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Estimating flood magnitude and frequency at gaged and ungaged sites on streams in Alaska and conterminous basins in Canada, based on data through water year 2012

Estimates of the magnitude and frequency of floods are needed across Alaska for engineering design of transportation and water-conveyance structures, flood-insurance studies, flood-plain management, and other water-resource purposes. This report updates methods for estimating flood magnitude and frequency in Alaska and conterminous basins in Canada. Annual peak-flow data through water year 2012 were compiled from 387 streamgages on unregulated streams with at least 10 years of record. Flood-frequency estimates were computed for each streamgage using the Expected Moments Algorithm to fit a Pearson Type III distribution to the logarithms of annual peak flows. A multiple Grubbs-Beck test was used to identify potentially influential low floods in the time series of peak flows for censoring in the flood frequency analysis. For two new regional skew areas, flood-frequency estimates using station skew were computed for stations with at least 25 years of record for use in a Bayesian least-squares regression analysis to determine a regional skew value. The consideration of basin characteristics as explanatory variables for regional skew resulted in improvements in precision too small to warrant the additional model complexity, and a constant model was adopted. Regional Skew Area 1 in eastern-central Alaska had a regional skew of 0.54 and an average variance of prediction of 0.45, corresponding to an effective record length of 22 years. Regional Skew Area 2, encompassing coastal areas bordering the Gulf of Alaska, had a regional skew of 0.18 and an average variance of prediction of 0.12, corresponding to an effective record length of 59 years. Station flood-frequency estimates for study sites in regional skew areas were then recomputed using a weighted skew incorporating the station skew and regional skew. In a new regional skew exclusion area outside the regional skew areas, the density of long-record streamgages was too sparse for regional analysis and station skew was used for all estimates. Final station flood frequency estimates for all study streamgages are presented for the 50-, 20-, 10-, 4-, 2-, 1-, 0.5-, and 0.2-percent annual exceedance probabilities. Regional multiple-regression analysis was used to produce equations for estimating flood frequency statistics from explanatory basin characteristics. Basin characteristics, including physical and climatic variables, were updated for all study streamgages using a geographical information system and geospatial source data. Screening for similar-sized nested basins eliminated hydrologically redundant sites, and screening for eligibility for analysis of explanatory variables eliminated regulated peaks, outburst peaks, and sites with indeterminate basin characteristics. An ordinary least‑squares regression used flood-frequency statistics and basin characteristics for 341 streamgages (284 in Alaska and 57 in Canada) to determine the most suitable combination of basin characteristics for a flood-frequency regression model and to explore regional grouping of streamgages for explaining variability in flood-frequency statistics across the study area. The most suitable model for explaining flood frequency used drainage area and mean annual precipitation as explanatory variables for the entire study area as a region. Final regression equations for estimating the 50-, 20-, 10-, 4-, 2-, 1-, 0.5-, and 0.2-percent annual exceedance probability discharge in Alaska and conterminous basins in Canada were developed using a generalized least-squares regression. The average standard error of prediction for the regression equations for the various annual exceedance probabilities ranged from 69 to 82 percent, and the pseudo-coefficient of determination (pseudo-R 2 ) ranged from 85 to 91 percent. The regional regression equations from this study were incorporated into the U.S. Geological Survey StreamStats program for a limited area of the State—the Cook Inlet Basin. StreamStats is a national web-based geographic information system application that facilitates retrieval of streamflow statistics and associated information. StreamStats retrieves published data for gaged sites and, for user-selected ungaged sites, delineates drainage areas from topographic and hydrographic data, computes basin characteristics, and computes flood frequency estimates using the regional regression equations.

Alaska

Preliminary study of the water-temperature regime of the North Santiam River downstream from Detroit and Big Cliff dams, Oregon

A riverine-temperature model and associated data-collection system were developed to help the Corps of engineers determine cost benefits of selective-withdrawal structures for future use with dams on the Willamette River System. A U.S. Geological Survey Lagrangian reference frame, digital computer model was used to simulate stream temperatures on the North Santiam River downstream of the multipurpose Detroit dam and a reregulating dam (Big Cliff), from river mile 45.6 to 2.9. In simulation, only available air-temperature and windspeed information from a nearby National Weather Service station at Salem, Oregon were used. This preliminary investigation found that the model predicted mean daily temperatures to within 0.4 C standard deviation. Analysis of projected selective-withdrawal scenarios showed that the model has the sensitivity to indicate water-temperature changes 42.7 miles downstream on the North Santiam River. (USGS)

