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An overview of bioaerosol load and health impacts associated with dust storms: A focus on the Middle East

Dust storms are an important environmental problem worldwide. The main sources of dust storms include the Sahara, the Middle East, and central and northeastern Asia. Dust storms originating from these regions can be dispersed across oceans and in some cases globally. They occur throughout the year and vary in frequency and intensity. The biological agents (e.g., fungi, bacteria and viruses) and the mineral and chemical compositions of dust may have adverse effects on human health and quality of life. Desert dusts may cause respiratory diseases, cardiovascular diseases, cardiopulmonary diseases, mental health issues, injuries and death from transport accidents caused by poor visibility. This paper presents dust storm human health research conducted in the Middle East in both indoor and outdoor environments. Results illustrate that particle concentration and bioaerosol types in the atmosphere are affected by climate change and meteorological factors. Recent data trends indicate that annual dust aerosol concentrations have increased worldwide. According to studies conducted in the Middle East, the incidence of respiratory and cardiovascular mortality and hospital visits have increased dramatically following dust storm exposures but very few have demonstrated a regional causation. National and international collaborative efforts are needed to advance our understanding of the global implications of dust storms and what may be the most effective means of mitigation.

Middle East

A workshop model simulating fate and effect of drilling muds and cuttings on benthic communities

Oil and gas exploration and production at marine sites has generated concern over potential environmental impacts resulting from the discharge of spent drilling muds and cuttings. This concern has led to a broad array of publicly and privately sponsored research. This report described a cooperative modeling effort designed to focus information resulting from this research through construction of explicit equations that simulate the potential impacts of discharge drilling fluids (muds) and cuttings on marine communities. The model is the result of collaboration among more than 30 scientists. The principal cooperating organizations were the E.S. Environmental Protection Agency, the U.S. Minerals Management Service, the Offshore Operators Committee, and the Alaska Oil and Gas Association. The overall simulation model can be conceptualized as three connected submodels: Discharge and Plume Fate, Sediment Redistribution, and Benthic Community Effects. On each day of simulation, these submodels are executed in sequence, with flows of information between submodels. The Benthic Community Effects submodel can be further divided into sections that calculate mortality due to burial, mortality due to toxicity, mortality due to resuspension disturbance, and growth of the community. The model represents a series of seven discrete 1-m 2 plots at specified distances along a transect in one direction away from a discharge point. It consists of coupled difference equations for which parameter values can easily be set to evaluate different conditions or to examine the sensitivity of output to various assumptions. Sets of parameter values were developed to represent four general cases or scenarios: (1) a shallow (5 m), cold environment with ice cover during a substantial fraction of the year, such as might be encountered in the Beaufort Sea, Alaska; (2) a shallow (20 m), temperate environment, such as might be encountered in the Gulf of Mexico; (3) a deeper (80 m), temperate environment, such as might be encountered in the Gulf of Mexico; and (4) a very deep (1,000 m) environment, such as might be encountered on the Atlantic slope. The focus of the modeling effort was on the connection of a reasonable representation of physical fate to the biological responses of populations, rather than on highly detailed representations of individual processes. For example, the calculations of physical fate are not as detailed as those in the recently published model of Brandsma et al. (1983). The value of the model described herein is in the broad scope of processes that are explicitly represented and linked together. The model cannot be considered to produce reliable predictions of the quantitative impacts of discharged drilling fluids and cuttings on biological populations at a particular site. Limitations of the model in predicting integrated fate and effects can be traced to three general areas: level of refinement of the algorithms used in the model; lack of understanding of the processes determining fate and effects; and parameter and data values. Despite the limitations, several qualitative conclusions concerning both potential impacts and the importance of various remaining data gaps can be drawn from the modeling effort. These include: (1) Simple, unequivocal conclusions about fate and effects across geographical regions and drilling operations are difficult, if not misleading, due to the large amount of variability in characteristics of discharged materials (e.g., oil content and toxicity), discharge conditions (e.g., duration of drilling operations), physical environments (e.g., water depth, current direction, and sediment disturbance regimes), and biological communities (e.g., intrinsic growth rates). Different combinations of these characteristics can result in substantial differences in simulated environmental fate and biological effects. For examples, simulated recovery in some high-energy environments occurs within months after the cessation of discharge operations, even at heavily impacted sites, whereas simulated recover in some low-energy environments takes years at heavily impacted sites. <2) Considerable difficulties remain in the reliable extrapolation of results from laboratory toxicity experiments to predictions of population effects in the field. (3) The volume of material discharged and duration of operations in the production drilling operations simulated by the model are sufficient to produce substantial simulated biological impacts at some plots, both in terms of differences from a control plot during the period of discharge operations, and in terms of the recovery period following the perturbations. Evaluation of the significance of potential effects involves the following factors: • Definition of a specific spatial and temporal reference frame (e.g., What is the natural variation? Is 1 year to be considered a "long" or "short" time? Is 50 m to be considered a "large" or "trivial" distance? • Consideration of rare or unique resources and particularly sensitive biotic assemblages. • Consideration of the potential for long term, cumulative effects. Some of these aspects are clearly beyond the scope of this modeling efforts (e.g., the model does not simulate the long term fate of resuspended material). The model does, however, contain an internal "reference frame" by comparison to simulated behavior at a control plot. The model, in general, simulates substantial "natural" variation at the reference or control plots, both over time, due to sediment disturbance events in medium to high energy environments, and over space, due to geographically varying conditions, such as water depth and current regime.

