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At least 1,009 records · Page 56Linked to original sources

Analysis of a 24-Year photographic record of Nisqually glacier, Mount Rainier National Park, Washington

A systematic coverage of Nisqually Glacier by photographs taken from a network of stations on the ground was begun in 1942 to explore the value and limitations of such photographs as an aid in glacier study. Principles developed may be of value elsewhere, especially for the program 'Measurement of Glacier Variations on a World-Wide Basis' of the International Hydrological Decade. Nisqually Glacier in Mount Rainier National Park, Wash., covers 2.5 square miles (6.5 square kilometers) (1961) and extends from an altitude of about 14,300 feet (4,400 meters) near the top of Mount Rainier down to 4,700 feet (1,400 meters), in a horizontal distance of 4.1 miles (6.6 kilometers). Analyses were made of the annual photographs taken by the writer for 24 years from about 20 stations. A number of pictures taken sporadically from 1884 to 1941 by others were also available for use in the study. Where possible, the results obtained from photographs were compared with those from the available engineering surveys. Such detailed analysis of an extensive photographic coverage of a single glacier may be unique. Photographs illustrating the retreat and advance of the glacier's west ice margin in a reach extending for about a mile (1.6 kilometers) downstream from Wilson Glacier show that, by 1965, most of the ice thickness lost in that area between 1890 and 1944 had been recovered. Withering of the stagnant valley tongue down glacier from the nunatak is portrayed, as is its spectacular reactivation in the 1960's by a vigorous advance of fresh ice. Some of the visible characteristics of advancing and receding termini are noted. Annual values of the glacier's surface slope (5 to 10 degrees) at a cross profile were measured on photographs with respect to a projected vertical line identifiable in each picture. The results were found to average about 2 degrees less than those obtained from the 5-year topographic maps, but they are thought to be a little more accurate owing to lack of a sufficiently small contour interval on the maps for this special purpose. Year-to-year variations in the surface slope and other characteristics from place to place along the glacier are portrayed by pictures to a degree not economically attainable by any other means. Annual changes in the glacier's thickness at two locations were determined from photographs and found to agree well with the results of stadia surveys. A summary of conclusions reached in regard to other data or features of the glacier that were illustrated by annual photographs follows: 1. Toward the end of the ablation season, position of the annual snowline ranged between altitudes of about 5,800 and 7,300 feet (1,750 and 2,250 meters). The altitude limits within which firn was observed on the glacier were about 6,000 and 7,300 feet (1,850 and 2,250 meters). 2. Sources from which debris reaches the glacier are evident. 3. Medial moraines and other persistent patterns sometimes overlooked in the field are more noticeable in photographs. Ice-cored moraines and patterns of multiple lateral moraines are visible. 4. The extent, severity, and nature of crevassing in an area reflect the dynamic condition of the glacier at that location. 5. Erosion has caused certain bedrock areas or features on canyon walls to become unrecognizable within less than 15 years. 6. Effects of the 1932 and 1955 outburst floods on the stream channel and trees for a mile (1.6 kilometers) or so below the glacier are shown in comparison with ordinary, lesser floods. Visible effects include degradation, widening and changes in configuration of the channel, formation of small terraces, removal of vegetation from the flood plain, and the deposition of huge boulders on the stream banks and flood plain. Some photographic procedures recommended for use in a program of this type are described in the section on "Recommended Photographic Procedures."

Washington↗

Developing an outcome-based biodiversity metric in support of the field to market project: Final report