Water-Resources Investigations Report

Drainage areas of Iowa streams

The drainage area of a stream at a specified location ordinarily may be defined as that area, measured in a horizontal plane, which is enclosed by a topographic divide such that direct surface runoff from precipitation would drain by gravity into the river basin above the specified point. One of the most important factors in the hydrologic computation for the design of structures on or over watercourses is the drainage area upstream from the point under consideration. Other hydrologic studies such as low-flow, flood-frequency analyses, rainfall-runoff correlations, stream density, and area-distance make use of this factor as a basic premise for computation. In order that the drainage-area information of the interior streams of Iowa be of uniform accuracy and available to all users of these data, this report has been compiled, and the drainage areas of all streams in excess of 5 square mies are listed. For the larger streams, drainage areas have been determined at numerous intermediate points. As a result of this report much basic background material has been compiled that will he useful in future hydrologic studies of drainage basin characteristics. This publication is limited to the presentation of the drainage-area data for the interior streams of the State. The methods of application of these data to the study of streamflow characteristics, and the design of related structures are properly the function of the design engineer and are not discussed herein.

Iowa

Davis Pond freshwater prediversion biomonitoring study: freshwater fisheries and eagles

In January 2001, the construction of the Davis Pond freshwater diversion structure was completed by the U.S. Army Corps of Engineers. The diversion of freshwater from the Mississippi River is intended to mitigate saltwater intrusion from the Gulf of Mexico and to lessen the concomitant loss of wetland areas. In addition to the freshwater inflow, Barataria Bay basin would receive nutrients, increased flows of sediments, and water-borne and sediment-bound compounds. The purpose of this biomonitoring study was, therefore, to serve as a baseline for prediversion concentrations of selected contaminants in bald eagle ( Haliaeetus leucocephalus ) nestlings (hereafter referred to as eaglets), representative freshwater fish, and bivalves. Samples were collected from January through June 2001. Two similarly designed postdiversion studies, as described in the biological monitoring program, are planned. Active bald eagle nests targeted for sampling eaglet blood (n = 6) were generally located southwest and south of the diversion structure. The designated sites for aquatic animal sampling were at Lake Salvador, at Lake Cataouatche, at Bayou Couba, and along the Mississippi River. Aquatic animals representative of eagle prey were collected. Fish were from three different trophic levels and have varying feeding strategies and life histories. These included herbivorous striped mullet ( Mugil cephalus ), omnivorous blue catfish ( Ictalurus furcatus ), and carnivorous largemouth bass ( Micropterus salmoides ). Three individuals per species were collected at each of the four sampling sites. Freshwater Atlantic rangia clams ( Rangia cuneata ) were collected at the downstream marsh sites, and zebra mussels ( Dreissena spp.) were collected on the Mississippi River. The U.S. Geological Survey (USGS) Biomonitoring of Environmental Status and Trends (BEST) protocols served as guides for fish sampling and health assessments. Fish are useful for monitoring aquatic ecosystems because they accumulate pesticides and other contaminants. Biomarker data on individual fish, generated at the USGS National Wetlands Research Center (Lafayette, La.), included percent white blood cells in whole blood, spleen weight to body weight ratio, liver weight to body weight ratio, condition factor, splenic macrophage aggregates, and liver microsomal 7-ethoxyresorufin-o-deethylase (EROD) activity. Fish age was estimated by comparing total lengths with values from the same species in the Southeast United States as determined from the literature. Contaminant analyses were coordinated by the U.S. Fish and Wildlife Service (USFWS) Analytical Control Facility (Laurel, Md.), where residues of organochlorine (OC) pesticides, total polychlorinated biphenyls (PCBs), polycyclic aromatic hydrocarbons (PAHs), aliphatic hydrocarbons (AHs), and trace elements were determined. The organic contaminant data were generated at the Mississippi State University Chemical Lab (Mississippi State, Miss.), and the inorganic contaminant data were generated by the Texas A&M University