Report

Crocoite: An unusual mode of occurrence for lead in coal

What is believed to be a very unusual mode of occurrence for lead in coal has been identified as crocoite (PbCrO4). As part of a larger study on trace elements and mineralogy in the Cretaceous Main Seam in New Zealand, crocoite was found in raw coal samples within the lower part of the coal seam. X-ray diffraction (XRD) and bulk chemical data from a SEM equipped with an energy dispersive X-ray analyser (EDXA) have confirmed the identity of this mineral. This is apparently the first time that crocoite has been reported in coal. Crocoite usually occurs only in the oxidised zone of lead mineral deposits. The occurrence of this mineral in the Main Seam coal implies that the deposit was exposed to an oxidising environment at some stage, most likely after coalification. Published by Elsevier Science B.V.

International Journal of Coal Geology

A new analysis of Mars "Special Regions": findings of the Second MEPAG Special Regions Science Analysis Group (SR-SAG2)

A committee of the Mars Exploration Program Analysis Group (MEPAG) has reviewed and updated the description of Special Regions on Mars as places where terrestrial organisms might replicate (per the COSPAR Planetary Protection Policy). This review and update was conducted by an international team (SR-SAG2) drawn from both the biological science and Mars exploration communities, focused on understanding when and where Special Regions could occur. The study applied recently available data about martian environments and about terrestrial organisms, building on a previous analysis of Mars Special Regions (2006) undertaken by a similar team. Since then, a new body of highly relevant information has been generated from the Mars Reconnaissance Orbiter (launched in 2005) and Phoenix (2007) and data from Mars Express and the twin Mars Exploration Rovers (all 2003). Results have also been gleaned from the Mars Science Laboratory (launched in 2011). In addition to Mars data, there is a considerable body of new data regarding the known environmental limits to life on Earth&mdash;including the potential for terrestrial microbial life to survive and replicate under martian environmental conditions. The SR-SAG2 analysis has included an examination of new Mars models relevant to natural environmental variation in water activity and temperature; a review and reconsideration of the current parameters used to define Special Regions; and updated maps and descriptions of the martian environments recommended for treatment as "Uncertain" or "Special" as natural features or those potentially formed by the influence of future landed spacecraft. Significant changes in our knowledge of the capabilities of terrestrial organisms and the existence of possibly habitable martian environments have led to a new appreciation of where Mars Special Regions may be identified and protected. The SR-SAG also considered the impact of Special Regions on potential future human missions to Mars, both as locations of potential resources and as places that should not be inadvertently contaminated by human activity.