Our objective was to create a metric that would calculate the relative impact of common commercial agricultural practices on terrestrial vertebrate richness. We sought to define impacts in fields (including field borders) of the southeastern region’s commercial production of corn, wheat, soy, and cotton. The metric is intended to serve as an educational tool, allowing producers to see how operational decisions made at the field level impact overall vertebrate species richness and to explore decision impacts to targeted species groups (e.g. game, pest, or beneficial species). Agricultural landscapes are often mistakenly thought to be unsuitable habitat for most species. However, as demonstrated by results reported here, even large-scale, conventional agricultural producers are potentially important partners in biodiversity conservation. Many vertebrate species do inhabit agricultural landscapes, benefitting from the provision of water, food, or shelter within cultivated fields and their immediate borders (e.g., Holland et al. 2012). In the Southeastern US, of the 613 terrestrial vertebrate species modeled by the Southeast Gap Analysis Program (SEGAP) (http://www.basic.ncsu.edu/segap/index.html), 263 utilize row crop and associated agricultural land cover classes as potential habitat (Box 1). While some species may be sensitive to certain operational practices (e.g., tillage, pest management, or field border management practices), others are generally tolerant, and some may benefit either directly or indirectly. For example, field margins and ditches often serve as semi-natural habitats providing foraging resources and shelter for vertebrates and are shown to positively influence species richness and abundance (Billeter et al. 2007; Herzon & Helenius 2008; Marshall & Moonen 2002; Shore et al. 2005; Weibull et al. 2003; Wuczyńskia et al. 2011). Biodiversity responses are, therefore, complex, as an individual species’ responses to agricultural production practices depends on that animal’s resource specialization, mobility, and life history strategies (Jeanneret et al. 2003a, b; Jennings & Pocock 2009). The knowledge necessary to define the biodiversity contribution of agricultural lands is specialized, dispersed, and nuanced, and thus not readily accessible. Given access to clearly defined biodiversity tradeoffs between alternative agricultural practices, landowners, land managers and farm operators could collectively enhance the conservation and economic value of agricultural landscapes. Therefore, Field to Market: The Keystone Alliance for Sustainable Agriculture and The Nature Conservancy jointly funded a pilot project to develop a biodiversity metric to integrate into Field to Market’s existing sustainability calculator, The Fieldprint Calculator (http://www. fieldtomarket.org/). Field to Market: The Keystone Alliance for Sustainable Agriculture is an alliance among producers, agribusinesses, food companies, and conservation organizations seeking to create sustainable outcomes for agriculture. The Fieldprint Calculator supports the Keystone Alliance’s vision to achieve safe, accessible, and nutritious food, fiber and fuel in thriving ecosystems to meet the needs of 9 billion people in 2050. In support of this same vision, our project provides proof-of-concept for an outcome-based biodiversity metric for Field to Market to quantify biodiversity impacts of commercial row crop production on terrestrial vertebrate richness. Little research exists examining the impacts of alternative commercial agricultural practices on overall terrestrial biodiversity (McLaughlin & Mineau 1995). Instead, most studies compare organic versus conventional practices (e.g. Freemark & Kirk 2001; Wickramasinghe et al. 2004), and most studies focus on flora, avian, or invertebrate communities (Jeanneret et al. 2003a; Maes et al. 2008; Pollard & Relton 1970). Therefore, we used an expert-knowledge-based approach to develop a metric that predicts expected impacts to shelter and forage resources, individual species, and overall biodiversity (species richness). This approach is modeled after an ecosystems services concept (WRI 2005), except that we examine services (i.e., resources) provided to vertebrate wildlife rather than service provided to the human population. SEGAP predicts species that are potentially present in an area given landscape-scale habitat availability, configuration, and context (e.g., patch size, proximity to resources, connectivity, potential for disturbance). Based on the prediction of species that may be potentially present, the impacts of management decisions within fields and around their borders can be analyzed based on the impact of those practices to the availability of species’ resources. The final metric provides an index of a producer’s relative impact, but perhaps even more importantly, the underlying database allows producers to explore details such as which species are most impacted or how alternative decisions would impact their score.

Technical Bulletin↗

Thematic mapper-derived mineral distribution maps of Idaho, Nevada, and western Montana

This report provides mineral distribution maps based on TM spectral information of minerals commonly associated with hydrothermal alteration in Nevada, Idaho, and western Montana. The product of the processing is provided as four ESRI GRID files with 30 m resolution by state. UTM Zone 11 projection is used for Nevada (grid clsnv) and western Idaho (grid clsid), UTM Zone 12 is used for eastern Idaho and western Montana (grid clsid_mt). A fourth grid with a special Albers projection is used for the Headwaters project covering Idaho and western Montana (grid crccls_hs). Symbolization for all four grids is stored in the ESRI layer or LYR files and color or CLR files. Objectives of the analyses were to cover a large area very quickly and to provide data that could be used at a scale of 1:100,000 or smaller. Thus, the image processing was standardized for speed while still achieving the desired 1:100,000-scale level of detail. Consequently, some subtle features of mineralogy may be missed. The hydrothermal alteration data were not field checked to separate mineral occurrences due to hydrothermal alteration from those due to other natural occurrences. The data were evaluated by overlaying the results with 1:100,000 scale topographic maps to confirm correlation with known mineralized areas. The data were also tested in the Battle Mountain area of north-central Nevada by a weights-of-evidence correlation analysis with metallic mineral sites from the USGS Mineral Resources Data System and were found to have significant spatial correlation. On the basis of on these analyses, the data are considered useful for regional studies at scales of 1:100,000.

Data Series↗

Droughts, epic droughts and droughty centuries - lessons from a California paleoclimatic record: a PACLIM 2001 meeting report

During the early 1990s (but echoing studies by S.T. Harding at the University of California, from as early as the 1930s), several lines of paleoclimate evidence in and around the Sierra Nevada Range have provided the water community in California with some real horror stories. By studying ancient tree stumps submerged in Lake Tahoe and Tenaya Lake, stumps that were emerging from Mono Lake during its recent decline, and stumps that were exhumed in the Walker River bed during the floods of 1997, paleoclimatologists like Scott Stine of California State University, Hayward, assembled a picture of epic droughts in the central Sierra Nevada during the medieval period. These droughts had to be severe to drop water levels in the lakes and rivers low enough for the trees to grow in the first place, and then had to last for hundreds of years to explain tree-ring counts in these sizeable stumps. Worse yet, the evidence suggested at least two such epic droughts, one ending close to 1100 and the other close to 1350. These epic droughts challenged paleoclimatologists, as well as modern climatologists and hydrologists, to understand and, ultimately, to determine the likelihood that such droughts might recur in the foreseeable future. The first challenge, however, was to verify that such droughts were more than local events and as extreme as suggested. At this year’s Pacific Climate (PACLIM) Workshop, held March 18–21, 2001, at Asilomar (Pacific Grove, Calif.), special sessions brought together scientists to compare paleoclimatic reconstructions of ancient droughts and pluvial (wet) epidodes to try to determine the nature of decadal and centennial climate fluctuations in western North America, with emphasis on California. A companion session brought together modern climatologists to report on the latest explanations (and evidence) for decadal climate variations during the instrumental era of the 20th century.