Geochemical and Environmental Research Group (College Station, Tex.). Statistical tests were performed to assess relationships among contaminants, fish age, fish species, and collection sites. Trends in interspecific differences among fish in concentrations of contaminants were noted. Striped mullet (hereafter mullet) frequently displayed the highest chemical concentrations. Levels of contaminants were generally higher in samples obtained from the Mississippi River than in those collected from the diversion area and were higher in mussels and clams (hereafter bivalves) than in fish. Because the Mississippi River sampling site for mullet and largemouth bass was downriver of the structure and south of New Orleans and the catfish site was upriver, the downriver data may not be directly reflective of the results from the receiving waters at the Davis Pond structure. Compared to the Caernarvon freshwater prediversion study in 1990 that assessed possible influx of contaminants with the freshwater diversion, contaminant levels in fishes and bivalves in this study were generally lower, yet three nontoxic inorganic elements in Davis Pond fish samples exhibited ranges of concentrations that were more than two times higher than did those from Caernarvon. Levels in bivalves were different between diversions but about equal in the numbers of trace elements showing high levels per location. Contaminant values were compared to those listed in various literature and agency sources, both regional and national, including the National Contaminant Biomonitoring Program (NCBP), in which the 85th percentile and above represents what is considered to be an elevated contaminant concentration and cause for concern. Generally, bivalves were at the high end of their ranges for both organic and inorganic contaminants. In this study, OCs were detectable in 67 percent of fish from the Mississippi River site, ranging from 0.15 to 1.09 μg/g wet weight (ww) or fresh weight (fw), and in 11 percent of the fish from the marsh sites, ranging from 0.06 to 0.612 μg/g ww. Bivalves from the Mississippi River had OC levels of 0.096 μg/g ww, whereas none were detectable in bivalves at the marsh sites. In this study, p,p ’-dichlorodiphenyldichloroethylene ( p,p’ -DDE) (a biodegradation product of DDT [dichlorodiphenyl trichloroethane]) and total PCBs were the most frequently detected OCs and were primarily from the Mississippi River. For total OC content, using adjusted least squares means, some significant interactions were noted between fish species and sites. PAHs were detected in aquatic animals at all sites (range of 0.017–17.534 μg/g ww), as were AHs (range of 0.423–4.549 μg/g ww); the highest levels of PAHs and AHs were found in bivalves from the Mississippi River. When analysis of variance (α = 0.05) was performed with data from aquatic animals, there were only two significant relationships between PAHs, AHs, and OCs between species, site, and age or the interaction among these variables. There was an interaction between fish species and n-decane (an AH) in that mullet and largemouth bass had significantly higher levels than did catfish ( P = 0.0175). When general linear means were used to investigate associations of inorganic contaminants among fish species, site, and age or any interactions among these variables, no significant results were noted for arsenic, cadmium, lead, beryllium, boron, molybdenum, or nickel. The range of mercury in fish in this study was 0.04–0.14 μg/g ww (0.14– 0.48 μg/g dry weight [dw]), with the most elevated levels detected in predatory largemouth bass at the sampling point farthest downstream from the structure and within the marsh area. Mercury was positively correlated with fish age ( P = 0.0152), where levels were estimated to increase 0.0253 parts per million (ppm) dw per year. In the Mississippi River, catfish showed significantly higher levels of mercury than did mullet or largemouth bass ( P = 0.00167). Among fish species, mullet displayed the highest levels in fish of aluminum, barium, manganese, and iron, all considered to have low toxicity in hydrologic systems. An interaction between fish and site was seen with aluminum ( P = 0.0031), where concentrations in mullet were significantly higher in the Mississippi River than at the other sites, as was also seen with barium ( P = 0.0009), chromium ( P = <0.0001), manganese ( P = 0.0004), strontium ( P = 0.0074), vanadium ( P = 0.0156), and zinc ( P = 0.0059). For iron ( P = 0.0.0001), mullet and largemouth bass at both the Mississippi River and Lake Salvador showed higher levels than did catfish, and these two species showed higher levels at two of the four sites. An interaction