Astrobiology

Volcanic unrest and hazard communication in Long Valley Volcanic Region, California

The onset of volcanic unrest in Long Valley Caldera, California, in 1980 and the subsequent fluctuations in unrest levels through May 2016 illustrate: (1) the evolving relations between scientists monitoring the unrest and studying the underlying tectonic/magmatic processes and their implications for geologic hazards, and (2) the challenges in communicating the significance of the hazards to the public and civil authorities in a mountain resort setting. Circumstances special to this case include (1) the sensitivity of an isolated resort area to media hype of potential high-impact volcanic and earthquake hazards and its impact on potential recreational visitors and the local economy, (2) a small permanent population (~8000), which facilitates face-to-face communication between scientists monitoring the hazard, civil authorities, and the public, and (3) the relatively frequent turnover of people in positions of civil authority, which requires a continuing education effort on the nature of caldera unrest and related hazards. Because of delays associated with communication protocols between the State and Federal governments during the onset of unrest, local civil authorities and the public first learned that the U.S. Geological Survey was about to release a notice of potential volcanic hazards associated with earthquake activity and 25-cm uplift of the resurgent dome in the center of the caldera through an article in the Los Angeles Times published in May 1982. The immediate reaction was outrage and denial. Gradual acceptance that the hazard was real required over a decade of frequent meetings between scientists and civil authorities together with public presentations underscored by frequently felt earthquakes and the onset of magmatic CO 2 emissions in 1990 following a 11-month long earthquake swarm beneath Mammoth Mountain on the southwest rim of the caldera. Four fatalities, one on 24 May 1998 and three on 6 April 2006, underscored the hazard posed by the CO 2 emissions. Initial response plans developed by county and state agencies in response to the volcanic unrest began with “The Mono County Volcano Contingency Plan” and “Plan Caldera” by the California Office of Emergency Services in 1982–84. They subsequently became integrated in the regularly updated County Emergency Operation Plan. The alert level system employed by the USGS also evolved from the three-level “Notice-Watch-Warning” system of the early 1980s through a five level color-code to the current “Normal-Advisory-Watch-Warning” ground-based system in conjunction with the international 4-level aviation color-code for volcanic ash hazards. Field trips led by the scientists proved to be a particularly effective means of acquainting local residents and officials with the geologically active environment in which they reside. Relative caldera quiescence from 2000 through 2011 required continued efforts to remind an evolving population that the hazards posed by the 1980–2000 unrest persisted. Renewed uplift of the resurgent dome from 2011 to 2014 was accompanied by an increase in low-level earthquake activity in the caldera and beneath Mammoth Mountain and continues through May 2016. As unrest levels continue to wax and wane, so will the communication challenges.

Book chapter

Semantically supported linked data mapping

Semantic technology based on the Resource Description Framework (RDF) modeling environment has introduced new data management capabilities that can lead to innovative cartographic techniques. This report describes research toward more semantically expressive linked geospatial data mapping, topics of research, and an avenue for further international collaboration.

Report

Migration trends for king and common eiders and yellow-billed loons past Point Barrow in a rapidly changing environment

Most of the king ( Somateria spectabilis ) and common eiders ( S. mollissima v-nigra ) nesting in northern Alaska and northwestern Canada migrate past Point Barrow, Alaska, during the spring and fall migration. Yellow-billed loons ( Gavia adamsii ) also migrate past Point Barrow and are a species of international conservation concern. Spring migration counts of eiders have been conducted approximately every ten years at Point Barrow since 1976, and indicated that both eider species experienced population declines of approximately 50% between 1976 and 1996, and that the declines had stabilized by 2004. Population estimates derived from migration counts have not been previously estimated for yellow-billed loons. We conducted spring counts of eiders and loons in 2015 and 2016 to obtain population estimates to compare with those from 1994, 1995, 2003, and 2004 in order to evaluate long-term and current trends. We estimated (95% confidence intervals) that 796,419 (304,011) king and 96,775 (39,913) common eiders passed Point Barrow in 2015, and 322,381 (145,833) king and 130,390 (34,548) common eiders passed Point Barrow in 2016. Both and king and common eider population estimates increased from 1994 through 2016, however, the increase over time was not significant (F < 5.07, P > 0.087, df = 1). Our population estimates for king eiders were very different between the two years of this study, possibly due to a very short and intense migration peak in 2016, resulting in a population count that was biased low because sampling periods did not adequately capture the peak of migration. The numbers of common eiders were similar between the two years, as well as for the 12 years since the previous count. Photo analysis of flocks indicated that observer counts were on average 4% lower than photo counts (paired t-test; |t| = 3.26, df = 297, P < 0.001) for flocks less than 1400 individuals (observer count). Estimates of yellow-billed loon populations were very variable and are biased low as numbers of loons passing Pt. Barrow were still high when our counts ended in late May. It is important that counts continue to be conducted for these species of conservation and subsistence importance, but that techniques be refined to reduce bias and variability, and to find solutions to the increasing difficulty of conducting a count from the shore-fast ice in spring.