Interagency Ecological Program Newsletter↗

Parasites of lake herring ( Coregonus artedi ) from Lake Superior, with special reference to use of parasites as markers of stock structure

We examined parasites of 152 lake herring ( Coregonus artedi ) collected from three locations in Wisconsin waters of Lake Superior in 1994, four locations in Wisconsin waters in 1996, and one location in Minnesota waters in 1996 to determine; 1) the species composition and relative abundances of parasites in lake herring, 2) the differences in parasite relative abundances across locations sampled, and 3) the utility of parasite relative abundances as markers of stock structure. Parasites from 19 taxa infected lake herring collected in 1994 and 1996; Henneguya zschokkei , Chloromyxum sp., and Cyatho-cephalus truncatus were reported in fishes from Lake Superior for the first time, and Clinostomum mar-ginatum was reported in lake herring for the first time. Significant differences in abundances of eight parasite taxa were found across locations sampled in 1996, with most of the differences occurring between fish from Minnesota and Wisconsin waters. Nonparametric discriminant function analyses correctly classified 105 of the 108 fish (97%) from Wisconsin waters in 1994 and 1996 and also correctly classified 9 of the 13 fish (69%) from the one location in Minnesota waters. This indicated that little mixing of lake herring from those regions occurred and that the potential exists to use parasite abundances as a marker of lake herring stock structure. This was the first time that multivariate analysis of parasites have been used in the Great Lakes to assess stock structure of fishes. Because the technique was highly successful at classifying locations of our samples, we recommend that parasite abundances in lake herring from all areas of the lake be analyzed as part of a larger study to determine whether lake herring from populations throughout the lake can be as accurately classified as were fish in our study.

Journal of Great Lakes Research↗

Integrating diverse stakeholder knowledge in recreational fisheries decision making

Scientists and policymakers increasingly recognize that recreational fisheries decision making should in some way involve the knowledge of affected stakeholders. There are myriad studies about integrating stakeholder knowledge, but they span broad disciplines and topics. Lacking is (i) simple taxonomies that organize general approaches for integrating knowledge, and (ii) a review and examples of their application to specifically recreational fisheries and specifically diverse stakeholders. This chapter first defines the terms “stakeholders” and “recreational” and recognizes that globally, the decision making for non-commercial fisheries often occurs outside of the North American concept of management agencies and even purely leisure-based fisheries. Most of the chapter reviews common approaches for integrating stakeholder knowledge, from near-complete external governance with minimal input from stakeholders (top-down, command-and-control) to self-governance by stakeholders. Organizationally, we adapt the existing cooperative management continuum to first separate non-participatory from participatory approaches and then separate participatory approaches into those aimed at creating knowledge (to eventually inform future decisions) and those focused on decision making itself. The approaches we consider include observing stakeholders (e.g., via survey), incorporating multiple types of knowing (e.g., local traditional knowledge), collaborative data collection (e.g., citizen science), collaborative modelling (e.g., mental models and quantitative modelling), participatory decision making (co-management proper and the special cases of structured decision making and adaptive management), and finally self-governance (including private management of recreational fisheries). We define each according to a broader literature beyond recreational fisheries, describe the recognized advantages and disadvantages, describe or summarize applications to recreational fisheries, and finally mention relevance for integrating specifically diverse stakeholder knowledge. We then provide advice for how to select different approaches, including situations in which certain approaches are more likely to produce intended consequences. We conclude by describing potential challenges to the more useful integration of diverse stakeholder knowledge and needs in recreational fisheries decision making.

Book chapter↗

Estimates of the abundances of some chemical elements and their reliability

During the past thirty years the development of improved methods of analysis, especially optical spectrography, x-ray spectrography, and colorimetric methods, has resulted in a wealth of new data on the abundances of many elements. Nevertheless, present estimates differ greatly in reliability; some, such as the estimate for bismuth, are based on very few actual determinations, whereas others, such as that for gallium, are based on analyses of many samples. This paper reviews the estimates of abundance for the elements bismuth, germanium, gallium, and yttrium, taken as examples to illustrate the wide variation in reliability. For gallium and yttrium, a study has been made of spectrographic analyses by four laboratories of more than 600 chemically analyzed rocks from many areas of the world. Comparison shows that these furnish valuable data on abundance, although attention must be directed to regional variation. The comparison also shows the need for continued interlaboratory standardization. The estimate for bismuth is based on so few determinations that no appraisal of its accuracy can be made. The estimate for germanium is based on very few determinations but is almost certainly of the right order of magnitude, though perhaps slightly too high. The estimates for gallium and yttrium, based on many determinations, are almost certainly of the right order of magnitude, though that for gallium may be slightly low and that for yttrium may be substantially low.

GSA Special Papers↗

Relatively simple through-going fault planes at large-earthquake depth may be concealed by the surface complexity of strike-slip faults

At the surface, strike-slip fault stepovers, including abrupt fault bends, are typically regions of complex, often disconnected faults. This complexity has traditionally led geologists studying the hazard of active faults to consider such stepovers as important fault segment boundaries, and to give lower weight to earthquake scenarios that involve rupture through the stepover zone. However, recent geological and geophysical studies of several stepover zones along the San Andreas fault system in California have revealed that the complex nature of the fault zone at the surface masks a much simpler and direct connection at depths associated with large earthquakes (greater than 5 km). In turn, the simplicity of the connection suggests that a stepover zone would provide less of an impediment to through-going rupture in a large earthquake, so that the role of stepovers as segment boundaries has probably been overemphasized. However, counter-examples of fault complexity at depth associated with surface stepovers are known, so the role of stepovers in fault rupture behaviour must be carefully established in each case.

