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At least 1,063 records · Page 59Linked to original sources

Chemical quality of water in the Walnut River basin, south-central Kansas

Improper disposal of oil-field brine and other wastes has adversely affected the naturally diverse chemical quality of much of the water in the Walnut River basin, south-central Kansas. The basin is an area of about 2,000 square miles in the shape of a rough triangle with its apex toward the south. The Whitewater River, a principal tributary, and the Walnut River below its junction with the Whitewater River flow southward toward the Arkansas River along courses nearly coincident with the contact of the Chase and overlying Sumner Groups of Permian age. The courses of many minor tributaries are parallel to a well-developed joint system in the Permian rock. Thick interbedded limestone and shale of the Chase Group underlie the more extensive, eastern part of the basin. Natural waters are dominantly of the calcium bicarbonate type. Shale and subordinate strata of limestone, gypsum, and dolomite of the Sumner Group underlie the western part of the basin. Natural waters are dominantly of the calcium sulfate type. Inflow from most east-bank tributaries dilutes streamflow of the Walnut River; west-bank tributaries, including the Whitewater River, contribute most of the sulfate. Terrace deposits and alluvial fill along the stream channels are assigned to the Pleistocene and Holocene Series. Calcium bicarbonate waters are common as a result of the dissolution of nearly ubiquitous fragments of calcareous rock, but the chemical quality of the water in the discontinuous aquifers depends mainly on the quality of local recharge. Concentrations of dissolved solids and of one or more ions in most well waters exceeded recommended maximums for drinking water. Nearly all the ground water is hard to very hard. High concentrations of sulfate characterize waters from gypsiferous aquifers; high concentrations of chloride characterize ground waters affected by drainage from oil fields. Extensive fracture and dissolution of the Permian limestones facilitated pollution of ground water by oil-field brine and migration of the polluted water into adjacent areas. Ground water containing more than 1,000 mg/o=l (milligrams per liter) dissolved solids .and more than 100 mg/o=l chloride is common near oil fields but is exceptional elsewhere. The concentration of nitrate in about 25 percent of the sampled well waters exceeded the recommended maximum for drinking water. High concentrations of nitrate generally were associated with shallow aquifers, local sources of organic pollution, and stagnation. Sodium and chloride are the principle ionic constituents of oil-field brine but are minor constituents of natural surface waters or shallow ground water in the basin. The ratios of the concentrations of sodium to chloride in brine from different oil fields varied within a narrow range from a mean of 0.52. Concentrations of chloride exceeding 50 mg/o=l in streamflow and 100 mg/l in ground water generally signified the presence of oil-field brine if the sodium-chloride ratios were less than 0.60. Higher sodium-chloride ratios characterized relatively rare occurrences of high concentrations of the ions that might have originated in evaporite minerals or in sewage. The concentration of chloride during low flow of the major streams generally increased, and the sodium-chloride ratio decreased, in a downstream direction from about 0.65 near the headwaters to about 0.51, which is characteristic of oil-field brine. The changes were most abrupt where polluted ground-water effluent augmented low streamflow adjacent to old oil fields. With increased direct runoff, the sodium-chloride ratio normally increased, and these ions constituted a smaller percentage of the dissolved-solids load. Annual runoff .decreased progressively from above normal to below normal during water years 1962-64. Higher concentrations .of the ions in streamflow persisted for longer periods during the periods of low runoff

Water Supply Paper↗

Dissolved oxygen analysis, TMDL model comparison, and particulate matter shunting—Preliminary results from three model scenarios for the Klamath River upstream of Keno Dam, Oregon

