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Guide for interpreting and reporting luminescence dating results

The development and application of luminescence dating and dosimetry techniques have grown exponentially in the last several decades. Luminescence methods provide age control for a broad range of geological and archaeological contexts and can characterize mineral and glass properties linked to geologic origin, Earth-surface processes, and past exposure to light, heat, and ionizing radiation. The applicable age range for luminescence methods spans the last 500,000 years or more, which covers the period of modern human evolution, and provides context for rates and magnitudes of geological processes, hazards, and climate change. Given the growth in applications and publications of luminescence data, there is a need for unified, community-driven guidance regarding the publication and interpretation of luminescence results. This paper presents a guide to the essential information necessary for publishing and archiving luminescence ages as well as supporting data that is transportable and expandable for different research objectives and publication outlets. We outline the information needed for the interpretation of luminescence data sets, including data associated with equivalent dose, dose rate, age models, and stratigraphic context. A brief review of the fundamentals of luminescence techniques and applications, including guidance on sample collection and insight into laboratory processing and analysis steps, is presented to provide context for publishing and data archiving.

GSA Bulletin↗

The Hawaiian Volcanoes Supersite: Open data for the benefit of science and society

The Hawaiian Volcanoes Supersite was established in 2008 with the goal of making large amounts of volcano monitoring data, especially satellite measurements, freely available at a site of international interest, scientific importance, and impactful natural hazards. The location was chosen because of the long history of volcanological research and innovation on the Island of Hawaiʻi, as well as the need for monitoring, assessing, and mitigating volcanic hazards for the local population. Ground-based data are provided by the U.S. Geological Survey Hawaiian Volcano Observatory, and several national space agencies have contributed thousands of satellite synthetic aperture radar and other data that would have otherwise required special grants or commercial purchase. Since the Hawaiian Volcanoes Supersite was initiated, the vast quantity of open space-based data has resulted in the development of new applications and methodologies, successful responses to volcanic crises, and research that has informed monitoring and hazards mitigation activities. While there remain opportunities for additional coordination among supersite users and for synergistic studies that make use of the full spectrum of available ground- and space-based data, the Hawaiian Volcanoes Supersite has achieved its goals of stimulating basic research to better understand Hawaiian volcanism and aiding in responses to hazardous geologic processes. The effort serves as a model for the benefits of open, low-latency, and comprehensive satellite data applied to disaster risk management and reduction, meeting a vision that has been laid out repeatedly in international agreements and accords.

Hawaii↗

Paleoseismic targets, seismic hazard, and urban areas in the Central and Eastern United States

Published geologic information from the central and eastern United States identifies 83 faults, groups of sand blows, named seismic zones, and other geological features as known or suspected products of Quaternary tectonic faulting. About one fifth of the features are known to contain faulted Quaternary materials or seismically induced liquefaction phenomena, but the origin and associated seismic hazard of most of the other features remain uncertain. Most of the features are in or near large urban areas. The largest cluster of features is in the Boston-Washington urban corridor (2005 estimated population: 50 million). The proximity of most features to populous areas identifies paleoseismic targets with potential to impact urban-hazard estimates.

Bulletin of the Seismological Society of America↗

Types and areal distribution of ground failure associated with the 2019 Ridgecrest, California, earthquake sequence