California↗

U.S. Geological Survey scientific activities in the exploration of Antarctica: 1946-2006 record of personnel in Antarctica and their postal cachets: U.S. Navy (1946-48, 1954-60), International Geophysical Year (1957-58), and USGS (1960-2006)

Antarctica, a vast region encompassing 13.2 million km2 (5.1 million mi2), is considered to be one of the most important scientific laboratories on Earth. During the past 60 years, the USGS, in collaboration and with logistical support from the National Science Foundation's Office of Polar Programs, has sent 325 USGS scientists to Antarctica to work on a wide range of projects: 169 personnel from the NMD (mostly aerial photography, surveying, and geodesy, primarily used for the modern mapping of Antarctica), 138 personnel from the GD (mostly geophysical and geological studies onshore and offshore), 15 personnel from the WRD (mostly hydrological/glaciological studies in the McMurdo Dry Valleys), 2 personnel from the BRD (microbiological studies in the McMurdo Dry Valleys), and 1 person from the Director's Office (P. Patrick Leahy, Acting Director, 2005–06 austral field season). Three GD scientists and three NMD scientists have carried out field work in Antarctica 9 or more times: John C. Behrendt (15), who started in 1956–57 and published two memoirs (Behrendt, 1998, 2005), Arthur B. Ford (10), who started in 1960–61, and Gary D. Clow (9), who started in 1985–86; Larry D. Hothem (12), who began as a winter-over geodesist at Mawson Station in 1968–69, and Jerry L. Mullins (12), who started in 1982–83 and followed in the legendary footsteps of his NMD predecessor, William R. MacDonald (9), who started in 1960–61 and supervised the acquisition of more than 1,000,000 square miles of aerial photography of Antarctica. This report provides a record as complete as possible, of USGS and non-USGS collaborating personnel in Antarctica from 1946–2006, the geographic locations of their work, and their scientific/engineering disciplines represented. Postal cachets for each year follow the table of personnel and scientific activities in the exploration of Antarctica during those 60 years. To commemorate special events and projects in Antarctica, it became an international practice to create postal cachets. A cachet is defined as a seal, emblem, or commemorative design printed or stamped on an envelope to mark a philatelic or special event. All stamp collectors are familiar with engraved cachets on envelopes of "First-Day-of-Issue" stamps. For Antarctica, a stamped (inked) impression informs the scientist, historian, stamp collector, and general public about the multidisciplinary science projects staffed by USGS scientists and other specialists during a specific austral summer field season. Because philatelic cachets were created by team members for each USGS field season, in most cases depicting the specific areas and scientific objectives, the cachets have become a convenient documentation of the people, projects, and geographic places for that year. Because the cachets are representative of USGS activities, each year's cachet is included in that year's Open-File Report (1960–61 to 2005–06). Starting with the 1983–84 season, however, two USGS cachets were prepared for the next seven years, one for the winter team at Amundsen-Scott South Pole Station, until 1992–93, and the other for all other field sites. Multiple cachets were created by USGS divisional programs during the 1962–63, 1963–64, 1970–71, 1972–73, 1975–76, 1978–79, 1979–80, 1983–84, 1984–85, 1986–87, 1995–96, 2003–04, and the 2005–06 years. This report includes facsimiles of each annual postal cachet (or postal cachets) designed by USGS graphic specialists and provides a record of USGS personnel (and non-USGS collaborating scientists) and their science division affiliation for each austral field season. In addition, cachets used by USGS personnel for U.S. Navy Operation Highjump (1946–47), U.S. Navy Operation Windmill (1947–48), U.S. Navy U.S.S. Atka reconnaissance cruise (1954–55), U.S. Navy Operation Deep Freeze (DF) (I, 1955–56; II, 1956–57; III, 1957–58; IV, 1958–59; and DF 60, 1959–60), and the International Geophysical Year (1957–58) are included, because USGS scientists made use of these cachets when involved in each of the field activities during these austral field seasons.

