (1) obtain information on features in selected map layers, (2) delineate drainage basins for ungaged sites, (3) download drainage-basin polygons to a shapefile, (4) compute selected basin characteristics for delineated drainage basins, (5) estimate selected streamflow statistics for ungaged points on a stream, (6) print map views, (7) retrieve information for U.S. Geological Survey streamflow-gaging stations, and (8) get help on using StreamStats. StreamStats was designed for national application, with each state, territory, or group of states responsible for creating unique geospatial datasets and regression equations to compute selected streamflow statistics. With the cooperation of the Oklahoma Department of Transportation, StreamStats has been implemented for Oklahoma and is available at http://water.usgs.gov/osw/streamstats/. The Oklahoma StreamStats application covers 69 processed hydrologic units and most of the state of Oklahoma. Basin characteristics available for computation include contributing drainage area, contributing drainage area that is unregulated by Natural Resources Conservation Service floodwater retarding structures, mean-annual precipitation at the drainage-basin outlet for the period 1961-1990, 10-85 channel slope (slope between points located at 10 percent and 85 percent of the longest flow-path length upstream from the outlet), and percent impervious area. The Oklahoma StreamStats application interacts with the National Streamflow Statistics database, which contains the peak-flow regression equations in a previously published report. Fourteen peak-flow (flood) frequency statistics are available for computation in the Oklahoma StreamStats application. These statistics include the peak flow at 2-, 5-, 10-, 25-, 50-, 100-, and 500-year recurrence intervals for rural, unregulated streams; and the peak flow at 2-, 5-, 10-, 25-, 50-, 100-, and 500-year recurrence intervals for rural streams that are regulated by Natural Resources Conservation Service floodwater retarding structures. Basin characteristics and streamflow statistics cannot be computed for locations in playa basins (mostly in the Oklahoma Panhandle) and along main stems of the largest river systems in the state, namely the Arkansas, Canadian, Cimarron, Neosho, Red, and Verdigris Rivers, because parts of the drainage areas extend outside of the processed hydrologic units.

Oklahoma↗

Factors limiting the recovery of boreal toads ( Bufo b. boreas )

Boreal toads ( Bufo b. boreas ) are widely distributed over much of the mountainous western United States. Populations in the Southern Rocky Mountains suffered extensive declines in the late 1970s through early 1980s (Carey, 1993). At the time, these mass mortalities were thought to be associated with a bacterial infection (Carey, 1993). Although the few populations that survived the mass die-offs were not systematically monitored until at least 1993, no mass mortalities had been observed until 1996 when die-offs were observed. A mycotic skin infection associated with a chytrid fungus is now causing mortality of toads in at least two of the populations (M.S. Jones and D.E. Green, unpublished data; Muths et al., 2003). Boreal toads are now absent throughout large areas of their former distribution in Colorado and southern Wyoming and may be extinct in New Mexico (Corn et al., 1989; Carey, 1993; Stuart and Painter, 1994). These toads are classified as “endangered” by Colorado and New Mexico and are designated as a protected non-game species in Wyoming. The U.S. Fish and Wildlife Service has categorized the Southern Rocky Mountain populations for federal listing and is currently reviewing their designation as a “warranted but precluded” species for possible listing in the next few years. For the management of boreal toads and their habitats, a Boreal Toad Recovery Team was formed by the Colorado Division of Wildlife in 1995 as part of a collaborative effort with federal agencies within the United States’ departments of the Interior and Agriculture and with agencies in two adjoining states. To date, conservation agreements have been signed by eight state and federal agencies and by the Colorado Natural Heritage Program. Although boreal toads were considered common throughout their range in Colorado, no comprehensive surveys of the numbers and sizes of their populations were conducted prior to mass die-offs in the 1970s. Surveys completed in the late 1980s to early 1990s, however, indicated that the toads were still present in only one of 377 historical sites in parts of western Colorado (Hammerson, 1992) and in about 17% of previously known sites in the Colorado Front Range (Corn et al., 1989). Once common in Rocky Mountain National Park, boreal toads are now found at only seven localities, with just two or three of these populations likely to be reproducing successfully each year (Corn et al., 1997). Intensive surveys by the Boreal Toad Recovery Team since 1995 have found about 50 breeding sites comprising 25 distinct populations within Colorado (Loeffler, unpublished data). Of these populations, most are small (fewer than five egg clutches laid per year) and may not survive over the long term. Efforts to restore population sizes and expand the geographical distribution of boreal toads in the southern Rocky Mountains have involved considerable person-hours and financial commitments. Special care has been taken to protect habitats and, when feasible, to improve sites where breeding populations currently exist. However, initial attempts to repatriate these toads in historic habitats in which boreal toads were present before 1975 have generally proven unsuccessful (Carey, unpublished data; Muths et al., 2003). It is too early to determine if recent repatriations will establish breeding populations (Scherff-Norris, 1999), but these efforts will likely continue. Despite the best human intentions and efforts, the recovery of former population sizes and the historical distribution of boreal toads will greatly depend on its own life history characteristics. However, as we will review in this paper, environmental factors affect many life history attributes in a manner that poses serious obstacles for recovery.