Efforts are underway to identify actions that would improve water quality in the Link River to Keno Dam reach of the Upper Klamath River in south-central Oregon. To provide further insight into water-quality improvement options, three scenarios were developed, run, and analyzed using previously calibrated CE-QUAL-W2 hydrodynamic and water-quality models. Additional scenarios are under development as part of this ongoing study. Most of these scenarios evaluate changes relative to a "current conditions" model, but in some cases a "natural conditions" model was used that simulated the reach without the effect of point and nonpoint sources and set Upper Klamath Lake at its Total Maximum Daily Load (TMDL) targets. These scenarios were simulated using a model developed by the U.S. Geological Survey (USGS) and Watercourse Engineering, Inc. for the years 2006–09, referred to here as the "USGS model." Another model of the reach was developed by Tetra Tech, Inc. for years 2000 and 2002 to support the Klamath River TMDL process; that model is referred to here as the "TMDL model." The three scenarios described in this report included (1) an analysis of whether this reach of the Upper Klamath River would be in compliance with dissolved oxygen standards if sources met TMDL allocations, (2) an application of more recent datasets to the TMDL model with comparison to results from the USGS model, and (3) an examination of the effect on dissolved oxygen in the Klamath River if particulate material were stopped from entering Klamath Project diversion canals. Updates and modifications to the USGS model are in progress, so in the future these scenarios will be reanalyzed with the updated model and the interim results presented here will be superseded. Significant findings from this phase of the investigation include: * The TMDL analysis used depth-averaged dissolved oxygen concentrations from model output for comparison with dissolved oxygen standards. The Oregon dissolved oxygen standards do not specify whether the numeric criteria are based on depth-averaged dissolved oxygen concentration; this was an interpretation of the standards rule by the Oregon Department of Environmental Quality (ODEQ). In this study, both depth-averaged and volume-averaged dissolved oxygen concentrations were calculated from model output. Results showed that modeled depth-averaged concentrations typically were lower than volume-averaged dissolved oxygen concentrations because depth-averaging gives a higher weight to small volume areas near the channel bottom that often have lower dissolved oxygen concentrations. Results from model scenarios in this study are reported using volume-averaged dissolved oxygen concentrations. * Under all scenarios analyzed, violations of the dissolved oxygen standard occurred most often in summer. Of the three dissolved oxygen criteria that must be met, the 30-day standard was violated most frequently. Under the base case (current conditions), fewer violations occurred in the upstream part of the reach. More violations occurred in the down-stream direction, due in part to oxygen demand from the decay of algae and organic matter from Link River and other inflows. * A condition in which Upper Klamath Lake and its Link River outflow achieved Upper Klamath Lake TMDL water-quality targets was most effective in reducing the number of violations of the dissolved oxygen standard in the Link River to Keno Dam reach of the Klamath River. The condition in which point and nonpoint sources within the Link River to Keno Dam reach met Klamath River TMDL allocations had no effect on dissolved oxygen compliance in some locations and a small effect in others under current conditions. On the other hand, meeting TMDL allocations for nonpoint and point sources was predicted to be important in meeting dissolved oxygen criteria when Upper Klamath Lake and Link River also met Upper Klamath TMDL water-quality targets. * The location of greatest dissolved oxygen improvement from nutrient and organic matter reductions was downstream from point and nonpoint source inflows because time and distance are required for decay to occur and for oxygen demand to be exerted. * After assessing compliance with dissolved oxygen standards at all 102 model segments in the Link River to Keno Dam reach, it was determined that the seven locations used by ODEQ appear to be a representative subset of the reach for dissolved oxygen analysis. * The USGS and TMDL models were qualitatively compared by running both models for the 2006–09 period but preserving the essential characteristics of each, such as organic matter partitioning, bathymetric representation, and parameter rates. The analysis revealed that some constituents were not greatly affected by the differing algorithms, rates, and assumptions in the two models. Conversely, other constituents, especially organic matter, were simulated differently by the two models. Organic matter in this river system is best represented by a mixture of relatively labile particulate material and a substantial concentration of refractory dissolved material. In addition, the use of a first-order sediment oxygen demand, as in the USGS model, helps to capture the seasonal and dynamic effect of settled organic and algal material. * Simulation of shunting (diverting) particulate material away from the intake of four Klamath Project diversion canals, so that the material stayed in the river and out of the Project area, caused higher concentrations of particulate material to occur in the river. In all cases modeled, the increase in in-river particulate material also produced decreased dissolved oxygen concentrations and an increase in the number of days when dissolved oxygen standards were violated. * If particulate material were shunted back into the river at the Klamath Project diversion canals, less organic matter and nutrients would be taken into the Klamath Project area and the Lost River basin, resulting in return flows to the Klamath River via Lost River Diversion Channel that may have reduced nutrient concentrations. Model scenarios bracketing potential end-member nutrient concentrations showed that the composition of the return flows had little to no effect on dissolved oxygen compliance under simulated conditions.