Open-File Report↗

Sea otter studies in Glacier Bay National Park and Preserve

Following translocations to the outer coast of Southeast Alaska in 1965, sea otters have been expanding their range and increasing in abundance. We began conducting surveys for sea otters in Cross Sound, Icy Strait, and Glacier Bay, Alaska in 1994, following initial reports (in 1993) of their presence in Glacier Bay. Since 1995, the number of sea otters in Glacier Bay proper has increased from around 5 to more than 1500. Between 1993 and 1997 sea otters were apparently only occasional visitors to Glacier Bay, but in 1998 long-term residence was established as indicated by the presence of adult females and their dependent pups. Sea otter distribution is limited to the Lower Bay, south of Sandy Cove, and is not continuous within that area. Concentrations occur in the vicinity of Sita Reef and Boulder Island and between Pt. Carolus and Rush Pt. on the west side of the Bay (Figure 1). We describe the diet of sea otters during 2001 in Glacier Bay based on visual observations of prey during 456 successful forage dives. In Glacier Bay, diet consisted of 62% clam, 15% mussel, 9% crab, 7% unidentified, 4& urchins, and 4% other. Most prey recovered by sea otters are commercially, socially, or ecologically important species. Species of clam include Saxidomus gigantea, Protothaca staminea, and Mya truncata. Urchins are primarily Strongylocentrotus droebachiensis and the mussel is Modiolus modiolus. Crabs include species of three genera: Cancer, Chinoecetes, and Telmessus. Although we characterize diet at broad geographic scales, we found diet to vary between sites separated by as little as several hundred meters. Dietary variation among and within sites can reflect differences in prey availability and individual specialization. We estimated species composition, density, biomass, and sizes of subtidal clams, urchins, and mussels at 9 sites in lower Glacier Bay. All sites were selected based on the presence of abundant clam siphons. Sites were not selected to allow inference to any area larger than the sampling area (approx 400 m^2). Sites were selected to achieve a broad geographic sample of dense subtidal clam beds within Glacier Bay prior to occupation and foraging by sea otters. There was no direct evidence of otter foraging at any of our clam sampling sites. We sampled 11,568 bivalves representing 14 speces of clam and 2 species of mussel. We sampled 4,981 urchins, all Strongylocentrotus droeobachiensis. Only four species of clam (littleneck clams, Protothaca staminea; butter clams, Saxidomus gigantea; soft-shell claims, Mya truncata; and Macoma sp.) accounted for 91.6% of all clams sampled. Mean total clam density (#/0.25 m^2) across the 9 sites was 62.3. Densities (and se ) of P. staminea averaged 22.6 (1.6) and ranged from 0 to 97. Densities of S. gigantea averaged 14.4 (1.0) and ranged from 0 to 63. Densities of Macoma sp. averaged 14.5 (1.2) and ranged from 0 to 78. Densities of S. droebachiensis averaged 27.3 (1.7) and ranged from 0 to 109. Mean S. droebachiensis sizes ranged from 16 to 30 mm by site. Mean P. staminea sizes ranged from 30 to 53 mm, mean S. gigantea sizes ranged from 51 to 85 mm, and mean Macoma sp. sizes ranged from 14 to 19 mm. Although not the most abundant clam, S. gigantea contributed the greatest proportion to total clam biomass (63%), followed by P. staminea (24%). Sea otters are now well established in limited areas of the lower portions of Glacier Bay. It is likely that distribution and numbers of sea otters will continue to increase in Glacier Bay in the near future. Glacier Bay supports large and diverse populations of clams that are largely unexploited by sea otters presently. It is predictable that the density and sizes of clam populations will decline in response to otter predation. This will result in fewer opportunities for human harvest, but will also trigger ecosystem level changes, as prey for other predators, such as octopus, sea stars, fishes, birds and mammals are modified. Sea ott

Annual Report↗

Using stable isotopes to investigate individual diet specialization in California sea otters (Enhydra lutris nereis)

Differences in diet composition among conspecifics (dietary specialization) have been documented across a broad range of taxonomic groups and habitats, and such variation at the individual level is increasingly recognized as an important component of diversity in trophic interactions. Accurate identification of individual dietary specialization, however, requires longitudinal dietary records that are labor-intensive and cost-prohibitive to obtain for many species. Here we explore the use of stable isotopes (δ 13 C and δ 15 N) as a promising technique for detecting and quantifying patterns of individual dietary specialization. Southern sea otters ( Enhydra lutris nereis ) offer a unique opportunity for testing this approach because (1) they consume a wide variety of prey that span multiple trophic levels, habitats, and ecologically defined functional groups; and (2) individual diet specialization can be validated with existing observational data. We analyzed the isotopic composition of sea otter vibrissae ( n = 31) in order to characterize inter- and intra-individual variation in sea otter diets at Monterey Bay, California, USA. At the population level, sea otters showed substantial variation in both δ 13 C and δ 15 N values, occupying nearly all of the “isotopic space” created by the diversity of isotopic signatures of potential prey taxa. Most of the variation in sea otter vibrissae was accounted for by differences between individuals, with much less contributed by within-individual variation. A majority of sea otters (∼80%) showed relatively little temporal variability in isotopic composition, suggesting that the proportional composition of most individuals' diets is relatively constant over time; a few individuals (∼20%) exhibited a high degree of intra-vibrissa isotopic variability, suggesting seasonal shifts in diet composition. These results and our interpretation of them were supported by long-term observational data on the diets of radio-tagged sea otters from the same population ( n = 23). Our results demonstrate that stable isotopes can provide an efficient tool for measuring individual- and population-level dietary breadth and may be useful for studying populations where longitudinal data on individuals would otherwise be impossible to acquire. This will be critical for examining the causes and consequences of dietary variation within and among consumer populations, thereby improving our understanding of these important ecological and evolutionary processes at the community level.