Colorado↗

Refining the coarse filter approach: Using habitat-based species models to identify rarity and vulnerabilities in the protection of U.S. biodiversity

Preserving biodiversity and its many components is a priority of conservation science and how to efficiently allocate resources to preserve healthy populations of as many species, habitats, and ecosystems as possible. We used the U.S. Geological Survey (USGS) Gap Analysis Project (GAP) species models released in 2018, which identify predicted habitats for terrestrial vertebrates in the conterminous United States, to illustrate hotspots of biodiversity for the major taxonomic groups. This collection represents the first complete compilation of terrestrial vertebrate species models for the conterminous United States (U.S. Geological Survey (USGS), 2018a). We used the species models but not the available subspecies models; this resulted in the inclusion of 282 amphibian models, 621 bird models, 365 mammal models, and 322 reptiles in our analysis. We also used population trend information and made spatial queries to characterize species in three dimensions: geographic range (small or large), habitat breadth (narrow or wide), and population trend (decreasing vs stable or increasing). This characterization allowed us to divide the species into eight groups (A-H) with similar characteristics. Group A species (large geographic range, wide habitat breadth, and stable or increasing population trend) are species that are common now with no indication of becoming rare. Species B-H have theoretical or known characteristics that could lead them to become rare with the H species exhibiting small geographic range, narrow habitat breadth, and decreasing population trend. Finally, we evaluated the prevalence of mapped habitat on protected lands for each species, exploring the patterns of representation in the rare species groups by ecoregion. The species we identified with population and habitat use characteristics that potentially predispose them to being or becoming rare represented a large percentage of each taxon. Potentially rare species were widely distributed among ecoregions. Of the 20 ecoregions in the country, 14 have a greater number of rare species than the national average for at least one taxon. Protection of the habitat for the majority of these rare species is below that recommended (17% of available habitat) by the Convention on Biological Diversity (CBD). The Everglades ecoregion was the only ecoregion that protected more than half of its rare or potentially rare species.

Global Ecology and Conservation↗

Use of retrospective data to assess ecotoxicological monitoring needs for terrestrial vertebrates residing in Atlantic coast estuaries