Oregon↗

Geophysical, archaeological and historical evidence support a solar-output model for climate change

Although the processes of climate change are not completely understood, an important causal candidate is variation in total solar output. Reported cycles in various climate-proxy data show a tendency to emulate a fundamental harmonic sequence of a basic solar-cycle length (11 years) multiplied by 2(N) (where N equals a positive or negative integer). A simple additive model for total solar-output variations was developed by superimposing a progression of fundamental harmonic cycles with slightly increasing amplitudes. The timeline of the model was calibrated to the Pleistocene/Holocene boundary at 9,000 years before present. The calibrated model was compared with geophysical, archaeological, and historical evidence of warm or cold climates during the Holocene. The evidence of periods of several centuries of cooler climates worldwide called 'little ice ages,' similar to the period anno Domini (A.D.) 1280-1860 and reoccurring approximately every 1,300 years, corresponds well with fluctuations in modeled solar output. A more detailed examination of the climate sensitive history of the last 1,000 years further supports the model. Extrapolation of the model into the future suggests a gradual cooling during the next few centuries with intermittent minor warmups and a return to near little-ice-age conditions within the next 500 years. This cool period then may be followed approximately 1,500 years from now by a return to altithermal conditions similar to the previous Holocene Maximum.

Conference Paper↗

Geology of Glacier National Park and the Flathead Region, Northwestern Montana

This report summarizes available data on two adjacent and partly overlapping regions in northwestern Montana. The first of these is Glacier National Park plus small areas east and west of the park. The second is here called, for convenience, the Flathead region; it embraces the mountains from the southern tip of Glacier Park to latitude 48 deg north and between the Great Plains on the east and Flathead Valley on the west. The fieldwork under the direction of the writer was done in 1948, 1949, 1950, and 1951, with some work in 1952 and 1953. The two regions together include parts of the Swan, Flathead, Livingstone, and Lewis Ranges. They are drained largely by branches of the Flathead River. On the east and north, however, they are penetrated by tributaries of the Missouri River and in addition by streams that flow into Canada. Roads and highways reach the borders of the regions; but there are few roads in the regions and only two highways cross them. The principal economic value of the assemblage of mountains described in the present report is as a collecting ground for snow to furnish the water used in the surrounding lowlands and as a scenic and wildlife recreation area. A few metallic deposits and lignitic coal beds are known, but these have not proved to be important and cannot, as far as can now be judged, be expected to become so. No oil except minor seeps has yet been found, and most parts of the two regions covered do not appear geologically favorable to the presence of oil in commercial quantities. The high, Hungry Horse Dam on which construction was in progress during the fieldwork now floods part of the Flathead region and will greatly influence the future of that region. The rocks range in age from Precambrian to Recent. The thickest units belong to the Belt series of Precambrian age, and special attention was paid to them. As a result, it is clear that at least the upper part of the series shows marked lateral changes within short distances. This fact introduces complexities into stratigraphic correlation and should be remembered wherever the series is studied. The stromatolites, or fossil algae, in the Belt series, although still imperfectly understood, give clues with respect to problems of ecology and stratigraphy. The subdivisions of the Belt series within the areas covered by the present report are, in ascending order, Altyn limestone, Appekunny argillite, Grinnell argillite, Siyeh limestone, and Missoula group. Local subdivisions of the Missoula group are possible in certain areas, and all the units just named are expected to be subdivided when detailed studies are undertaken. In the Glacier National Park and Flathead regions together, it is probable that between 25,000 and 30,000 feet of beds belonging to the Belt series, possibly more, are present. These consist largely of quartzitic argillite, quartzite, and carbonate rocks, mostly dolomitic. Small gabbroic and diabasic intrusive bodies and, at one horizon, basaltic lava are associated with the Belt series. Above the Belt series is a thick sequence of Cambrian, Devonian, and Carboniferous strata, in which limestone is dominant, followed by strata of Jurassic and Cretaceous age, largely limestone and shale and partly of terrestrial origin. Slightly consolidated gravel, sand, and silt of Tertiary age are preserved in some valleys and as erosional remnants on the plains close to the mountain border. Pleistocene and Recent glacial and fluviatile deposits are plentiful in mountain valleys and on the plains east of the mountains. Sufficient crustal movements took place during the latter part of Belt time to produce tension cracks that permitted some intrusion and related extrusion to occur. Broad crustal warping probably took place at intervals during the Paleozoic era, but these successive movements left little record other than the absence of sedimentary rock units that might otherwise have been deposited. The same can be said of much of the Me