Ecology↗

Late Quaternary transgressive large dunes on the sediment-starved Adriatic shelf

The Adriatic epicontinental basin is a low-gradient shelf where the late-Quaternary transgressive systems tract (TST) is composed of thin parasequences of backbarrier, shoreface and offshore deposits. The facies and internal architecture of the late-Quaternary TST in the Adriatic epicontinental basin changed consistently from early transgression to late transgression reflecting: (1) fluctuations in the balance between sediment supply and accommodation increase, and (2) a progressive intensification of the oceanographic regime, driven by the transgressive widening of the basin to as much as seven times its lowstand extent. One of the consequences of this trend is that high-energy marine bedforms such as sand ridges and sand waves characterize only areas that were flooded close to the end of the late-Quaternary sea-level rise, when the wind fetch was maximum and bigger waves and stronger storm currents could form. We studied the morphology, sediment composition and sequence-stratigraphical setting of a field of asymmetric bedforms (typically 3 m high and 600 m in wavelength) in 20-24 m water depth offshore the Venice Lagoon in the sediment-starved North Adriatic shelf. The sand that forms these large dunes derived from a drowned transgressive coastal deposit reworked by marine processes. Early cementation took place over most of the dune crests limiting their activity and preventing their destruction. Both the formation and deactivation of this field of sand dunes occurred over a short time interval close to the turn-around point that separates the late-Quaternary sea-level rise and the following highstand and reflect rapid changes in the oceanographic regime of the basin.

Geological Society Special Publication↗

Large scale snow water status monitoring: Comparison of different snow water products in the upper Colorado basins

We illustrate the ability to monitor the status of snow water content over large areas by using a spatially distributed snow accumulation and ablation model that uses data from a weather forecast model in the upper Colorado Basin. The model was forced with precipitation fields from the National Weather Service (NWS) Multi-sensor Precipitation Estimator (MPE) and the Tropical Rainfall Measuring Mission (TRMM) data-sets; remaining meteorological model input data were from NOAA's Global Forecast System (GFS) model output fields. The simulated snow water equivalent (SWE) was compared to SWEs from the Snow Data Assimilation System (SNODAS) and SNOwpack TELemetry system (SNOTEL) over a region of the western US that covers parts of the upper Colorado Basin. We also compared the SWE product estimated from the special sensor microwave imager (SSM/I) and scanning multichannel microwave radiometer (SMMR) to the SNODAS and SNOTEL SWE data-sets. Agreement between the spatial distributions of the simulated SWE with MPE data was high with both SNODAS and SNOTEL. Model-simulated SWE with TRMM precipitation and SWE estimated from the passive microwave imagery were not significantly correlated spatially with either SNODAS or the SNOTEL SWE. Average basin-wide SWE simulated with the MPE and the TRMM data were highly correlated with both SNODAS ( r = 0.94 and r = 0.64; d.f. = 14 – d.f. = degrees of freedom) and SNOTEL ( r = 0.93 and r = 0.68; d.f. = 14). The SWE estimated from the passive microwave imagery was significantly correlated with the SNODAS SWE ( r = 0.55, d.f. = 9, p = 0.05) but was not significantly correlated with the SNOTEL-reported SWE values ( r = 0.45, d.f. = 9, p = 0.05).The results indicate the applicability of the snow energy balance model for monitoring snow water content at regional scales when coupled with meteorological data of acceptable quality. The two snow water contents from the microwave imagery (SMMR and SSM/I) and the Utah Energy Balance forced with the TRMM precipitation data were found to be unreliable sources for mapping SWE in the study area; both data sets lacked discernible variability of snow water content between sites as seen in the SNOTEL and SNODAS SWE data. This study will contribute to better understanding the adequacy of data from weather forecast models, TRMM, and microwave imagery for monitoring status of the snow water content.

Colorado, Utah, Wyoming↗

Guidelines for producing integrated 210Pb and 14C age-models

Accurate reconstructions of past environmental changes are crucial in paleoecological research and require reliable chronologies of sedimentary archives. Establishing robust age-models and obtaining the most appropriate proxies for analysis is a complex scientific endeavor, requiring extensive resources and collaboration among specialists, including radiochronologists. Radiometric dating methods, such as 210 Pb and radiocarbon ( 14 C), are frequently employed to establish chronologies in aquatic sedimentary deposits and peat bogs. In this study, we review key aspects of sampling, analysis, and the principles underlying 210 Pb and 14 C age-models, focusing on methods for developing robust joint chronologies for paleoenvironmental research. Drawing largely from the authors' experiences and group discussions during and after a scientific workshop in 2022, we discuss important considerations for site selection, sampling strategies, and radiometric dating to construct integrated 210 Pb and 14 C age-models. Using expert consensus, this group – called Paleostats – aims to provide a set of best practices for other geochronologists with this methods paper. Among our conclusions, we emphasize the importance of accounting for site-specific factors such as prior information on sedimentation rates to establish appropriate sampling and analytical strategies. The use of appropriate coring devices can minimize disturbance to sediments and ensure the core surface remains intact and preserved until sectioning. Where excess 210 Pb is expected, sectioning at intervals of ≤1 cm provides an adequate sampling resolution for 210 Pb dating. Exceptions are possible, allowing for ~2–3 cm sections in areas with confirmed high sedimentation rates (e.g., > 1 cm yr −1 ). Recovering deeper core sections for 14 C dating with sufficient overlap allows for accounting errors in depth estimates made in the field. Special attention is advised during time intervals where validation proxies, such as the human-made radionuclides 137 Cs or post-bomb 14 C, are expected, and to determine the depth of secular equilibrium between 210 Pb and 226 Ra. Radiocarbon analyses are commonly performed by accelerator mass spectrometry, and age models are constructed mainly using Bayesian statistics with Markov Chain Monte Carlo techniques (e.g., Bacon ). A Bayesian approach ( Plum ) is now available for producing 210 Pb age-models, which infers the 210 Pb ex flux, eliminates the need for selecting an equilibrium depth, and allows dating cores with incomplete 210 Pb ex inventory. Plum offers improved chronologies by integrating raw 210 Pb and 14 C data, and these age-models can be enriched with other dating methodologies, such as identifying tephras and other well-recorded historical events. Harmonized reporting would contribute to making radiometric age-models reproducible, which would benefit from an international effort. Using 210 Pb and 14 C to produce integrated age-models may yield better insights into the interplay between natural and recent anthropogenic forcings on ecosystems. This can enhance our understanding of environmental processes and their impacts on climate change, ultimately supporting science-based assessments and decisions.