The “Contaminant Exposure and Effects–Terrestrial Vertebrates” (CEE-TV) database contains 4,336 records of ecotoxicological information for free-ranging amphibians, reptiles, birds, and mammals residing in Atlantic and Florida Gulf coast estuaries and their drainages. To identify spatial data gaps, those CEE-TV records for which the specific study location were known ( n =2,740) were combined with watershed and wildlife management unit boundaries using Geographic Information Systems software. The US Environmental Protection Agency's Index of Watershed Indicators (IWI), which classifies watersheds based on water quality and their vulnerability to pollution, was used to prioritize these data gaps. Of 136 watersheds in the study area, 15 that are classified by the IWI as having water quality problems or high vulnerability to pollution lacked terrestrial vertebrate ecotoxicological monitoring or research in the past decade. Older studies within some of these watersheds documented high levels of contaminants in wildlife tissues. Of 90 National Wildlife Refuge units, 42 without current data fall within watersheds of concern. Of 40 National Park units larger than 1 km 2 , 17 without current data fall within watersheds of concern. Issues encountered in this analysis highlighted the need for spatially and temporally replicated field monitoring programs that utilize random sampling. Without data from such studies, it will be difficult to perform unbiased assessments of regional trends in contaminant exposure and effects in terrestrial vertebrates.

Ecotoxicology↗

Data compilation and assessment for water resources in Pennsylvania state forest and park lands

As a result of a cooperative study between the U.S. Geological Survey and the Pennsylvania Department of Conservation and Natural Resources (PaDCNR), available electronic data were compiled for Pennsylvania state lands (state forests and parks) to allow PaDCNR to initially determine if data exist to make an objective evaluation of water resources for specific basins. The data compiled included water-quantity and water-quality data and sample locations for benthic macroinvertebrates within state-owned lands (including a 100-meter buffer around each land parcel) in Pennsylvania. In addition, internet links or contacts for geographic information system coverages pertinent to water-resources studies also were compiled. Water-quantity and water-quality data primarily available through January 2007 were compiled and summarized for site types that included streams, lakes, ground-water wells, springs, and precipitation. Data were categorized relative to 35 watershed boundaries defined by the Pennsylvania Department of Environmental Protection for resource-management purposes. The primary sources of continuous water-quantity data for Pennsylvania state lands were the U.S. Geological Survey (USGS) and the National Weather Service (NWS). The USGS has streamflow data for 93 surface-water sites located in state lands; 38 of these sites have continuous-recording data available. As of January 2007, 22 of these 38 streamflow-gaging stations were active; the majority of active gaging stations have over 40 years of continuous record. The USGS database also contains continuous ground-water elevation data for 32 wells in Pennsylvania state lands, 18 of which were active as of January 2007. Sixty-eight active precipitation stations (primarily from the NWS network) are located in state lands. The four sources of available water-quality data for Pennsylvania state lands were the USGS, U.S. Environmental Protection Agency, Pennsylvania Department of Environmental Protection (PaDEP), and the Susquehanna River Basin Commission. The water-quality data, which were primarily collected after 1970, were summarized by categorizing the analytical data for each site into major groups (for example, trace metals, pesticides, major ions, etc.) for each type (streams, lakes, ground-water wells, and springs) of data compiled. The number of samples and number of detections for each analyte within each group also were summarized. A total of 410 stream sites and 205 ground-water wells in state lands had water-quality data from the available data sets, and these sites were well-distributed across the state. A total of 107 lakes and 47 springs in state lands had water-quality data from the available data sets, but these data types were not well-distributed across the state; the majority of water-quality data for lakes was in the western or eastern sections of the state and water-quality data for springs was primarily located in the central part of the Lower Susquehanna River Valley. The most common types of water-quality data collected were major ions, trace elements, and nutrients. Physical parameters, such as water temperature, stream discharge, or water level, typically were collected for most water-quality samples. Given the large database available from PaDEP for benthic macroinvertebrates, along with some data from other agencies, there is very good distribution of benthic-macroinvertebrate data for state lands. Benthic macroinvertebrate samples were collected at 1,077 locations in state lands from 1973 to 2006. Most (980 samples) of the benthic-macroinvertebrate samples were collected by PaDEP as part of the state assessment of stream conditions required by the Clean Water Act. Data compiled in this report can be used for various water-resource issues, such as basin-wide water-budget analysis, studies of ecological or instream flow, or water-quality assessments. The determination of an annual water budget in selected basins is best supported by the availab

Pennsylvania↗

An interactive program to display user-generated or file-based maps on a personal computer monitor