between fish and site was also seen with chromium ( P = <0.0001) in that concentrations in mullet were significantly higher in the Mississippi River than at the other sites, as was also seen with strontium ( P = 0.0074), vanadium ( P = 0.0156), and zinc ( P = 0.0059), metals for which deleterious effects have been demonstrated in other ecosystems. The NCBP program lists the 85th percentile for zinc at 34.2 μg/g fw (117.9 μg/g dw). In the Davis Pond prediversion biomonitoring study (hereafter the current study), one fish (MUL31RIVER, fish ID 8) showed values higher than that (125.4 μg/g dw or 37.54 μg/g ww), and the Mississippi River bivalve sample (MUSSRIVER) had a value of 140 μg/g dw (41.2 μg/g ww). In the current study, approximately 86 percent of the fish had measurable selenium levels, yet none reached the 85th percentile. The 85th percentile for selenium from the NCBP was 0.73 μg/g ww. Significantly higher levels of selenium were seen in mullet than in largemouth bass and catfish ( P = 0.0023). The NCBP 85th percentile for lead is 0.22 μg/g ww (0.76 μg/g dw). In the current study, the range of concentrations of lead was as much as 18.3 ppm dw (MUL31RIVER, fish ID 8), with the three most elevated values (range of 3.46–5.31 μg/g ww) coming from mullet from the Mississippi River. Biomarker data are measurable and directly reflect the condition of the animal, and measuring more than one biomarker in an individual increases confidence in health assessments. In the current study, biomarkers included macrophage aggregates (MAs), liver (hepatosomatic index [HSI]) and spleen (splenosomatic index [SSI]) weight to body weight ratios, percent white blood cells (WBCs) in whole blood, and condition factor. Few significant differences were noted with any of the biomarkers between sites, and there were no relationships between species and sites. For improved use of biomarker assessments, an increase in fish sample size would be useful for postdiversion sampling, as would comparisons of fish of the same sex and reproductive condition. During the current study, success for eagle nests in the diversion area and reference sites was similar as determined by numbers of nestlings fledged. When temperatures were below average during winter 2000, nests in both regions similarly failed. At each nest, the primary evidence of food items was small mammals. Eaglets (n = 6) generally appeared healthy, and whole blood concentrations of organic contaminants exceeded detection limits with three incidences of p,p’ -DDE (0.002–0.006 μg/L ww) and one incidence of oxychlordane (0.002 μg/L ww). The levels of p,p’ -DDE were well below those that have been inversely correlated with productivity and success rates of nesting bald eagles on a regional scale. The low values found in the whole blood samples for OC pesticides and PCBs were even lower when corrected for plasma volume. Aluminum values were 3.66 and 5.75 μg/L in two samples, zinc ranged from 5.21 to 6.77 μg/L ww in six samples, and silicon ranged from 1.7 to 4.6 μg/L in four samples. Selenium was detectable in each bird with the range at 0.332–0.566 μg/L ww, and strontium ranged from 0.0581 to 0.0975 μg/L ww. Mercury was detectable in blood samples from each bird and ranged from 0.0254 to 0.0845 μg/L ww, whereas lead was detectable in four samples and ranged from 0.0042 to 0.0136 μg/L ww. Although no detectable levels of total PCBs were found (also correlated with decreased reproductive productivity), 70 percent of the aquatic animals from the Mississippi River contained total PCBs (range 0.13–0.79 μg/L), whereas only about 7 percent of the aquatic animals sampled from the marsh area contained PCBs. Suggestions for postdiversion sampling include lowering the analytical detection limit for some metals, sampling aquatic animals over the course of a single season, obtaining a higher sample number of mature fish of one species (for example, blue catfish) within a range of total lengths for biomarker analyses, obtaining otoliths for estimating fish ages, assessing dioxins in eaglet blood, examining triazines in water, and obtaining all Mississippi River fish samples as close to the Davis Pond structure intake as possible. Because contaminants found in blood of eaglets reflect their prey species and because of the contaminant levels found in fish in the current study, eaglets may not be consuming primarily these species; therefore, obtaining juvenile nutria ( Myocastor coypus ) or turtle species for contaminant analyses might be considered, as well as collecting greater blood volume and using plasma to measure OCs and PCBs. Data obtained postdiversion will be compared with prediversion data to monitor changes.