Professional Paper↗

Fossil flora of the John Day basin, Oregon

For a number of years I have been gradually accumulating material for a thorough revision of the Tertiary floras of the Pacific slope. Fossil plants are known to occur at numerous points within this area, and their study and identification has already furnished valuable data bearing on the geological history of the region, and when still further exploited it is confidently expected that they will afford more exact data for the use of geologists. This investigation is progressing satisfactorily, and at no distant day it is hoped to have it in form for final publication. From time to time various members of the United States Geological Survey, as well as others not connected with this organization, have sent in small collections of fossil plants for determination. These have been studied and reported upon as fully as the condition of the problem permitted, so that the determinations could be immediately available to geologists, but with the reservation that none of the questions could be fully settled until all known material had been studied and properly correlated. The rich fossil plant deposits in the John Day Basin, as set forth more fully in the historical account which follows, have been known for a period of nearly fifty years, but their study has been carried on in a more or less desultory manner. There has also been considerable confusion as to the horizons whence these plants came. As various species of plants described originally from the John Day region were detected in various other localities in Oregon, and in surrounding areas, as central Washington, western Idaho, and northern California, it became more than ever apparent that a thorough study of all material obtainable from this type area would be necessary before any definite or satisfactory conclusions could be reached. The immediate incentive for this revision was furnished by the receipt of a considerable collection of plants, made by Dr. John C. Merriam in 1900 while he was in charge of an expedition into this region made under the auspices of the University of California. When these plants were submitted to me for study, it was thought possible to present their description, together with a revision of our knowledge of the previously known forms, within a space sufficiently small to permit the publication of the matter as an appendix to a paper on the general geology of the area, then in preparation by Dr. Merriam. But it soon became apparent that this could not be adequately done within the space available, and a short preliminary report was prepared for and published by Dr. Merriam. The results of a complete restudy of all available fossil plant material from the John Day Basin are now presented. I wish to record my great indebtedness to Dr. Merriam, who not only accompanied me at a considerable personal sacrifice on a trip through the region in 1901, but placed unreservedly at my disposal all material bearing in any way on the problem then in the paleontological museum of the University of California. To Dr. Arthur Hollick I am indebted for the loan of all material from the John Day region belonging to Columbia University, and now deposited in the New York Botanical Garden at Bronx Park. This material, together with the rich collections belonging to the United States National Museum, represents practically all now known to have come from the John Day Basin.

Oregon↗

Digital mapping techniques '03 - Workshop proceedings

The Digital Mapping Techniques '03 (DMT'03) workshop was attended by nearly 90 technical experts from 36 agencies, universities, and private companies, including representatives from 22 state geological surveys (see Appendix A). Although the meeting was slightly smaller than DMT'02 it was, considering the budget deficits in nearly all 50 states, very well attended. This workshop was similar in nature to the previous six meetings, held in Lawrence, Kansas (Soller, 1997), in Champaign, Illinois (Soller, 1998), in Madison, Wisconsin (Soller, 1999), in Lexington, Kentucky (Soller, 2000), in Tuscaloosa, Alabama (Soller, 2001), and in Salt Lake City, Utah (Soller, 2002). This year's meeting was hosted by the Pennsylvania Geological Survey, from June 1-4, 2003, on the Millersville University campus in Millersville, Pennsylvania. As in the previous meetings, the objective was to foster informal discussion and exchange of technical information. This objective was well met, as attendees continued to share and exchange knowledge and information, and to renew friendships and collegial work begun at past DMT workshops. All the DMT workshops have been coordinated by the Association of American State Geologists (AASG) and U.S. Geological Survey (USGS) Data Capture Working Group, which was formed in August 1996, to support the AASG and the USGS in their effort to build a National Geologic Map Database (see Soller and Berg, this volume, and <http://ncgmp.usgs.gov/ngmdbproject/ standards/datacapt/>). The Working Group was formed because increased production efficiencies, standardization, and quality of digital map products were needed for the database— and the State and Federal geological surveys—to provide more high-quality digital maps to the public. At the 2003 meeting, oral and poster presentations and special discussion sessions emphasized 1) methods for creating and publishing map products (here, "publishing" includes Web-based release); 2) digital cartographic techniques, 3) analytical GIS techniques; 4) continued development of the National Geologic Map Database; 5) progress toward building and implementing a standard geologic map data model and standard science language, and 6) the need to archive both the published products and the data and observational data that support it.