PC MAP-MAKER is an ADVANCED BASIC program written to provide users of IBM XT, IBM AT, and compatible computers with a straight-forward, flexible method to display geographical data on a color or monochrome PC (personal computer) monitor. Data can be political boundaries such as State and county boundaries; natural curvilinear features such as rivers, drainage areas, and geological contacts; and points such as well locations and mineral localities. Essentially any point defined by a latitude and longitude and any line defined by a series of latitude and longitude values can be displayed using the program. PC MAP MAKER allows users to view tabular data from U.S. Geological Survey files such as WATSTORE (National Water Data Storage and Retrieval System) in a map format in a time much shorter than required by sending the data to a line plotter. The screen image can be saved to disk for recall at a later date, and hard copies can be printed with a dot matrix printer. The program is user-friendly, using menus or prompts to guide user input. It is fully documented and structured to allow the user to tailor the program to the user 's specific needs. The documentation includes a tutorial designed to introduce users to the capabilities of the program using the State of Colorado as a demonstration map area. (Author 's abstract)

Open-File Report↗

Design and testing of a process-based groundwater vulnerability assessment (P-GWAVA) system for predicting concentrations of agrichemicals in groundwater across the United States

Efforts to assess the likelihood of groundwater contamination from surface-derived compounds have spanned more than three decades. Relatively few of these assessments, however, have involved the use of process-based simulations of contaminant transport and fate in the subsurface, or compared the predictions from such models with measured data—especially over regional to national scales. To address this need, a process-based groundwater vulnerability assessment (P-GWAVA) system was constructed to use transport-and-fate simulations to predict the concentration of any surface-derived compound at a specified depth in the vadose zone anywhere in the conterminous United States. The system was then used to simulate the concentrations of selected agrichemicals in the vadose zone beneath agricultural areas in multiple locations across the conterminous United States. The simulated concentrations were compared with measured concentrations of the compounds detected in shallow groundwater (that is, groundwater drawn from within a depth of 6.3 ± 0.5 meters [mean ± 95 percent confidence interval] below the water table) in more than 1,400 locations across the United States. The results from these comparisons were used to select the simulation approaches that led to the closest agreement between the simulated and the measured concentrations. The P-GWAVA system uses computer simulations that account for a broader range of the hydrologic, physical, biological and chemical phenomena known to control the transport and fate of solutes in the subsurface than has been accounted for by any other vulnerability assessment over regional to national scales. Such phenomena include preferential transport and the influences of temperature, soil properties, and depth on the partitioning, transport, and transformation of pesticides in the subsurface. Published methods and detailed soil property data are used to estimate a wide range of model input parameters for each site, including surface albedo, surface crust permeability, soil water content, Brooks-Corey parameters, saturated hydraulic conductivity, macroporosity and sizes of microbial populations, as well as solute partition coefficients, reaction rates, and meso-micropore diffusion rates. To ensure geographic consistency among the predictions, the only site-specific input data that are used are those that are available for all of the 48 conterminous states.

Scientific Investigations Report↗

Earthquake catalog for estimation of maximum earthquake magnitude, Central and Eastern United States: Part B, historical earthquakes

Computation of probabilistic earthquake hazard requires an estimate of Mmax: the moment magnitude of the largest earthquake that is thought to be possible within a specified geographic region. The region specified in this report is the Central and Eastern United States and adjacent Canada. Parts A and B of this report describe the construction of a global catalog of moderate to large earthquakes that occurred worldwide in tectonic analogs of the Central and Eastern United States. Examination of histograms of the magnitudes of these earthquakes allows estimation of Central and Eastern United States Mmax. The catalog and Mmax estimates derived from it are used in the 2014 edition of the U.S. Geological Survey national seismic-hazard maps. Part A deals with prehistoric earthquakes, and this part deals with historical events.