T he July 2019 Ridgecrest, California, earthquake sequence included the largest earthquake ( M 7.1) to strike the conterminous United States in the past 20 yr. To characterize the types, numbers, and areal distributions of different types of ground failure (landslides, liquefaction, and ground cracking), I conducted a field investigation of ground failure triggered by the sequence around the periphery of the epicentral area (which had limited access). The earthquake sequence triggered sparse and widely scattered landslides over an area of ∼ 22 , 000    km 2 "> ∼ 22 , 000 km 2 ∼22,000 km2 and at a maximum epicentral distance of 114 km; these metrics are within the upper bounds as compared with global averages for earthquakes of similar size. Some rock falls blocked primary and secondary roads, but no other landslide damage was reported. Almost all of the landslides in the peripheral area were small rock falls ( ⁠ ∼ 1 – 10    m 3 "> ∼ 1 – 10 m 3 ∼1–10 m3 ⁠ ), but a few larger ( ⁠ ∼ 100    m 3 "> ∼ 100 m 3 ∼100 m3 ⁠ ) rock slides also occurred. Though there are only informal reports about ground failure in the immediate epicentral area and we lack a detailed survey there, the small number (hundreds) and size of the landslides still seems to be far below global averages for M 7.1. This could be a result of the arid landscape and lack of a deeply weathered zone of soil and regolith. Liquefaction occurred along part of the western margin of Searles Valley. One large ( ⁠ ∼ 0.4    km 2 "> ∼ 0.4 km 2 ∼0.4 km2 ⁠ ) lateral spread caused by liquefaction severely damaged parts of Trona. Minor liquefaction also occurred in a ∼ 100 ‐ m ‐ wide "> ∼ 100 ‐ m ‐ wide ∼100‐m‐wide band along the fault‐rupture zone in some places.

California↗

Identification of tire leachate toxicants and a risk assessment of water quality effects using tire reefs in canals

Cover is an important component of aquatic habitat and fisheries management. Fisheries biologists often try to improve habitats through the addition of natural and artificial material to improve cover diversity and complexity. Habitat-improvement programs range from submerging used Christmas trees to more complex programs using sophisticated artificial habitat modules. Used automobile tires have been employed in the large scale construction of reefs and fish attractors in marine environments (D'Itri 1985) and to a lesser extent in freshwater (Johnson and Stein 1979) and have been recognized as a durable, inexpensive and long-lasting material which benefits fishery communities. Recent studies by the U.S. Bureau of Reclamation (Mueller and Liston 1991) have quantified the importance of tire reeds to enhancing freshwater canal fisheries in the southwestern United States. These studies have demonstrated that fisheries and aquatic macroinvertebrates are attracted to these structures, increasing species diversity, densities and biomass where reefs are places in canals. Potential benefits to fishermen are great in the form of recreational fishing. However, the use of tire reefs in aquatic environments which have relatively small volumes compared to marine or reservoir environments has raised water quality concerns. Effects of tires on water quality have not typically been studied in the part because of the obvious presence of fishes and other aquatic organisms that make use of tire reefs; the implication being that tires are intert and non-toxic. Little information on effects of tires on water quality is contained in the literature. Stone et al. (1975) demonstrated that tire exposure had no detrimental effects on two species of marine fish while results of Kellough's (1991) freshwater tests were inconclusive, but suggested that some factor in tire leachate was toxic to rainbow trout ( Oncorhynchus mykiss ). Nozaka et al. (1973) found no harmful substances leached from tire material soaked in fresh water. Because there are few data on toxicity associated with tires, this became the focus of our study. Toxicity Identification Evaluation (TUE) procedures developed by the EPA (1991) were used to evaluate water quality impacted by tires.

Bulletin of Environmental Contamination and Toxico↗

Why the New Madrid earthquakes are M 7–8 and the Charleston earthquake is ∼M 7

Estimates of magnitudes of large historical earthquakes are an essential input to and can seriously affect seismic‐hazard estimates. The earthquake‐intensity observations, modified Mercalli intensities (MMI), and assigned magnitudes M of the 1811–1812 New Madrid events have been reinterpreted several times in the last decade and have been a source of controversy in making seismic‐hazard estimates in the central United States. Observations support the concept that the larger the earthquake, the greater the maximum‐felt distance. For the same crustal attenuation and local soil conditions, magnitude should be the main influence on intensity values at large distances. We apply this concept by comparing the mean MMI at distances of 600–1200 km for each of the four largest New Madrid 1811–1812 earthquakes, the 1886 Charleston, South Carolina, earthquake, the 1929 M 7.2 Grand Banks earthquake, and the 2001 M 7.6 Bhuj, India, earthquake. We fit the intensity observations using the form MMI= A + C ×dist−0.8×log(dist) to better define intensity attenuation in eastern North America (ENA). The intensity attenuation in cratonic India differs from ENA and is corrected to ENA using both the above estimate and published intensity relations. We evaluate source, marine geophysical, Q , and stress‐drop information, as well as a 1929 Milne–Shaw record at Chicago to confirm that the 1929 Grand Banks earthquake occurred in ENA crust. Our direct comparison of mean intensities beyond 600 km suggests M 7.5, 7.3, 7.7, and 6.9 for the three New Madrid 1811–1812 mainshocks and the largest aftershock and M 7.0 for the 1886 Charleston, South Carolina, earthquake, with an estimated uncertainty of 0.3 units at the 95% confidence level (based on a Monte Carlo analysis). Our mean New Madrid and Charleston mainshock magnitudes are similar to those of Bakun and Hopper (2004) and are much higher than those of Hough and Page (2011) for New Madrid.