Alaska

Subspecies differentiation and range-wide genetic structure are driven by climate in the California gnatcatcher, a flagship species for coastal sage scrub conservation

Understanding genetic structure and diversity within species can uncover associations with environmental and geographic attributes that highlight adaptive potential and inform conservation and management. The California gnatcatcher, Polioptila californica , is a small songbird found in desert and coastal scrub habitats from the southern end of Baja California Sur to Ventura County, California. Lack of congruence among morphological subspecies hypotheses and lack of measurable genetic structure found in a few genetic markers led to questions about the validity of subspecies within P. californica and the listing status of the coastal California gnatcatcher, P. c. californica . As a U.S. federally threatened subspecies, P. c. californica is recognized as a flagship for coastal sage scrub conservation throughout southern California. We used restriction site-associated DNA sequencing to develop a genomic dataset for the California gnatcatcher. We sampled throughout the species' range, examined genetic structure, gene–environment associations, and demographic history, and tested for concordance between genetic structure and morphological subspecies groups. Our data support two distinct genetic groups with evidence of restricted movement and gene flow near the U.S.- Mexico international border. We found that climate-associated outlier loci were more strongly differentiated than climate neutral loci, suggesting that local climate adaptation may have helped to drive differentiation after Holocene range expansions. Patterns of habitat loss and fragmentation are also concordant with genetic substructure throughout the southern California portion of the range. Finally, our genetic data supported the morphologically defined P. c. californica as a distinct group, but there was little evidence of genetic differentiation among other previously hypothesized subspecies in Baja California. Our data suggest that retaining and restoring connectivity, and protecting populations, particularly at the northern range edge, could help preserve existing adaptive potential to allow for future range expansion and long-term persistence of the California gnatcatcher.

California

SSA task force on diversity, equity, and inclusion: Toward a changing, inclusive future in earthquake science

In the United States, a wide variety of studies show that the geoscience community does not reflect the broader societal makeup (e.g., Velasco and Jaurrieta de Velasco, 2010; Dutt, 2020; Howley, 2020). In fact, only about 10% of all Science, Technology, Engineering, and Mathematics (STEM) Ph.D. degrees are awarded to people of color, although they represent more than a third of the population (Dutt, 2020). These numbers have changed little over the past 40 yr (e.g., Bernard and Cooperdock, 2018; Dutt, 2020). Recent events in the United States have again raised awareness of this discrepancy in many fields; similar divergences may be present throughout the world. This discrepancy represents a tremendous loss of talent and contributes to ongoing bias and racism. As the premier international seismological professional society, Seismological Society of America (SSA) is committed, as stated in its ethics policy, to “freedom and transparency in research and education, which should be conducted in a supportive, inclusive, and respectful environment, free from any discrimination, harassment or bullying.” SSA convened the SSA Diversity, Equity, and Inclusion (DEI) Task Force to identify specific and actionable recommendations that the Society can take to start to address the significant issues surrounding the systematic underrepresentation in seismology and related geosciences by marginalized groups on both short- and long- term time horizons. This report, written by the Task Force, outlines actionable items that SSA can undertake as well as a framework by which progress can be measured to help guide the Society and its members forward as a community to make earthquake science more just, equitable, diverse, and inclusive. We recognize that this document cannot address the multiple individual, cultural, and historical barriers that some members may face (e.g., Núñez et al., 2020), nor can it reflect all possibilities or all recommended practices (e.g., Ali et al., 2021). What this document does represent, however, is the beginning of what we hope to be a significant cultural change in how we conduct earthquake science as an organization, not the end of this process as the Task Force fulfills its charter. As a note, some of the recommendations that the Task Force has outlined here have already been implemented within SSA or are actively being considered. For completeness, we still include them here because this highlights the commitment to change that SSA leadership has embraced.