Open-File Report↗

Satellites quantify the spatial extent of cyanobacterial blooms across the United States at multiple scales

Previous studies indicate that cyanobacterial harmful algal bloom (cyanoHAB) frequency, extent, and magnitude have increased globally over the past few decades. However, little quantitative capability is available to assess these metrics of cyanoHABs across broad geographic scales and at regular intervals. Here, the spatial extent was quantified from a cyanobacteria algorithm applied to two European Space Agency satellite platforms—the MEdium Resolution Imaging Spectrometer (MERIS) onboard Envisat and the Ocean and Land Colour Instrument (OLCI) onboard Sentinel-3. CyanoHAB spatial extent was defined for each geographic area as the percentage of valid satellite pixels that exhibited cyanobacteria above the detection limit of the satellite sensor. This study quantified cyanoHAB spatial extent for over 2,000 large lakes and reservoirs across the contiguous United States (CONUS) during two time periods: 2008–2011 via MERIS and 2017–2020 via OLCI when cloud-, ice-, and snow-free imagery was available. Approximately 56% of resolvable lakes were glaciated, 13% were headwater, isolated, or terminal lakes, and the rest were primarily drainage lakes. Results were summarized at national-, regional-, state-, and lake-scales, where regions were defined as nine climate regions which represent climatically consistent states. As measured by satellite, changes in national cyanoHAB extent did have a strong increase of 6.9% from 2017 to 2020 (|Kendall’s tau (τ)| = 0.56; gamma (γ) = 2.87 years), but had negligible change (|τ| = 0.03) from 2008 to 2011. Two of the nine regions had moderate (0.3 ≤ |τ| < 0.5) increases in spatial extent from 2017 to 2020, and eight of nine regions had negligible (|τ| < 0.2) change from 2008 to 2011. Twelve states had a strong or moderate increase from 2017 to 2020 (|τ| ≥ 0.3), while only one state had a moderate increase and two states had a moderate decrease from 2008 to 2011. A decrease, or no change, in cyanoHAB spatial extent did not indicate a lack of issues related to cyanoHABs. Sensitivity results of randomly omitted daily CONUS scenes confirm that even with reduced data availability during a short four-year temporal assessment, the direction and strength of the changes in spatial extent remained consistent. We present the first set of national maps of lake cyanoHAB spatial extent across CONUS and demonstrate an approach for quantifying past and future changes at multiple spatial scales. Results presented here provide water quality managers information regarding current cyanoHAB spatial extent and quantify rates of change.

Ecological Indicators↗

Fire and amphibians in North America

Information on amphibian responses to fire and fuel reduction practices is critically needed due to potential declines of species and the prevalence of new, more intensive fire management practices in North American forests. The goals of this review are to summarize the known and potential effects of fire and fuels management on amphibians and their aquatic habitats, and to identify information gaps to help direct future scientific research. Amphibians as a group are taxonomically and ecologically diverse; in turn, responses to fire and associated habitat alteration are expected to vary widely among species and among geographic regions. Available data suggest that amphibian responses to fire are spatially and temporally variable and incompletely understood. Much of the limited research has addressed short-term (1–3 years) effects of prescribed fire on terrestrial life stages of amphibians in the southeastern United States. Information on the long-term negative effects of fire on amphibians and the importance of fire for maintaining amphibian communities is sparse for the majority of taxa in North America. Given the size and severity of recent wildland fires and the national effort to reduce fuels on federal lands, future studies are needed to examine the effects of these landscape disturbances on amphibians. We encourage studies to address population-level responses of amphibians to fire by examining how different life stages are affected by changes in aquatic, riparian, and upland habitats. Research designs need to be credible and provide information that is relevant for fire managers and those responsible for assessing the potential effects of various fuel reduction alternatives on rare, sensitive, and endangered amphibian species.