Louisiana

Effects of box culverts on stream habitat, channel morphology, and fish and macroinvertebrate communities at selected sites in South Carolina, 2016–18

Much attention has been placed on the role that under-roadway culverts may have in inhibiting upstream fish movement because of altered hydrology and unsuitable conditions for accessing or swimming through the culvert. Other culvert effects related to habitat alterations or disturbance to macroinvertebrate communities have received relatively little attention. Entities responsible for culverts or other stream crossing structures are required to follow the U.S. Army Corps of Engineers guidelines for compensatory mitigation should any disturbance result from an engineering activity. One factor considered in the scoring of mitigation requirements is culvert length. Except for shading a longer length of stream, it is unknown whether longer culverts result in greater disturbance to stream habitat or the biotic communities than shorter culverts. The U.S. Geological Survey, in cooperation with the South Carolina Department of Transportation, evaluated the role of culverts in altering physical habitat and community structure of fish and macroinvertebrates at 20 sites in South Carolina. Culvert sites were categorized by length (either greater than 30.5 meters or less than or equal to 30.5 meters) and physiographic province (Piedmont or upper Coastal Plain). This study design allowed for a regional assessment to determine if culverts may have different effects on habitat and biotic communities in different physical settings. The results indicated considerable variation in physical habitat characteristics within and among the culvert sites from all categories. A consistent finding was that channel cross-sectional area tended to increase in reaches downstream from culverts in the upper Coastal Plain. The primary dimension of change was vertical, that is, incision of the streambed. This change, however, did not seem to coincide with a deleterious effect on the fish community. Increased habitat complexity and greater taxonomic richness were observed at most sites with downstream incision. Macroinvertebrate communities were highly variable and did not tend to cluster along any of the culvert categories, which may reflect the variability of microhabitats within each site. In contrast, fish communities were largely segregated by physiographic province but did not show any other significant clustering on the basis of upstream or downstream reach or culvert length. Given the small within-group sample size, extrapolation of results should be done carefully, acknowledging the physiographic and group characteristics.

South Carolina

Regional interdisciplinary paleoflood approach to assess extreme flood potential

In the past decade, there has been a growing interest of dam safety officials to incorporate a risk‐based analysis for design‐flood hydrology. Extreme or rare floods, with probabilities in the range of about 10 −3 to 10 −7 chance of occurrence per year, are of continuing interest to the hydrologic and engineering communities for purposes of planning and design of structures such as dams [ National Research Council , 1988]. The National Research Council stresses that as much information as possible about floods needs to be used for evaluation of the risk and consequences of any decision. A regional interdisciplinary paleoflood approach was developed to assist dam safety officials and floodplain managers in their assessments of the risk of large floods. The interdisciplinary components included documenting maximum paleofloods and a regional analyses of contemporary extreme rainfall and flood data to complement a site‐specific probable maximum precipitation study [ Tomlinson and Solak , 1997]. The cost‐effective approach, which can be used in many other hydrometeorologic settings, was applied to Elkhead Reservoir in Elkhead Creek (531 km 2 ) in northwestern Colorado; the regional study area was 10,900 km 2 . Paleoflood data using bouldery flood deposits and noninundation surfaces for 88 streams were used to document maximum flood discharges that have occurred during the Holocene. Several relative dating methods were used to determine the age of paleoflood deposits and noninundation surfaces. No evidence of substantial flooding was found in the study area. The maximum paleoflood of 135 m 3 s −1 for Elkhead Creek is about 13% of the site‐specific probable maximum flood of 1020 m 3 s −1 . Flood‐frequency relations using the expected moments algorithm, which better incorporates paleoflood data, were developed to assess the risk of extreme floods. Envelope curves encompassing maximum rainfall (181 sites) and floods (218 sites) were developed for northwestern Colorado to help define maximum contemporary and Holocene flooding in Elkhead Creek and in a regional frequency context. Study results for Elkhead Reservoir were accepted by the Colorado State Engineer for dam safety certification.

Water Resources Research

Development and utilization of USGS ShakeCast for rapid post-earthquake assessment of critical facilities and infrastructure

The ShakeCast system is an openly available, near real-time post-earthquake information management system. ShakeCast is widely used by public and private emergency planners and responders, lifeline utility operators and transportation engineers to automatically receive and process ShakeMap products for situational awareness, inspection priority, or damage assessment of their own infrastructure or building portfolios. The success of ShakeCast to date and its broad, critical-user base mandates improved software usability and functionality, including improved engineering-based damage and loss functions. In order to make the software more accessible to novice users—while still utilizing advanced users’ technical and engineering background—we have developed a “ShakeCast Workbook”, a well documented, Excel spreadsheet-based user interface that allows users to input notification and inventory data and export XML files requisite for operating the ShakeCast system. Users will be able to select structure based on a minimum set of user-specified facility (building location, size, height, use, construction age, etc.). “Expert” users will be able to import user-modified structural response properties into facility inventory associated with the HAZUS Advanced Engineering Building Modules (AEBM). The goal of the ShakeCast system is to provide simplified real-time potential impact and inspection metrics (i.e., green, yellow, orange and red priority ratings) to allow users to institute customized earthquake response protocols. Previously, fragilities were approximated using individual ShakeMap intensity measures (IMs, specifically PGA and 0.3 and 1s spectral accelerations) for each facility but we are now performing capacity-spectrum damage state calculations using a more robust characterization of spectral deamnd.We are also developing methods for the direct import of ShakeMap’s multi-period spectra in lieu of the assumed three-domain design spectrum (at 0.3s for constant acceleration; 1s or 3s for constant velocity and constant displacement at very long response periods). As part of ongoing ShakeCast research and development, we will also explore the use of ShakeMap IM uncertainty estimates and evaluate the assumption of employing multiple response spectral damping values rather than the single 5%-damped value currently employed. Developing and incorporating advanced fragility assignments into the ShakeCast Workbook requires related software modifications and database improvements; these enhancements are part of an extensive rewrite of the ShakeCast application.