Bulletin of the Seismological Society of America↗

Ammonites and some characteristic bivalves from the Upper Cretaceous Frontier Formation, Natrona County, Wyoming

The Frontier Formation in Natrona County, Wyoming, consists of two or three members of mostly shallow-water marine shale, siltstone, and sandstone. From oldest to youngest, these units are the Belle Fourche Member, the informal member of Emigrant Gap, and the Wall Creek Member. The members are separated by disconformities, and locally the Wall Creek Member rests on the Belle Fourche Member. Molluscan fossils are present in all the members, but only the Wall Creek Member contains a great variety of species. Ammonites and inoceramid bivalves are most important in zoning the Frontier Formation. Seven of the twelve established ammonite zones of middle and late Cenomanian age in the Western Interior can be recognized in the Belle Fourche Member. Two zones of middle Turonian age are present in the member of Emigrant Gap, and three zones of late Turonian age are present in the Wall Creek Member.

Wyoming↗

300,000 yr history of water-table fluctuations at Wind Cave, South Dakota, USA—Scale, timing, and groundwater mixing in the Madison Aquifer

Deposits of calcite coating the lower passages of Wind Cave in the southern Black Hills of South Dakota were precipitated under phreatic conditions. Data from samples associated with a new cave survey and hydrologic studies indicate that past water tables within Wind Cave reached a maximum height of 45 m above modern levels but were mostly confined to 25 m or less. Uranium-series ages for basal layers deposited on weathered wall rock indicate subaerial conditions in this part of the cave persisted between 1000 and 300 ka. Ages and elevations of wall coatings and cave rafts establish a 300,000 yr paleohydrograph indicating that water-table highstands occurred during interglacial or interstadial-to-early glacial periods and lowstands occurred during full-glacial and stadial episodes. Isotopes of Sr, U, C, and O from dated calcite samples were obtained to evaluate potential shifts in paleo-groundwater composition. For comparison, Sr and U isotopic compositions were determined for modern groundwater from 18 sites previously classified into five hydrogeologic domains. Isotope data for different domains tend to cluster in separate fields, although several fields overlap. Compositions of Calcite Lake (informal name) water reflect modern recharge to shallow aquifers. In contrast, speleothem data indicate that paleo-groundwater highstands were not supported by increased infiltration associated with local recharge, or by upwelling from deeper Proterozoic sources. Instead, cave water was similar to deeper, warmer groundwater from the Madison Aquifer discharging at modern artesian springs flanking the southern Black Hills. Highstands were likely influenced by large-scale hydraulic processes associated with recharge to the Madison Aquifer under the Laurentide ice sheet on the northeast side of the Williston Basin, causing increased hydrostatic pressures in confined aquifers on the south side of the basin.

South Dakota↗

Human behavioral response in the Ridgecrest earthquakes: Assessing immediate actions based on data from “Did You Feel It?”