Forest Ecology and Management↗

The role of change data in a land use and land cover map updating program

An assessment of current land use and a process for identifying and measuring change are needed to evaluate trends and problems associated with the use of our Nation's land resources. The U. S. Geological Survey is designing a program to maintain the currency of its land use and land cover maps and digital data base and to provide data on changes in our Nation's land use and land cover. Ways to produce and use change data in a map updating program are being evaluated. A dual role for change data is suggested. For users whose applications require specific polygon data on land use change, showing the locations of all individual category changes and detailed statistical data on these changes can be provided as byproducts of the map-revision process. Such products can be produced quickly and inexpensively either by conventional mapmaking methods or as specialized output from a computerized geographic information system. Secondly, spatial data on land use change are used directly for updating existing maps and statistical data. By incorporating only selected change data, maps and digital data can be updated in an efficient and timely manner without the need for complete and costly detailed remapping and redigitization of polygon data.

Pecora VII Symposium↗

Worldwide Assessment of the Status of Seismic Zonation, Fourth International Forum on Seismic Zonation, Proceedings

We are pleased to provide you with information developed for the Fourth International Forum on Seismic Zonation which will be convened in two locations year in conjunction two major international meetings. The objectives are: 1) to assess the status of seismic zonation in every country of the world, 2) to evaluate the reasons for advances and new initiatives, and 3) to foster continued cooperation. Seismic zonation is the process that leads to risk reduction and sustainability of new development. It is based on the division of a geographic region into smaller areas or zones on the basis of an integrated assessment of the hazard, built, and policy environments of the region. Seismic zonation depends on hazard mapping performed on national/regional, subregional, and urban (i.e., microzonation) scales depending on the particular application. We gratefully acknowledge the written communications of many professionals who responded to our request for information. Also, we acknowledge the use of information contained in five valuable reports (see directories in the Appendices for information on where to obtain copies of the reports): 1. United Nations, 1990, Cooperative Project for Seismic Risk Reduction in the Mediterranean Region (SEISMED), proceedings, Office of the United Nations Disaster Relief Coordinator, Geneva, Switzerland, 3 vols. (Franco Maranzana - Italy/Appendix D). 2. United States Geological Survey, 1992, The Worldwide Earthquake Risk Management (WWERM) Program, Reston, Virginia, 19 p (Paul Thenhaus or S.T. Algermissen - USA/ Appendix D). 3. Instituto Panamericano de Geografia Historia, 1992, Revista Geofisica, Lima, Peru, No. 37, July-December, 234 p (Alberto Giesecke- Peru/Appendix D). 4. Annali di Geofisica, 1992, Global Seismic Hazard Assessment Program (GSHAP) (Special Issue), International Lithosphere Program, Publication 209, Bologna, Italy, 257 p (Domenico Giardini-Italy/Appendix F). 5. International Association of Seismology and Physics of the Earth's Interior and European Seismological Commission, 1993, The Practice of Hazard Assessment, Golden, Colorado, 284 p (Write Bob Engdahl, U.S. Geological Survey, Denver Federal Center, Mail Stop 967, Denver, Colorado 80225, USA).

Open-File Report↗

Occurrence and implications of methyl tert-butyl ether and gasoline hydrocarbons in ground water and source water in the United States and in drinking water in 12 Northeast and Mid-Atlantic States, 1993-2002

The occurrence and implications of methyl tert-butyl ether (MTBE) and gasoline hydrocarbons were examined in three surveys of water quality conducted by the U.S. Geological Survey?one national-scale survey of ground water, one national-scale survey of source water from ground water, and one regional-scale survey of drinking water from ground water. The overall detection frequency of MTBE in all three surveys was similar to the detection frequencies of some other volatile organic compounds (VOCs) that have much longer production and use histories in the United States. The detection frequency of MTBE was higher in drinking water and lower in source water and ground water. However, when the data for ground water and source water were limited to the same geographic extent as drinking-water data, the detection frequencies of MTBE were comparable to the detection frequency of MTBE in drinking water. In all three surveys, the detection frequency of any gasoline hydrocarbon was less than the detection frequency of MTBE. No concentration of MTBE in source water exceeded the lower limit of U.S. Environmental Protection Agency's Drinking-Water Advisory of 20 ?g/L (micrograms per liter). One concentration of MTBE in ground water exceeded 20 ?g/L, and 0.9 percent of drinking-water samples exceeded 20 ?g/L. The overall detection frequency of MTBE relative to other widely used VOCs indicates that MTBE is an important concern with respect to ground-water management. The probability of detecting MTBE was strongly associated with population density, use of MTBE in gasoline, and recharge, and weakly associated with density of leaking underground storage tanks, soil permeability, and aquifer consolidation. Only concentrations of MTBE above 0.5 ?g/L were associated with dissolved oxygen. Ground water underlying areas with high population density, ground water underlying areas where MTBE is used as a gasoline oxygenate, and ground water underlying areas with high recharge has a greater probability of MTBE contamination. Ground water from public-supply wells and shallow ground water underlying urban land-use areas has a greater probability of MTBE contamination compared to ground water from domestic wells and ground water underlying rural land-use areas.