Conference Paper

Engineering uses of physics-based ground motion simulations

This paper summarizes validation methodologies focused on enabling ground motion simulations to be used with confidence in engineering applications such as seismic hazard analysis and dynmaic analysis of structural and geotechnical systems. Numberical simullation of ground motion from large erthquakes, utilizing physics-based models of earthquake rupture and wave propagation, is an area of active research in the earth science community. Refinement and validatoin of these models require collaboration between earthquake scientists and engineering users, and testing/rating methodolgies for simulated ground motions to be used with confidence in engineering applications. This paper provides an introduction to this field and an overview of current research activities being coordinated by the Souther California Earthquake Center (SCEC). These activities are related both to advancing the science and computational infrastructure needed to produce ground motion simulations, as well as to engineering validation procedures. Current research areas and anticipated future achievements are also discussed.

Conference Paper

Method for detecting moment connection fracture using high-frequency transients in recorded accelerations

The 1994 Northridge earthquake caused brittle fractures in steel moment frame building connections, despite causing little visible building damage in most cases. Future strong earthquakes are likely to cause similar damage to the many un-retrofitted pre-Northridge buildings in the western US and elsewhere. Without obvious permanent building deformation, costly intrusive inspections are currently the only way to determine if major fracture damage that compromises building safety has occurred. Building instrumentation has the potential to provide engineers and owners with timely information on fracture occurrence. Structural dynamics theory predicts and scale model experiments have demonstrated that sudden, large changes in structure properties caused by moment connection fractures will cause transient dynamic response. A method is proposed for detecting the building-wide level of connection fracture damage, based on observing high-frequency, fracture-induced transient dynamic responses in strong motion accelerograms. High-frequency transients are short (<1 s), sudden-onset waveforms with frequency content above 25 Hz that are visually apparent in recorded accelerations. Strong motion data and damage information from intrusive inspections collected from 24 sparsely instrumented buildings following the 1994 Northridge earthquake are used to evaluate the proposed method. The method’s overall success rate for this data set is 67%, but this rate varies significantly with damage level. The method performs reasonably well in detecting significant fracture damage and in identifying cases with no damage, but fails in cases with few fractures. Combining the method with other damage indicators and removing records with excessive noise improves the ability to detect the level of damage.

Journal of Constructional Steel Research

CoastalImageLib: An open-source Python package for creating common coastal image products

CoastalImageLib is a Python library that produces common coastal image products intended for quantitative analysis of coastal environments. This library contains functions to georectify and merge multiple oblique camera views, produce statistical image products for a given set of images, and create subsampled pixel instruments for use in bathymetric inversion, surface current estimation, run-up calculations, and other quantitative analyses. This package intends to be an open-source broadly generalizable front end to future coastal imaging applications, ultimately expanding user accessibility to optical remote sensing of coastal environments. This package was developed and tested on data collected from the Argus Tower, a 43 m tall observation structure in Duck, North Carolina at the US Army Engineer Research and Development Center’s Field Research Facility that holds six stationary cameras which collect twice-hourly coastal image products. Thus, CoastalImageLib also contains functions designed to interface with the file storage and collection system implemented at the Argus Tower.

SoftwareX

An assessment of seismic monitoring in the United States; requirement for an Advanced National Seismic System

This report assesses the status, needs, and associated costs of seismic monitoring in the United States. It sets down the requirement for an effective, national seismic monitoring strategy and an advanced system linking national, regional, and urban monitoring networks. Modernized seismic monitoring can provide alerts of imminent strong earthquake shaking; rapid assessment of distribution and severity of earthquake shaking (for use in emergency response); warnings of a possible tsunami from an offshore earthquake; warnings of volcanic eruptions; information for correctly characterizing earthquake hazards and for improving building codes; and data on response of buildings and structures during earthquakes, for safe, cost-effective design, engineering, and construction practices in earthquake-prone regions.