Seismological Research Letters

Benthic infaunal communities of Baltimore and Norfolk Canyons

The imperative for finding, cataloging, and understanding continental margin diversity derives from the many key functions, goods and services provided by margin ecosystems and by an increasingly deleterious human footprint on our continental slopes (Levin and Dayton 2009). Progress in seafloor mapping technology and direct observation has revealed unexpected heterogeneity, with a mosaic of habitats and ecosystems linked to geomorphological, geochemical, and hydrographic features that are capable of influencing biotic diversity (Levin and Sibuet 2012). Submarine canyons are dramatic and widespread topographic features crossing continental and island margins in oceans, connecting shelf-margins to deep ocean basins (Harris and Whiteway 2011). Their importance as biodiversity hotspots has continued to emerge over the last two decades as research efforts have increased. Understanding the physical parameters within a canyon system is a primary factor for understanding habitat variability and ecological patterns within the confines of canyon systems (Levin et al. 2001). Margin sediments exhibit ubiquitous depth zonation (Carney et al. 2005), with a diverse suite of species that occupy restricted bathymetric ranges along any given section of the margin. Major shifts in composition among taxa are observed at the shelf-slope transition zone (canyons <500 m), along the upper slope (1,000 m), and at the lower slope transition zone (<3,000 m) (Gibson et al. 2005). In the deep sea, macrofaunal assemblages are generally limited by the availability of allochthonous organic material (Rowe et al. 1982, Billet et al. 1983, Rex et al. 2005, Smith et al. 2008) where macrofaunal densities usually decline with depth and distance from the shore (Rowe et al. 1982, Houston and Haedrich 1984, Rex et al. 2005). However, canyon fauna can experience enhanced food supply through the resuspension and deposition of organic-rich sediments, delivered by increased current velocities within the confines of the canyon (Rowe 1971, Shepard et al. 1974). As a result, canyons are often reported as sustaining enhanced abundances and biomass compared with nearby open slope habitats at similar depths (Vetter and Dayton 1998, Duineveld et al. 2001, De Leo et al. 2010) as well as enhancing regional (γ) and local (α) biodiversity (Hecker et al. 1983, Vetter and Dayton 1998, De Leo et al. 2010, Vetter et al. 2010). Furthermore, enhanced habitat heterogeneity can also be a major structuring agent of ecological assemblages, promoting beta (β) diversity (McClain and Barry 2010) in canyon environments. Canyon systems have often been described as biodiversity hotspots, especially at mid-slope depths (Levin and Sibuet 2012) where physical processes, characterized by complex patterns in hydrography, promote topographically induced upwelling, enhanced mixing via internal tides, and the focusing of tidal bores (Vetter and Dayton 1998, Cacchione et al. 2002). Additionally, sediment transport and accumulation (García et al. 2008) represent important influential ecological drivers. Factors such as substrata heterogeneity (Levin and Sibuet 2012) and concentration of organic matter (De Leo et al. 2010) have been suggested to explain higher faunal diversity, abundance, and benthic productivity found in canyon systems compared with surrounding areas. Bathymetric patterns of species diversity have been attributed to changes in sediment characteristics (Etter and Grassle 1992), productivity, currents, oxygen, disturbance, and the interplay of biotic effects with depth and latitude (Levin et al. 2001, Carney et al. 2005). Recent studies report on the uniqueness of canyon benthic communities and habitats and the view that no two canyons are alike (Cunha et al. 2011). Certain submarine canyons may maintain 436 characteristic and unique faunas, but more often canyon macrofaunal assemblages show high dominance and locally reduced biodiversity (Rowe 1971, Gage 1997, Curdia et al. 2004, Cun

Baltimore Canyon, Norfolk Canyon

Mediterranean-type ecosystems: the influence of biodiversity on their functioning