Open-File Report↗

Evaluating and ranking threats to the long-term persistence of polar bears

The polar bear ( Ursus maritimus ) was listed as a globally threatened species under the U.S. Endangered Species Act (ESA) in 2008, mostly due to the significant threat to their future population viability from rapidly declining Arctic sea ice. A core mandate of the ESA is the development of a recovery plan that identifies steps to maintain viable populations of a listed species. A substantive evaluation of the relative influence of putative threats to population persistence is helpful to recovery planning. Because management actions must often be taken in the face of substantial information gaps, a formalized evaluation hypothesizing potential stressors and their relationships with population persistence can improve identification of relevant conservation actions. To this end, we updated a Bayesian network model previously used to forecast the future status of polar bears worldwide. We used new information on actual and predicted sea ice loss and polar bear responses to evaluate the relative influence of plausible threats and their mitigation through management actions on the persistence of polar bears in four ecoregions. We found that polar bear outcomes worsened over time through the end of the century under both stabilized and unabated greenhouse gas (GHG) emission pathways. Under the unabated pathway (i.e., RCP 8.5), the time it took for polar bear populations in two of four ecoregions to reach a dominant probability of greatly decreased was hastened by about 25 years. Under the stabilized GHG emission pathway (i.e., RCP 4.5), where GHG emissions peak around the year 2040, the polar bear population in the Archipelago Ecoregion of High Arctic Canada never reached a dominant probability of greatly decreased, reinforcing earlier suggestions of this ecoregion&rsquo;s potential to serve as a long-term refugium. The most influential drivers of adverse polar bear outcomes were declines to overall sea ice conditions and to the marine prey base. Improved sea ice conditions substantively lowered the probability of a decreased or greatly decreased outcome, while an elevated marine prey base was slightly less influential in lowering the probability of a decreased or greatly decreased outcome. Stressors associated with in situ human activities exerted considerably less influence on population outcomes. Reduced mortality from hunting and defense of life and property interactions resulted inmodest declines in the probability of a decreased or greatly decreased population outcome. Minimizing other stressors such as trans-Arctic shipping, oil and gas exploration, and point-source pollution had negligible effects on polar bear outcomes, but that could be attributed to uncertainties in the ecological relevance of those specific stressors. Our findings suggest adverse consequences of loss of sea ice habitat become more pronounced as the summer ice-free period lengthens beyond 4 months, which could occur in portions of the Arctic by the middle of this century under the unabated pathway. The long-term persistence of polar bears may be achieved through ameliorating the loss of sea ice habitat, which will likely require stabilizing CO 2 emissions at or below the ceiling represented by RCP 4.5. Management of other stressors may serve to slow the transition of polar bear populations to progressively worsened outcomes, and improve the prospects of persistence, pending GHG mitigation.

Open-File Report↗

Streamflow from the United States into the Atlantic Ocean during 1931-1960

Streamflow from the United States into the Atlantic Ocean, between the international stream St. Croix River, inclusive, and Cape Sable, Fla., averaged about 355,000 cfs (cubic feet per second) during the 30-year period 1931-60, or roughly 20 percent of the water that, on the average flows out of the conterminous United States. The area drained by streams flowing into the Atlantic Ocean is about 288,000 square miles, including the Canadian part of the St. Croix and Connecticut River basins, or a little less than 10 percent of the area of the conterminous United States. Hence, the average streamflow into the Atlantic Ocean, in terms of cubic feet per second per square mile, is about twice the national average of the flow that leaves the conterminous United States. Flow from about three-fourths of the area draining into the Atlantic Ocean is gaged at streamflow measuring stations of the U.S. Geological Survey. The remaining one-fourth of the drainage area consists mostly of low-lying coastal areas from which the flow was estimated, largely on the basis of nearby gaging stations. Streamflow, in terms of cubic feet per second per square mile, decreases rather progressively from north to south. It averages nearly 2 cfs along the Maine coast, about 1 cfs along the North Carolina coast, and about 0.9 cfs along the Florida coast.