Human behavioral response to earthquake ground motion has long been a subject of multidisciplinary interest and research. In most versions of seismic intensity scales, human perceptions and behavior are one component of the assignment of intensity. Public health research has shown that actions taken during earthquakes have a significant impact on the incidence of injury or the maintenance of safety. Based on this research, emergency managers and organizations promoting emergency preparedness have advocated strategies such as drop, cover, and hold on (DCHO) and promoted this safety measure through public education and annual drills. The “Did You Feel It?” (DYFI) mapping system (see Data and Resources) based on an online questionnaire developed and maintained by the U.S. Geological Survey has provided opportunities for those who have experienced an earthquake to report this experience worldwide since 2004. The DYFI questionnaire, although designed to assign intensity, also contains questions regarding the behavior in which one has engaged during the earthquake. The questionnaire includes other important information that may elucidate behavioral response to earthquakes, including assigned intensity, emotional reaction, and whether damage occurred at the location where the earthquake was experienced. The very large number of people who completed DYFI questionnaires following the July 2019 Ridgecrest, California, earthquakes provides a robust dataset for analysis and suggests that as intensity and levels of fear increase, behavior becomes more active in terms of physical movement to locations of presumed safety. Among active responses including DCHO, going to a doorway, and running outside, DCHO was the least likely to be implemented. The study provides possible explanations for low participation in DCHO despite active campaigns to promote this strategy.

California↗

Chapter G: Tentative Correlation Between CIPW Normin pl (Total Plagioclase) and Los Angeles Wear in Precambrian Midcontinental Granites-Examples from Missouri and Oklahoma, with Applications and Limitations for Use

The normative chemical classification of Cross, Iddings, Pirsson, and Washington (CIPW) is commonly used in igneous petrology to distinguish igneous rocks by comparing their magmatic chemistries for similar and dissimilar components. A potential use for this classification other than in petrologic studies is in the rapid assessment of aggregate sources, possibly leading to an economic advantage for an aggregate producer or user, by providing the opportunity to determine whether further physical testing of an aggregate is warranted before its use in asphalt or concrete pavement. However, the CIPW classification currently should not be substituted for the physical testing required in specifications by State departments of transportation. Demands for physical testing of aggregates have increased nationally as users seek to maximize the quality of the aggregate they purchase for their pavements. Concrete pavements are being laid with increased thicknesses to withstand increasing highway loads. New pavement mixes, most notably Superior Performance Asphalt Pavement ('Superpave'), are designed for additional service life. For both concrete and asphalt, the intent is to generate a durable pavement with a longer service life that should decrease overall life-cycle costs. Numerous aggregate producers possess chemical-composition data available for examination to answer questions from the potential user. State geological surveys also possess chemical-composition data for stone sources. Paired with the results of physical testing, chemical- composition data provide indicative information about stone durability and aggregate strength. The Missouri Department of Transportation has noted a possible relation among coarse-grained Precambrian granites of the midcontinental region, correlating the results of abrasion testing with the contents of normative minerals, also known as normins, calculated from chemical composition data. Thus, normin pl ( total plagioclase) can predict, by way of simple regression, the Los Angeles wear for granite samples collected in Missouri. The results of this abrasion testing were extended to another granite in Oklahoma where normin pl predicted Los Angeles wear to within 0.6 percent. This relation may also exist for granitic rocks outside the Oklahoma-Missouri region, as well as for other igneous-rock types.

Bulletin↗

Using science-policy integration to improve ecosystem science and inform decision-making: Lessons from U.S. LTERs

This Special Session took place on 12 August 2015 at the 100th Meeting of the Ecological Society of America in Baltimore, Maryland, and was conceived of and coordinated by the Science Policy Exchange. The Science Policy Exchange (SPE) is a boundary- spanning organization established to work at the interface of science and policy to confront pressing environmental challenges . SPE was created as a collaborative of six research institutions to increase the impact of science on environmental decisions. This session was organized by Marissa Weiss and co- organized by Pamela Templer, Kathleen Fallon Lambert, Jill Baron, Charles Driscoll, and David Foster. Along the theme of ESA ’ s Centennial meeting, the group of presenters represented collectively more than 100 years of experience in integration of science, policy, and outreach.

Bulletin of the Ecological Society of America↗

Assessing mobility and redistribution patterns of sand and oil agglomerates in the surf zone

Heavier-than-water sand and oil agglomerates that formed in the surf zone following the Deepwater Horizon oil spill continued to cause beach re-oiling 3 years after initial stranding. To understand this phenomena and inform operational response now and for future spills, a numerical method to assess the mobility and alongshore movement of these “surface residual balls” (SRBs) was developed and applied to the Alabama and western Florida coasts. Alongshore flow and SRB mobility and potential flux were used to identify likely patterns of transport and deposition. Results indicate that under typical calm conditions, cm-size SRBs are unlikely to move alongshore, whereas mobility and transport is likely during storms. The greater mobility of sand compared to SRBs makes burial and exhumation of SRBs likely, and inlets were identified as probable SRB traps. Analysis of field data supports these model results.