Earth-Science Reviews↗

Tectonostratigraphic terranes and their Paleozoic boundaries in the central and southern Appalachians

Parts of the central and southern Appalachian orogen appear to have evolved away from Proterozoic North America (Laurentia) and to have been accreted to it during the Paleozoic orogenies that collectively formed the orogen. Identifying each tectonostratigraphic terrane is a necessary step in understanding the evolution of the orogen. The terranes in the central and southern Appalachians are delineated, interpreted, and classified with varying degrees of confidence as: (1) Laurentian native terranes , (2) internal continental terranes of the Appalachian orogen, (3) disrupted terranes , (4) possible oceanic crustal remnants, (5) volcanic-arc terranes , (6) a continental terrane of Gondwanaland affinity, and (7) metamorphic complexes of undetermined affinity. The Laurentian native terranes consist of external massifs of Laurentian basement (Grenvillian and older), their rift- and shelf-facies cover rocks, and slope-rise prism deposits. External massifs are present in the Blue Ridge tectonic province, Reading Prong, and Honey Brook Upland. Rocks of the Talladega block are stratigraphically tied to Laurentia and, with the possible exception of the Hillabee greenstone, are also considered native. Offshore, deep-water, post-rift deposits of the Hamburg and Westminster terranes have no direct stratigraphic ties to Laurentia and are considered discrete native (not suspect) terranes . The internal continental terranes of the Appalachian orogen are isolated massifs of Middle Proterozoic (Grenvillian) continental basement and their cover sequences that occur within the metamorphic core of the orogen. These terranes , the Baltimore, Sauratown, and Pine Mountain terranes , could be either structurally isolated outliers of Laurentia or microcontinental fragments of Laurentian crust displaced by rifting or transcurrent faulting and later reassembled. Disrupted terranes in the central and southern Appalachians contain mélange complexes as well as more coherent terrane fragments (volcanic, ophiolitic, or continental) intermingled with the mélange complexes. Those identified include the Jefferson, Potomac, Smith River, Inner Piedmont, Falls Lake, Juliette, and Sussex terranes . The Bel Air-Rising Sun terrane (Baltimore Complex) in Maryland and Pennsylvania is the only terrane named separately as a possible oceanic crustal remnant. Similar mafic and ultramafic complexes are present in all of the disrupted terranes , but are too small to consider as separate terranes . Volcanic-arc terranes include the Chopawamsic, Carolina, Spring Hope, Roanoke Rapids, and Charleston terranes . The only terrane recognized as a continental terrane of Gondwanaland affinity is the Suwannee terrane , which contains rocks believed to correlate with those now exposed in west Africa. Metamorphic complexes of undetermined affinity are terranes that could not be clearly classified on the basis of available data. These include the Milton, Gaffney, Uchee, Crabtree, Goochland, Wilmington, and Hatteras terranes . The Penobscottian, Taconian, Acadian, and Alleghanian Paleozoic compressional events collectively assembled the various terranes into what is now the Appalachian orogen. Only the central and southern parts of the U.S. Appalachians are considered here. The Penobscottian orogeny, about 550 to 490 Ma, amalgamated the Potomac, the Chopawamsic, probably the Bel Air-Rising Sun, and possibly other exotic terranes at some unknown distance from Laurentia. This was followed by the Taconian orogeny, about 470 to 440 Ma, which accreted the previously amalgamated terranes and probably other terranes such as the Carolina terrane to Laurentia. The younger age limit for the Taconian event is partly constrained by Middle and Late Ordovician faunal assemblages in successor basin deposits of the Arvonia Slate and Quantico Formation. The significance of the Acadian orogeny, dated about 400 to 380 Ma in New England, is unclear in the central and southern Appalachians . In the Talladega block of Alabama and Georgia, an Early to Middle Devonian dynamothermal event is firmly bracketed between Early Devonian fossils and K-Ar ages that indicate a thermal peak no later than Middle Devonian time. A regional tectonothermal event and faulting of approximately this age are also suggested by isotopic studies in terranes to the east. The late Paleozoic (Alleghanian) continental collision between Laurentia and Gondwanaland, which formed the supercontinent Pangea, marks the final stage of accretionary history in the Appalachian -Caledonide orogen. Effects evident in the central and southern Appalachian region include: (1) the accretion of the Suwannee terrane and perhaps the Charleston terrane to what is now North America, (2) slicing and shifting of terranes along dextral strike-slip faults, particularly in the eastern Piedmont, (3) westward transport of native and previously accreted terranes in the western Piedmont and Blue Ridge as part of a composite crystalline thrust sheet, (4) deposition of clastic wedges in the Appalachian foreland, and (5) imbricate thrusting and folding of the resultant strata in the Valley and Ridge Province.