Water-Resources Investigations Report↗

Digital Data from the Great Sand Dunes and Poncha Springs Aeromagnetic Surveys, South-Central Colorado

This report contains digital data, image files, and text files describing data formats and survey procedures for two high-resolution aeromagnetic surveys in south-central Colorado: one in the eastern San Luis Valley, Alamosa and Saguache Counties, and the other in the southern Upper Arkansas Valley, Chaffee County. In the San Luis Valley, the Great Sand Dunes survey covers a large part of Great Sand Dunes National Park and Preserve and extends south along the mountain front to the foot of Mount Blanca. In the Upper Arkansas Valley, the Poncha Springs survey covers the town of Poncha Springs and vicinity. The digital files include grids, images, and flight-line data. Several derivative products from these data are also presented as grids and images, including two grids of reduced-to-pole aeromagnetic data and data continued to a reference surface. Images are presented in various formats and are intended to be used as input to geographic information systems, standard graphics software, or map plotting packages.

Open-File Report↗

Geomorphology and depositional subenvironments of Gulf Islands National Seashore, Mississippi

The U.S. Geological Survey (USGS) is studying coastal hazards and coastal change to improve our understanding of coastal ecosystems and to develop better capabilities of predicting future coastal change. One approach to understanding the dynamics of coastal systems is to monitor changes in barrier-island subenvironments through time. This involves examining morphological and topographic change at temporal scales ranging from millennia to years and spatial scales ranging from tens of kilometers to meters. Of particular interest are the processes that produce those changes and the determination of whether or not those processes are likely to persist into the future. In these analyses of hazards and change, both natural and anthropogenic influences are considered. Quantifying past magnitudes and rates of coastal change and knowing the principal factors that govern those changes are critical to predicting what changes are likely to occur under different scenarios, such as short-term impacts of extreme storms or long-term impacts of sea-level rise. Gulf Islands National Seashore was selected for detailed mapping of barrier-island morphology and topography because the islands offer a diversity of depositional subenvironments and the islands' areas and positions have changed substantially in historical time. The geomorphologic and subenvironmental maps emphasize the processes that formed the surficial features and also serve as a basis for documenting which subenvironments are relatively stable, such as the beach ridge complex, and those which are highly dynamic, such as the beach and active overwash zones. The primary mapping procedures used supervised functions within a Geographic Information System (GIS) that classified depositional subenvironments and features (map units) and delineated boundaries of the features (shapefiles). The GIS classified units on the basis of tonal patterns of a feature in contrast to adjacent features observed on georeferenced aerial photographs. Land elevations from recent lidar surveys served as supplementary data to assist in delineating the map-unit boundaries.