Ecosystems in the Mediterranean-climate regions of the world have served as a unit for comparative ecological studies for over two decades. The cohesiveness of research in this set of widely distributed regions rests on the similarity of the climates where they occur, and the identifiable convergence in elements of their vegetation structure (Di Castri and Mooney 1973). In this chapter we review functional aspects of what have come to be known as Mediterranean-type ecosystems (METs) in the context of a concerned global interest in the sustainability of the human environment and its dependence on biological diversity. The approach we adopt here is to look for evidence that this biodiversity, for which some MTEs are renowned (Cowling, 1992; Hobbs, 1992), has an influence on processes which are important both for the maintenance of natural systems, and for providing "ecosystem services" with human utility. Almost a century ago, Schimper (1903) recognized the biological similarities between five widely separated regions characterized by Mediterranean-type climates, and much comparative work has been done on that basis since. These regions comprise the Mediterranean basin itself, a major portion of California, central Chile, the southwestern and southern extremities of South Africa, and parts of southwestern and southern Australia (Figure 7.1). The first attention paid to MTEs in terms of quantitative ecological research arose out of the International Biological Programme (IBP) of the 1960s and 1970s. Those efforts focused on comparisons between the Chilean and Californian systems (Mooney 1977), and dealt with parallel models of ecosystem processes, especially water flux (Fuentes et al 1995). Because of the already perceived similarities between vegetation in these and the other three regions, the project was soon extended to include all five regions. The first broad comparative overview was published as an anthology which considered the origins and the convergent evolution of MTE components (Di Castri and Mooney 1973). Although the currently accepted classifications of the MTEs is to some extent artificial, it does provide a basis for comparative work, as well as placing mild, temperate winter rainfall regions in perspective with other system types, such as forests, arid lands and even savannas. It is against this backdrop that the MTE research collegium has grown, giving rise to the organizational structure known as ISOMED (the International Society of Mediterranean Ecologists), which has convened regular conferences under the label MEDECOS, plus a number of extra meetings on specific topics (Table 7.1). One of the more recent in this series of MTE meetings was convened under the auspices of ICSU's Scientific Committee on Problems of the Environment (SCOPE) (see Table 7.1), and dealt with the questions about the functional value of biodiversity. This chapter is based on that meeting and its proceedings (Richardson and Cowling 1993); David and Richardson 1995), and is a distillation of input by teams of ecologists from each of the five regions.

Book chapter

From pools to flow: The PROMISE framework for new insights on soil carbon cycling in a changing world

Soils represent the largest terrestrial reservoir of organic carbon, and the balance between soil organic carbon (SOC) formation and loss will drive powerful carbon‐climate feedbacks over the coming century. To date, efforts to predict SOC dynamics have rested on pool‐based models, which assume classes of SOC with internally homogenous physicochemical properties. However, emerging evidence suggests that soil carbon turnover is not dominantly controlled by the chemistry of carbon inputs, but rather by restrictions on microbial access to organic matter in the spatially heterogeneous soil environment. The dynamic processes that control the physicochemical protection of carbon translate poorly to pool‐based SOC models; as a result, we are challenged to mechanistically predict how environmental change will impact movement of carbon between soils and the atmosphere. Here, we propose a novel conceptual framework to explore controls on belowground carbon cycling: P robabilistic R epresentation of O rganic M atter I nteractions within the S oil E nvironment (PROMISE). In contrast to traditional model frameworks, PROMISE does not attempt to define carbon pools united by common thermodynamic or functional attributes. Rather, the PROMISE concept considers how SOC cycling rates are governed by the stochastic processes that influence the proximity between microbial decomposers and organic matter, with emphasis on their physical location in the soil matrix. We illustrate the applications of this framework with a new biogeochemical simulation model that traces the fate of individual carbon atoms as they interact with their environment, undergoing biochemical transformations and moving through the soil pore space. We also discuss how the PROMISE framework reshapes dialogue around issues related to SOC management in a changing world. We intend the PROMISE framework to spur the development of new hypotheses, analytical tools, and model structures across disciplines that will illuminate mechanistic controls on the flow of carbon between plant, soil, and atmospheric pools.