Appalachians↗

Dike orientations in the late jurassic independence dike swarm and implications for vertical-axis tectonic rotations in eastern California

Analysis of the strikes of 3841 dikes in 47 domains in the 500-km-long Late Jurassic Independence dike swarm indicates a distribution that is skewed clockwise from the dominant northwest strike. Independence dike swarm azimuths tend to cluster near 325?? ?? 30??, consistent with initial subparallel intrusion along much of the swarm. Dike azimuths in a quarter of the domains vary widely from the dominant trend. In domains in the essentially unrotated Sierra Nevada block, mean dike azimuths range mostly between 300?? and 320??, with the exception of Mount Goddard (247??). Mean dike azimuths in domains in the Basin and Range Province in the Argus, Inyo, and White Mountains areas range from 291?? to 354?? the mean is 004?? in the El Paso Mountains. In the Mojave Desert, mean dike azimuths range from 318?? to 023??, and in the eastern Transverse Ranges, they range from 316?? to 051??. Restoration for late Cenozoic vertical-axis rotations, suggested by paleodeclinations determined from published studies from nearby Miocene and younger rocks, shifts dike azimuths into better agreement with azimuths measured in the tectonically stable Sierra Nevada. This confirms that vertical-axis tectonic rotations explain some of the dispersion in orientation, especially in the Mojave Desert and eastern Transverse Ranges, and that the dike orientations can be a useful if imperfect guide to tectonic rotations where paleomagnetic data do not exist. Large deviations from the main trend of the swarm may reflect (1) clockwise rotations for which there is no paleomagnetic evidence available, (2) dike intrusions of other ages, (3) crack filling at angles oblique or perpendicular to the main swarm, (4) pre-Miocene rotations, or (5) unrecognized domain boundaries between dike localities and sites with paleomagnetic determinations. ?? 2008 The Geological Society of America.

Special Paper of the Geological Society of America↗

Tephrochronology of the Brooks River Archaeological District, Katmai National Park and Preserve, Alaska: What can and cannot be done with tephra deposits

The Brooks River Archaeological District (BRAD) in Katmai National Park and Preserve is a classical site for the study of early humans in Alaska. Because of proximity to the active Aleutian volcanic arc, there are numerous tephra deposits in the BRAD, which are potentially useful for correlating among sites of archaeological investigations. Microprobe analyses of glass separates show, however, that most of these tephra deposits are heterogeneous mixtures of multiple glass populations. Some glasses are highly similar to pyroclasts of Aniakchak Crater (160 km to the south), others are similar to pyroclasts in the nearby Valley of Ten Thousand Smokes, and some are similar to no other tephra samples from the Alaska Peninsula. Moreover, tephra deposits in any one archaeological study site are not always similar to those from nearby sites, indicating inconsistent preservation of these mainly thin, fine-grained deposits. At least 15, late Holocene tephra deposits are inferred at the BRAD. Their heterogeneity is the result of either eruptions of mixed or heterogeneous magmas, like the 1912 Katmai eruption, or secondary mixing of closely succeeding tephra deposits. Because most cannot be reliably distinguished from one another on the basis of megascopic properties, their utility for correlations is limited. At least one deposit can be reliably identified because of its thickness (10 cm) and colour stratification. Early humans seem not to have been significantly affected by these tephra falls, which is not surprising in view of the resilience exhibited by both plants and animals following the 1912 Katmai eruption.

Alaska↗

Phenotypic variation and vulnerability to predation in juvenile bluegill sunfish (Lepomis macrochirus)

Bluegill sunfish (Lepomis macrochirus) are known to diversify into two forms specialized for foraging on either limnetic or littoral prey. Because juvenile bluegills seek vegetative cover in the presence of largemouth bass (Micropterus salmoides) predators, natural selection should favor the littoral body design at size ranges most vulnerable to predation. Yet within bluegill populations, both limnetic and littoral forms occur where vegetation and predators are present. While adaptive for foraging in different environments, does habitat-linked phenotypic variation also influence predator evasiveness for juvenile bluegills? We evaluate this question by quantifying susceptibility to predation for two groups of morphologically distinct bluegills; a limnetic form characteristic of bluegills inhabiting open water areas (limnetic bluegill) and a littoral form characteristic of bluegills inhabiting dense vegetation (littoral bluegill). In a series of predation trials, we found that bluegill behaviors differed in open water habitat but not in simulated vegetation. In open water habitat, limnetic bluegills formed more dense shoaling aggregations, maintained a larger distance from the predator, and required longer amounts of time to capture than littoral bluegill. When provided with simulated vegetation, largemouth bass spent longer amounts of time pursuing littoral bluegill and captured significantly fewer littoral bluegills than limnetic fish. Hence, morphological and behavioral variation in bluegills was linked to differential susceptibility to predation in open water and vegetated environments. Combined with previous studies, these findings show that morphological and behavioral adaptations enhance both foraging performance and predator evasiveness in different lake habitats.

Oecologia↗