Mississippi↗

Geomorphology and depositional subenvironments of Gulf Islands National Seashore, Perdido Key and Santa Rosa Island, Florida

The U.S. Geological Survey (USGS) is studying coastal hazards and coastal change to improve our understanding of coastal ecosystems and to develop better capabilities of predicting future coastal change. One approach to understanding the dynamics of coastal systems is to monitor changes in barrier-island subenvironments through time. This involves examining morphologic and topographic change at temporal scales ranging from millennia to years and spatial scales ranging from tens of kilometers to meters. Of particular interest are the processes that produce those changes and the determination of whether or not those processes are likely to persist into the future. In these analyses of hazards and change, both natural and anthropogenic influences are considered. Quantifying past magnitudes and rates of coastal change and knowing the principal factors that govern those changes are critical to predicting what changes are likely to occur under different scenarios, such as short-term impacts of extreme storms or long-term impacts of sea-level rise. Gulf Islands National Seashore was selected for detailed mapping of barrier-island morphology and topography because the islands offer a diversity of depositional subenvironments and because island areas and positions have changed substantially in historical time. The geomorphologic and subenvironmental maps emphasize the processes that formed the surficial features and also serve as a basis for documenting which subenvironments are relatively stable, such as the vegetated barrier core, and those which are highly dynamic, such as the beach and inactive overwash zones. The primary mapping procedures were supervised functions within a Geographic Information System (GIS) that were applied to delineate and classify depositional subenvironments and features, collectively referred to as map units. The delineated boundaries of the map units were exported to create one shapefile, and are differentiated by the field "Type" in the associated attribute table. Map units were delineated and classified based on differences in tonal patterns of features in contrast to adjacent features observed on orthophotography. Land elevations from recent lidar surveys served as supplementary data to assist in delineating the map unit boundaries.

Florida↗

The Central African Republic Diamond Database—A geodatabase of archival diamond occurrences and areas of recent artisanal and small-scale diamond mining

The alluvial diamond deposits of the Central African Republic (CAR) are mined almost exclusively by way of informal artisanal and small-scale mining (ASM) methods. ASM sites range in diameter from a few meters to 30 meters or more, and are typically excavated by crews of diggers using hand tools, sieves, and jigs. CAR’s reported annual production has ranged from 300,000 to 470,000 carats over the past decade. This production is significant for CAR because it accounts for a large portion of the country’s export income and employs an estimated 60,000 to 90,000 miners nationally. Diamond production has also been linked to the violent conflict and political instability which have plagued the country for decades. The most recent conflict began in 2012 and resulted in an international embargo on the export of rough diamonds from CAR. This embargo was followed by a ceasefire and a return of peace in certain zones of the country in 2015; however, political and economic instability continues to afflict many areas of the country. International efforts to restore peace in CAR have included United Nations support as well as international technical assistance in tracking, assessing, and monitoring diamond production. In 2015, the Kimberley Process (KP) developed an operational framework allowing for legitimate exports from five subprefectures in CAR that were deemed to be compliant with KP internal controls and which were also considered to be free from systematic violence or control of armed groups. The goal of this study was to address information gaps regarding the location and extent of diamond occurrences and mining activity through the integration of geologic research with remote sensing, geographic information systems analysis, and fieldwork. Effective and efficient monitoring of diamond mining activity using satellite imagery requires detailed understanding of the geographic distribution of diamond sources and mining activities. A two-phase methodology was developed to address the knowledge gaps. The first phase consisted of the creation of a comprehensive geospatial catalogue of diamond mining and occurrence locations from archival records such as historical maps, mining reports, academic publications, and field data. Building upon this locational database, the second phase consisted of the creation of a geospatial dataset cataloguing current mining activity locations through manual interpretation of recently acquired satellite imagery. The accuracy of this second geospatial dataset was then assessed using field observations made between 2016 and 2017 by the U.S. Agency for International Development’s Property Rights and Artisanal Diamond Development II project. This report presents a two-part geodatabase: part 1 contains the locations of diamond mine sites and occurrences from archival sources, and part 2 indicates areas of current or recent mining activity. This geodatabase is unique in its temporal and spatial extent and may be used to analyze the geographic distribution of CAR’s known diamond resources, to assess the effect of recent violent conflicts and KP actions on diamond produc-tion, to provide decision makers with information regarding small-scale diamond mining, and to improve the monitoring of mining in regions of the country prone to conflict.

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