Alabama;Florida↗

A geographic analysis of the status of mountain lions in Oklahoma

The geographic distribution of sightings and sign of mountain lions (Puma concolor) in Oklahoma was investigated. Mail survey questionnaires were sent to natural resource professionals throughout Oklahoma to gather temporal and spatial information on sightings of mountain lions from 1985 to 1995. We used a geographic information system (GIS) to compare locations of sightings and sign in the state with ecoregions, deer harvest, human population densities, locations of licensed owners and breeders of mountain lions, and generalized topography. Sightings and sign of mountain lions occurred significantly more often in the Central Rolling Red Plains than elsewhere in the state. Sightings of mountain lions increased with total deer harvest statewide (R2=0.828, P<0.001). Numbers of sightings of mountain lions were correlated negatively with density of the human population (R2=0.885, P=0.017). Surveys are a valuable method to assess the status of rare wildlife species when other methods are not available and when those receiving the survey are qualified.

Wildlife Society Bulletin↗

Coal-mining seismicity and ground-shaking hazard: A case study in the Trail Mountain area, Emery County, Utah

We describe a multipart study to quantify the potential ground-shaking hazard to Joes Valley Dam, a 58-m-high earthfill dam, posed by mining-induced seismicity (MIS) from future underground coal mining, which could approach as close as ???1 km to the dam. To characterize future MIS close to the dam, we studied MIS located ???3-7 km from the dam at the Trail Mountain coal mine. A 12-station local seismic network (11 stations above ground, one below, combining eight triaxial accelerometers and varied velocity sensors) was operated in the Trail Mountain area from late 2000 through mid-2001 for the dual purpose of (1) continuously monitoring and locating MIS associated with longwall mining at a depth of 0.5-0.6 km and (2) recording high-quality data to develop ground-motion prediction equations for the shallow MIS. (Ground-motion attenuation relationships and moment-tensor results are reported in companion articles.) Utilizing a data set of 1913 earthquakes (M ??? 2.2), we describe space-time-magnitude distributions of the observed MIS and source-mechanism information. The MIS was highly correlated with mining activity both in space and time. Most of the better-located events have depths constrained within ??0.6 km of mine level. For the preponderance (98%) of the 1913 located events, only dilatational P-wave first motions were observed, consistent with other evidence for implosive or collapse-type mechanisms associated with coal mining in this region. We assess a probable maximum magnitude of M 3.9 (84th percentile of a cumulative distribution) for potential MIS close to Joes Valley Dam based on both the worldwide and regional record of coal-mining-related MIS and the local geology and future mining scenarios.

Bulletin of the Seismological Society of America↗

Suggestions for new and aspiring graduate students in wildlife science

The transition from an undergraduate to a graduate program can be a difficult experience for students. Many undergraduates are unfamiliar with the process of preparing for graduate school, especially the search for a graduate program. Once in graduate school, they may be unfamiliar with requirements (both written and unwritten) and expectations, and they may also lack the necessary knowledge or skills to complete a graduate program successfully. For students in wildlife science graduate programs, these problems can become major issues, especially for students with undergraduate degrees in fields other than wildlife science (e.g., biology programs). Although several authors have provided advice to graduate students (Stearns 1987, Hucy 1987, Witz 1994), their suggestions either did not provide sufficient information for undergraduate students, or did not apply to graduate students in wildlife science. We provide information for undergraduates and new graduate students in wildlife science that is often unavailable prior to and during the initial phases of a graduate program. Our objectives are: (1) to provide advice on how to prepare for graduate school; (2) to provide an approach to locating, evaluating, and selecting potential graduate schools and a graduate advisor; (3) to describe the fundamentals of graduate school; and (4) to familiarize students with available tools and techniques to enhance a graduate program. We hope that university professors will provide this paper to undergraduates to aid those interested in attending graduate school. In addition, graduate advisors may wish to provide this paper to new graduate students as they begin their programs.