Global Change Biology

Interim results of geological investigations in the vicinity of the Ergani-Maden massive copper deposits near Maden, Elazig, Turkey

As a result of geologic studies and geochemical reconnaissance by Griffitts, Albers, and brier in 1969 in the Ergani-Maden district of eastern Turkey, seven areas were recommended for more detailed investigation. Two of these, here termed Areas 1 and 2, were mapped geologically and sampled geochemically in June and July 1970 by .4. E. Weissenborn, U. S. Geological Survey, and Omer Oner and Metin Sengun, Mineral Research and Exploration Institute (MTA), an agency of the Turkish Government. This study was part of a mineral exploration and training project conducted by the U. S. Geological Survey in cooperation with MTA under the auspices of the Agency for International Development, U. S. Department of State. Mapping and sampling of four of the other areas was completed in August and September by Oner and Sengun, but this report concerns only Areas 1 and 2. The geological environment in Areas 1 and 2 appears favorable for additional ore bodies of the Ergani-Maden type, which have been Turkey's most important producer of copper. Weak but distinct anomalies developed by the geochemical sampling in Area 1 adjacent to the Mihrap Dagi deposit suggest that other ore bodies maybe found along the northwesterly trend defined by the Mihrap Dagi, Arpa Meydan, Ana Yatak mines, and the Mizir Tepe prospect. Recommendations are made for 8 drill holes in Area 1 to test this possibility. Two additional holes are also recommended in Arc.: 1. Two less pronounced anomalies were developed in Area 2. Two drill holes are suggested to test them.

Elazig

Evaluating the dynamics of groundwater, lakebed transport, nutrient inflow and algal blooms in Upper Klamath Lake, Oregon, USA

Transport of nutrients to lakes can occur via surface-water inflow, atmospheric deposition, groundwater (GW) inflow and benthic processes. Identifying and quantifying within-lake nutrient sources and recycling processes is challenging. Prior studies in hypereutrophic Upper Klamath Lake, Oregon, USA, indicated that ~60% of the early summer phosphorus (P) load to the lake was internal and hypothesized to be lakebed sediment release. Dynamic nutrient transport processes were examined to better characterize the nutrient sources. One-dimensional heat transport models calibrated to observed lakebed temperatures and a cross-sectional GW flow model provided estimates of GW-inflow rates that were greatest in spring and decreased through summer. One-dimensional solute transport models calibrated to observed lakebed pore-water dissolved silica (Si) and dissolved phosphate-phosphorus (DP) concentrations indicated that nutrients were transported from the lakebed by advection, diffusion, and enhanced mixing by benthic organisms and waves, and that DP removal occurred near the lakebed interface. Estimated water, Si, DP and total-phosphorus (TP) budgets indicated that GW contributed 21% of lake water inflow and at least 26, 20 and 16% of total Si, DP and TP inflow, respectively, when conservatively assuming background GW nutrient concentrations. However, lakebed GW (LGW) is enriched in nutrients during flow through lakebed sediment and the estimated GW contribution increased to 29 (33), 49 (67) and 43% (61%) of total Si, DP and TP inflow, respectively, if 20% (50%) of GW inflow to the lake was assumed to have LGW concentrations. Net nutrient inflow to the lake was greatest in spring and coincident with the annual diatom bloom. Inflowing dissolved nutrients appear to be assimilated by diatoms during the spring and become available for the summer Aphanizomenon flos-aquae bloom when the diatoms senesce. Thus, nutrient-enriched GW inflow and nutrient recycling by successive algal blooms must be considered when evaluating internal nutrient loading to lakes.

Oregon

Warming-driven erosion and sediment transport in cold regions

Rapid atmospheric warming since the mid-twentieth century has increased temperature-dependent erosion and sediment-transport processes in cold environments, affecting food, energy and water security. In this Review, we summarize landscape changes in cold environments and provide a global inventory of increases in erosion and sediment yield driven by cryosphere degradation. Anthropogenic climate change, deglaciation, and thermokarst disturbances are causing increased sediment mobilization and transport processes in glacierized and periglacierized basins. With continuous cryosphere degradation, sediment transport will continue to increase until reaching a maximum (peak sediment). Thereafter, transport is likely to shift from a temperature-dependent regime toward a rainfall-dependent regime roughly between 2100–2200. The timing of the regime shift would be regulated by changes in meltwater, erosive rainfall and landscape erodibility, and complicated by geomorphic feedbacks and connectivity. Further progress in integrating multisource sediment observations, developing physics-based sediment-transport models, and enhancing interdisciplinary and international scientific collaboration is needed to predict sediment dynamics in a warming world.

Nature--Reviews of Earth and Environment

Toward a scientifically rigorous basis for developing mapped ecological regions.