Water Supply Paper↗

Forewarned is forearmed! Progress in development of the U.S. National Early Detection and Rapid Response System for invasive plants: Proposal for a North American early warning system for invasive plants

Currently, a National Early Detection and Rapid Response System (EDRR) for Invasive Plants is being developed in the United States. Conceptually, the system is a coordinated framework of local, state, and national interagency groups that is designed to prevent the establishment and spread of new invasive plants through early detection and reporting of suspected new invaders, identification and vouchering of specimens by cooperating botanists, archiving of confirmed new records in regional and national plant databases, rapid assessment of confirmed new exotic species by federal and state scientists, and rapid control response to new incursions that can be eradicated. A National EDRR Framework is also being developed in Canada, through the work of the federal ministries, as well as provincial invasive species councils. With a functional EDRR communications structure in place in Canada and the U.S., a North American Early Warning System for Invasive Plants can be developed to help publicize information about new and emerging invasive plants across the continent.

Conference Paper↗

Investigation of U.S. Foreign Reliance on Critical Minerals—U.S. Geological Survey technical input document in response to Executive Order No. 13953 Signed September 30, 2020

Over the past few decades (1990–2019), the United States has become reliant on foreign sources to meet domestic demand for a large and growing number of mineral commodities. In combination with recent trends towards progressively concentrated supply of mineral commodities from a limited number of countries, this heightened import reliance may increase the risk to the United States economy and national security. Several factors obscure the true net import reliance of mineral commodities essential to the United States, including indirect trade reliance, embedded trade reliance, and foreign ownership. This report provides a detailed overview of contributions to and trends of these mineral commodity supply risks and provides an outline of the salient factors pertaining to each mineral commodity’s supply chain. It also describes some additional considerations and provides a general framework for evaluating different strategies aimed at reducing net import reliance and supply risk.

Open-File Report↗

Drought Monitoring with VegDRI

Drought strikes somewhere in the United States every year, turning green landscapes brown as precipitation falls below normal levels and water supplies dwindle. Drought is typically a temporary climatic aberration, but it is also an insidious natural hazard. It might last for weeks, months, or years and may have many negative effects. Drought can threaten crops, livestock, and livelihoods, stress wildlife and habitats, and increase wildfire risks and threats to human health. Drought conditions can vary tremendously from place to place and week to week. Accurate drought monitoring is essential to understand a drought's progression and potential effects, and to provide information necessary to support drought mitigation decisions. It is also crucial in light of climate change where droughts could become more frequent, severe, and persistent.

Fact Sheet↗

Historic channel change along Soldier Creek, northeast Kansas

To assess historical channel change along Soldier Creek, northeast Kansas, available information from eight U.S. Geological Survey streamflow-gaging stations was analyzed. At each gaging station, channel change was assessed using channel-bed elevation as the primary indicator variable. Changes in channel-bed elevation were inferred from changes in the stage associated with the mean annual discharge at each station. The variables channel width, channel area, and streamflow velocity were used as additional indicators of change. Results indicated that the most substantial channel changes occurred downstream from Rocky Ford at the Soldier Creek streamflow-gaging stations located near Topeka and Delia. The available evidence indicated that the channelization of Soldier Creek, completed in 1961, was likely the primary cause of the channel changes at these locations. The decreasing base level provided by the Kansas River also may have contributed to the channel changes at these locations. At the Soldier Creek gaging station near Topeka, immediate effects of the channelization included a decrease in channel-bed elevation of about 5 feet and an increase in channel width of about 35 feet. The instability introduced by the channelization caused channel-bed degradation that moved upstream at the rate of about 0.7 to 1.2 miles per year. At the Soldier Creek gaging station near Delia, located about 12 miles upstream from the upstream end of the channelized section, channel-bed degradation began during the 1970s and resulted in a net decrease in channel-bed elevation of about 5 feet by 1999. The available evidence indicated that Soldier Creek at and upstream from Rocky Ford has not been substantially affected by the upstream-progressing channel-bed degradation as of 2001. In this part of the basin other causes of channel change, such as land use and floods, may be relatively more important.