Wildlife Society Bulletin↗

Correction of locality records for the endangered arroyo toad (Anaxyrus californicus) from the desert region of southern California

The recovery strategy for an endangered species requires accurate knowledge of its distribution and geographic range. Although the best available information is used when developing a recovery plan, uncertainty often remains in regard to a species actual geographic extent. The arroyo toad ( Anaxyrus californicus ) occurs almost exclusively in coastal drainages, from Monterey County, California, south into northwestern Baja California, Mexico. Through field reconnaissance and the study of preserved museum specimens we determined that the four reported populations of the arroyo toad from the Sonoran Desert region of Riverside, San Diego, and Imperial counties, California are in error. Two additional sites in the Sonoran Desert are discussed regarding the possibility that the arroyo toad occurs there. We recommend the continued scrutiny of arroyo toad records to maintain a high level of accuracy of its distribution and geographic extent.

California↗

Historical seismograms for unravelling a mysterious earthquake: The 1907 Sumatra Earthquake

History of instrumental seismology is short. Seismograms are available only for a little more than 100 years; high-quality seismograms are available only for the last 50 years and the seismological database is very limited in time. To extend the database, seismograms of old events are of vital importance. Many unusual earthquakes are known to have occurred, but their seismological characteristics are poorly known. The 1907 Sumatra earthquake is one of them (1907 January 4, M = 7.6). Gutenberg and Richter located this event in the outer-rise area of the Sunda arc. This earthquake is known to be anomalous because of its extensive tsunami, which is disproportionate of its magnitude. The tsunami affected the coastal areas over 950 km along the Sumatran coast. We investigated this earthquake using the historical seismograms we could collect from several seismological observatories. We examined the P -wave arrival times listed in the Strassburg Bulletin (1912) and other station bulletins. The scatter of the Observed−Computed traveltime residuals ranges from –30 to 30 s, too large to locate the event accurately. The uncertainty of the epicentre estimated from an S-P grid-search relocation study is at least 1° (∼110 km). We interpreted the Omori seismograms from Osaka, Mizusawa and Tokyo, and the Wiechert seismograms from Göttingen and Uppsala by comparing them with the seismograms simulated from modern broad-band seismograms of the 2002, 2008 and two 2010 Sumatra earthquakes which occurred near the 1907 earthquake. From the amplitude of Rayleigh waves recorded on the Omori seismograms we conclude that the magnitude of the 1907 earthquake at about 30 to 40 s is about 7.8 (i.e. 7.5 to 8.0). The SH waveforms recorded on the Göttingen and Uppsala seismograms suggest that the 1907 earthquake is a thrust earthquake at a shallow depth around 30 km. The most likely scenario is that the 1907 earthquake initiated on the subduction interface, and slowly ruptured up-dip into the shallow sediments and caused the extensive tsunami. Although their quantity and quality are limited, historical seismograms provide key quantitative information about old events that cannot be obtained otherwise. This underscores the importance of preserving historical seismograms.

Geophysical Journal International↗

Ratcheting up rigor in wildlife management decision making

The wildlife management institution has been transforming to ensure relevance and positive conservation outcomes into the future. Continuous improvement of decision making is one aspect of this transformation, but many obstacles hinder systematic approaches to decision making. One can point to examples of formal decision science applications by state and federal agencies in the United States, but generally decision making is not as methodical as the biological, ecological, or social sciences that inform wildlife policy and management decisions. We describe our observations — based on first-hand experiences — with decision making in wildlife management, present reasons why making decisions is difficult, identify challenges faced by wildlife managers at various levels of governance, and address measures wildlife managers can employ to overcome these challenges. We acknowledge that no panacea, simple recipe or one-size-fits-all prescription exists for wildlife management decision making. Nevertheless, we hope the combination of (a) describing how a systematic framework for decision making can benefit stakeholders, managers and conservation outcomes and (b) providing specific suggestions for such a framework will encourage agencies to continue taking steps to improve decision making processes.

Wildlife Society Bulletin↗