Circular

Implications of NGA for NEHRP site coefficients

Three proposals are provided to update tables 11.4-1 and 11.4-2 of Minimum Design Loads for Buildings and Other Structures (7-10), by the American Society of Civil Engineers (2010) (ASCE/SEI 7-10), with site coefficients implied directly by NGA (Next Generation Attenuation) ground motion prediction equations (GMPEs). Proposals include a recommendation to use straight-line interpolation to infer site coefficients at intermediate values of ̅v s (average shear velocity). Site coefficients are recommended to ensure consistency with ASCE/SEI 7-10 MCE R (Maximum Considered Earthquake) seismic-design maps and simplified site-specific design spectra procedures requiring site classes with associated tabulated site coefficients and a reference site class with unity site coefficients. Recommended site coefficients are confirmed by independent observations of average site amplification coefficients inferred with respect to an average ground condition consistent with that used for the MCE R maps. The NGA coefficients recommended for consideration are implied directly by the NGA GMPEs and do not require introduction of additional models.

Open-File Report

Food-web dynamics of a floodplain mosaic overshadow the effects of engineered logjams for Pacific salmon and steelhead

Food webs vary in space and time. The structure and spatial arrangement of food webs are theorized to mediate temporal dynamics of energy flow, but empirical corroboration in intermediate-scale landscapes is scarce. River-floodplain landscapes encompass a mosaic of aquatic habitat patches and food webs, supporting a variety of aquatic consumers of conservation concern. How the structure and productivity of these patch-scale food webs change through time, and how floodplain restoration influences their dynamics, are unevaluated. We measured productivity and food-web dynamics across a mosaic of main-channel and side-channel habitats of the Methow River, WA, USA, during two study years (2009–2010; 2015–2016) and examined how food webs that sustained juvenile anadromous salmonids responded to habitat manipulation. By quantifying temporal variation in secondary production and organic matter flow across nontreated river-floodplain habitats and comparing that variation to a side channel treated with engineered logjams, we jointly confronted spatial food-web theory and assessed whether food-web dynamics in the treated side channel exceeded natural variation exhibited in nontreated habitats. We observed that organic matter flow through the more complex, main-channel food web was similar between study years, whereas organic matter flow through the simpler, side-channel food webs changed up to ~4-fold. In the side channel treated with engineered logjams, production of benthic invertebrates and juvenile salmonids increased between study years by 2× and 4×, respectively; however, these changes did not surpass the temporal variation observed in untreated habitats. For instance, juvenile salmonid production rose 17-fold in one untreated side-channel habitat, and natural aggregation of large wood in another coincided with a shift to community and food-web dominance by juvenile salmonids. Our findings suggest that interannual dynamism in material flux across floodplain habitat mosaics is interrelated with patchiness in food-web complexity and may overshadow the ecological responses to localized river restoration. Although this dynamism may inhibit detection of the ecological effects of river restoration, it may also act to stabilize aquatic ecosystems and buffer salmon and other species of conservation concern in the long term. As such, natural, landscape-level patchiness and dynamism in food webs should be integrated into conceptual foundations of process-based, river restoration.

Washington

Climate sensitivity of water use by riparian woodlands at landscape scales

Semi‐arid riparian woodlands face threats from increasing extractive water demand and climate change in dryland landscapes worldwide. Improved landscape‐scale understanding of riparian woodland water use (evapotranspiration, ET) and its sensitivity to climate variables is needed to strategically manage water resources, as well as to create successful ecosystem conservation and restoration plans for potential climate futures. In this work, we assess the spatial and temporal variability of Cottonwood ( Populus fremontii )‐Willow ( Salix gooddingii ) riparian gallery woodland ET and its relationships to vegetation structure and climate variables for 80 km of the San Pedro River corridor in southeastern Arizona, USA, between 2014 and 2019. We use a novel combination of publicly available remote sensing, climate and hydrological datasets: cloud‐based Landsat thermal remote sensing data products for ET (Google Earth Engine EEFlux), Landsat multispectral imagery and field data‐based calibrations to vegetation structure (leaf‐area index, LAI), and open‐source climate and hydrological data. We show that at landscape scales, daily ET rates (6–10 mm day −1 ) and growing season ET totals (400–1,400 mm) matched rates of published field data, and modelled reach‐scale average LAI (0.80–1.70) matched lower ranges of published field data. Over 6 years, the spatial variability of total growing season ET (CV = 0.18) exceeded that of temporal variability (CV = 0.10), indicating the importance of reach‐scale vegetation and hydrological conditions for controlling ET dynamics. Responses of ET to climate differed between perennial and intermittent‐flow stream reaches. At perennial‐flow reaches, ET correlated significantly with temperature, whilst at intermittent‐flow sites ET correlated significantly with rainfall and stream discharge. Amongst reaches studied in detail, we found positive but differing logarithmic relationships between LAI and ET. By documenting patterns of high spatial variability of ET at basin scales, these results underscore the importance of accurately accounting for differences in woodland vegetation structure and hydrological conditions for assessing water‐use requirements. Results also suggest that the climate sensitivity of ET may be used as a remote indicator of subsurface water resources relative to vegetation demand, and an indicator for informing conservation management priorities.