Kansas↗

Physical and hydrologic properties of outcrop samples from a nonwelded to welded tuff transition, Yucca Mountain, Nevada

Quantitative material-property data are needed to describe lateral and vertical spatial variability of physical and hydrologic properties and to model ground-water flow and radionuclide transport at the potential Yucca Mountain nuclear-waste repository site in Nevada. As part of ongoing site characterization studies of Yucca Mountain directed toward this understanding of spatial variability, laboratory measurements of porosity, bull* and particle density, saturated hydraulic conductivity, and sorptivity have been obtained for a set of outcrop samples that form a systematic,two dimensional grid that covers a large exposure of the basal Tiva Canyon Tuff of the Paintbrush Group of Miocene age at Yucca Mountain. The samples form a detailed vertical grid roughly parallel to the transport direction of the parent ash flows, and they exhibit material-property varia- tions in an interval of major lithologic change overlying a potential nuclear-waste repository at Yucca Mountain. The observed changes in hydrologic properties were systematic and consistent with the changes expected for the nonwelded to welded transition at the base of a major ash-flow sequence. Porosity, saturated hydraulic conductivity, and sorptivity decreased upward from the base of the Tiva Canyon Tuff, indicating the progressive compaction of ash- rich volcanic debris and the onset of welding with increased overburden pressure from the accumulating ash-flow sheet. The rate of decrease in the values of these material properties varied with vertical position within the transition interval. In contrast, bulk-density values increased upward, a change that also is consistent with progressive compaction and the onset of welding. Particle-density values remained almost constant throughout the transition interval, probably indicating compositional (chemical) homogeneity.

Water-Resources Investigations Report↗

The 1906 earthquake and a century of progress in understanding earthquakes and their hazards

The 18 April 1906 San Francisco earthquake killed nearly 3000 people and left 225,000 residents homeless. Three days after the earthquake, an eight-person Earthquake Investigation Commission composed of 25 geologists, seismologists, geodesists, biologists and engineers, as well as some 300 others started work under the supervision of Andrew Lawson to collect and document physical phenomena related to the quake . On 31 May 1906, the commission published a preliminary 17-page report titled "The Report of the State Earthquake Investigation Commission". The report included the bulk of the geological and morphological descriptions of the faulting, detailed reports on shaking intensity, as well as an impressive atlas of 40 oversized maps and folios. Nearly 100 years after its publication, the Commission Report remains a model for post-earthquake investigations. Because the diverse data sets were so complete and carefully documented, researchers continue to apply modern analysis techniques to learn from the 1906 earthquake. While the earthquake marked a seminal event in the history of California, it served as impetus for the birth of modern earthquake science in the United States.

GSA Today↗

Source and progression of a submarine landslide and tsunami: The 1964 Great Alaska earthquake at Valdez

Like many subduction zone earthquakes, the deadliest aspects of the 1964 M = 9.2 Alaska earthquake were the tsunamis it caused. The worst of these were generated by local submarine landslides induced by the earthquake. These caused high runups, engulfing several coastal towns in Prince William Sound. In this paper, we study one of these cases in detail, the Port Valdez submarine landslide and tsunami. We combine eyewitness reports, preserved film, and careful posttsunami surveys with new geophysical data to inform numerical models for landslide tsunami generation. We review the series of events as recorded at Valdez old town and then determine the corresponding subsurface events that led to the tsunami. We build digital elevation models of part of the pretsunami and posttsunami fjord‐head delta. Comparing them reveals a ~1500 m long region that receded 150 m to the east, which we interpret as the primary delta landslide source. Multibeam imagery and high‐resolution seismic reflection data identify a ~400 m wide chute with hummocky deposits at its terminus, which may define the primary slide path. Using these elements we run hydrodynamic models of the landslide‐driven tsunamis that match observations of current direction, maximum inundation, and wave height at Valdez old town. We speculate that failure conditions at the delta front may have been influenced by manmade changes in drainage patterns as well as the fast retreat of Valdez and other glaciers during the past century.