Despite the wide use of ecological regions in conservation and resource-management evaluations and assessments, a commonly accepted theoretical basis for ecological regionalization does not exist. This fact, along with the paucity of focus on ecological regionalization by professional associations, journals, and faculties, has inhibited the advancement of a broadly acceptable scientific basis for the development, use, and verification of ecological regions. The central contention of this article is that ecological regions should improve our understanding of geographic and ecological phenomena associated with biotic and abiotic processes occurring in individual regions and also of processes characteristic of interactions and dependencies among multiple regions. Research associated with any ecoregional framework should facilitate development of hypotheses about ecological phenomena and dominant landscape elements associated with these phenomena, how these phenomena are structured in space, and how they function in a hierarchy. Success in addressing the research recommendations outlined in this article cannot occur within an ad hoc, largely uncoordinated research environment. Successful implementation of this plan will require activities--coordination, funding, and education--that are both scientific and administrative in nature. Perhaps the most important element of an infrastructure to support the scientific work of ecoregionalization would be a national or international authority similar to the Water and Science Technology Board of the National Academy of Sciences.

Environmental Management

A global probabilistic tsunami hazard assessment from earthquake sources

Large tsunamis occur infrequently but have the capacity to cause enormous numbers of casualties, damage to the built environment and critical infrastructure, and economic losses. A sound understanding of tsunami hazard is required to underpin management of these risks, and while tsunami hazard assessments are typically conducted at regional or local scales, globally consistent assessments are required to support international disaster risk reduction efforts, and can serve as a reference for local and regional studies. This study presents a global-scale probabilistic tsunami hazard assessment (PTHA), extending previous global-scale assessments based largely on scenario analysis. Only earthquake sources are considered, as they represent about 80% of the recorded damaging tsunami events. Globally extensive estimates of tsunami run-up height are derived at various exceedance rates, and the associated uncertainties are quantified. Epistemic uncertainties in the exceedance rates of large earthquakes often lead to large uncertainties in tsunami run-up. Deviations between modelled tsunami run-up and event observations are quantified, and found to be larger than suggested in previous studies. Accounting for these deviations in PTHA is important, as it leads to a pronounced increase in predicted tsunami run-up for a given exceedance rate.

Geological Society, London, Special Publications

Advanced biofilm analysis in streams receiving organic deicer runoff

Prolific heterotrophic biofilm growth is a common occurrence in airport receiving streams containing deicers and anti-icers, which are composed of low-molecular weight organic compounds. This study investigated biofilm spatiotemporal patterns and responses to concurrent and antecedent (i.e., preceding biofilm sampling) environmental conditions at stream sites upstream and downstream from Milwaukee Mitchell International Airport in Milwaukee, Wisconsin, during two deicing seasons (2009–2010; 2010–2011). Biofilm abundance and community composition were investigated along spatial and temporal gradients using field surveys and microarray analyses, respectively. Given the recognized role of Sphaerotilus in organically enriched environments, additional analyses were pursued to specifically characterize its abundance: a consensus sthA sequence was determined via comparison of whole metagenome sequences with a previously identified sthA sequence, the primers developed for this gene were used to characterize relative Sphaerotilus abundance using quantitative real-time PCR, and a Sphaerotilus strain was isolated to validate the determined sthA sequence. Results indicated that biofilm abundance was stimulated by elevated antecedent chemical oxygen demand concentrations, a surrogate for deicer concentrations, with minimal biofilm volumes observed when antecedent chemical oxygen demand concentrations remained below 48 mg/L. Biofilms were composed of diverse communities (including sheathed bacterium Thiothrix) whose composition appeared to shift in relation to antecedent temperature and chemical oxygen demand. The relative abundance of sthA correlated most strongly with heterotrophic biofilm volume (positive) and dissolved oxygen (negative), indicating that Sphaerotilus was likely a consistent biofilm member and thrived under low oxygen conditions. Additional investigations identified the isolate as a new strain of Sphaerotilus montanus (strain KMKE) able to use deicer components as carbon sources and found that stream dissolved oxygen concentrations related inversely to biofilm volume as well as to antecedent temperature and chemical oxygen demand. The airport setting provides insight into potential consequences of widescale adoption of organic deicers for roadway deicing.

Wisconsin