Alaska↗

Dissipation of Titans north polar cloud at northern spring equinox

Saturn's Moon Titan has a thick atmosphere with a meteorological cycle. We report on the evolution of the giant cloud system covering its north pole using observations acquired by the Visual and Infrared Mapping Spectrometer onboard the Cassini spacecraft. A radiative transfer model in spherical geometry shows that the clouds are found at an altitude between 30 and 65 km. We also show that the polar cloud system vanished progressively as Titan approached equinox in August 2009, revealing at optical wavelengths the underlying sea known as Kraken Mare. This decrease of activity suggests that the north-polar downwelling has begun to shut off. Such a scenario is compared with the Titan global circulation model of Rannou et al. (2006) , which predicts a decrease of cloud coverage in northern latitudes at the same period of time.

Planetary and Space Science↗

Workshop: Western hemisphere network of bird banding programs

Purpose: To promote collaboration among banding programs in the Americas. Introduction: Bird banding and marking provide indispensable tools for ornithological research, management, and conservation of migratory birds on migratory routes, breeding and non-breeding grounds. Many countries and organizations in Latin America and the Caribbean are in the process of developing or have expressed interest in developing national banding schemes and databases to support their research and management programs. Coordination of developing and existing banding programs is essential for effective data management, reporting, archiving and security, and most importantly, for gaining a fuller understanding of migratory bird conservation issues and how the banding data can help. Currently, there is a well established bird-banding program in the U.S.A. and Canada, and programs in other countries are being developed as well. Ornithologists in many Latin American countries and the Caribbean are interested in using banding and marking in their research programs. Many in the ornithological community are interested in establishing banding schemes and some countries have recently initiated independent banding programs. With the number of long term collaborative and international initiatives increasing, the time is ripe to discuss and explore opportunities for international collaboration, coordination, and administration of bird banding programs in the Western Hemisphere. We propose the second ?Western Hemisphere Network of Bird Banding Programs? workshop, in association with the SCSCB, to be an essential step in the progress to strengthen international partnerships and support migratory bird conservation in the Americas and beyond. This will be the second multi-national meeting to promote collaboration among banding programs in the Americas (the first meeting was held in October 8-9, 2006 in La Mancha, Veracruz, Mexico). The Second ?Western Hemisphere Network of Bird Banding Programs? workshop will continue addressing issues surrounding the coordination of an Americas? approach to bird banding and will review in detail the advances made on the first workshop such as, coordination of bands and markers, coordination in recovery reporting, permit issues, data management and data sharing and archiving, data security, training, etc. Workshop Goals: Build on accomplishments of the network?s first workshop (Oct 8-9, 2006). Identify and explore new opportunities for data sharing, data archiving, data access, training, etc. Initiate strategies to support international collaboration and coordination amongst bird banding programs in the Western Hemisphere. Workshop structure: One day workshop of guided discussions. Participants: Representatives of government agencies, program managers and NGOs.

Book chapter↗

Gas bubble disease in resident fish below Grand Coulee Dam: final report of research

Fish kills have occurred in the reservoir below Grand Coulee Dam possibly due to total dissolved gas supersaturation (TDGS), which occurs when water cascades over a dam or waterfall. The highest TDGS below Grand Coulee Dam has occurred after spilling water via the outlet tubes, though TDGS from upstream sources has also been recorded. Exposure to TDGS can cause gas bubble disease in aquatic organisms. This disease, analogous to ‘the bends’ in human divers, can range from mild to fatal depending on the level of supersaturation, species, life cycle stage, condition of the fish, fish depth, and the water temperature. The USGS, Western Fisheries Research Center’s Columbia River Research Laboratory conducted field and laboratory experiments to determine the relative risks of TDGS to various species of fish in the reservoir below the dam (Rufus Woods Lake). Field work included examination of over 8000 resident fish for signs of gas bubble disease, examination of the annual growth increments of several species relative to ambient TDGS, and recording the in-situ depths and temperatures of several species using miniature recorders surgically implanted in both resident fish and triploid steelhead reared in commercial net pens. Laboratory experiments included bioassays of the progression of signs and mortality of several species at various TDGS levels. The overarching objective of these studies was to provide data to enable sound management decisions regarding the effects of TDGS in the reservoir below Grand Coulee Dam, though the data may also be applicable to other locations.

Washington↗