Arizona

The application of oyster reefs in shoreline protection: Are we over‐engineering for an ecosystem engineer?

Oyster reef living shorelines have been proposed as an effective alternative to traditional coastal defence structures (e.g. bulkheads, breakwaters), with the benefit that they may keep pace with sea‐level rise and provide co‐benefits, such as habitat provision. However, there remains uncertainty about the effectiveness of shoreline protection provided by oyster reefs, which limits their broader application. We draw evidence from studies along the east and gulf coasts of the United States, where much research and implementation of oyster reef restoration has occurred, to better define the existing gaps in our understanding of the use of restored oyster reefs for shoreline protection. We find potential disconnects between ecological and engineering functions of reefs. In response, we outline how engineering and ecological principles are used in the design of oyster reef living shorelines and highlight knowledge gaps where an integration of these disciplines will lead to their more effective application. Synthesis and applications . This work highlights the necessary steps to advance the application of oyster reef living shorelines. Importantly, future research should focus on appropriate designs and conditions needed for these structures to effectively protect our coasts from erosion, while supporting a sustainable oyster population, thereby providing actionable nature‐based alternatives for coastal defence to diverse end‐users.

East Coast of Continental United States

National assessment of shoreline change, part 4: Historical coastal cliff retreat along the California coast

Coastal cliff retreat, the landward migration of the cliff face, is a chronic problem along many rocky coastlines in the United States. As coastal populations continue to grow and community infrastructures are threatened by erosion, there is increased demand for accurate information regarding trends and rates of coastal cliff retreat. There is also a need for a comprehensive analysis of cliff retreat that is consistent from one coastal region to another. To meet these national needs, the U.S. Geological Survey is conducting an analysis of historical coastal cliff retreat along open-ocean rocky coastlines of the conterminous United States and parts of Hawaii, Alaska, and the Great Lakes. One purpose of this work is to develop standard repeatable methods for mapping and analyzing coastal cliff retreat so that periodic updates of coastal erosion can be made nationally that are systematic and internally consistent. This report on the California Coast is an accompaniment to a report on long-term sandy shoreline change for California. This report summarizes the methods of analysis, interprets the results, and provides explanations regarding long-term rates of cliff retreat. Neither detailed background information on the National Assessment of Shoreline Change Project nor detailed descriptions of the geology and geomorphology of the California coastline are presented in this report. The reader is referred to the shoreline change report (Hapke et al., 2006) for this type of background information. Cliff retreat evaluations are based on comparing one historical cliff edge digitized from maps, with a recent cliff edge interpreted from lidar (Light Detection and Ranging) topographic surveys. The historical cliff edges are from a period ranging from 1920-1930, whereas the lidar cliff edges are from either 1998 or 2002. Long-term (~70- year) rates of retreat are calculated using the two cliff edges. The rates of retreat presented in this report represent conditions from the 1930s to 1998, and are not intended for predicting future cliff edge positions or rates of retreat. Due to the geomorphology of much of California's rocky coast (high-relief, steep slopes with no defined cliff edge) as well as to gaps in both the historical maps and lidar data, we were able to derive two cliff edges and therefore calculate cliff retreat rates for a total of 353 km. The average rate of coastal cliff retreat for the State of California was -0.3±0.2 m/yr, based on rates averaged from 17,653 individual transects measured throughout all areas of California's rocky coastline. The average amount of cliff retreat was 17.7 m over the 70-year time period of our analysis. Retreat rates were generally lowest in Southern California where coastal engineering projects have greatly altered the natural coastal system. California permits shoreline stabilization structures where homes, buildings or other community infrastructure are imminently threatened by erosion. While seawalls and/or riprap revetments have been constructed in all three sections of California, a larger proportion of the Southern California coast has been protected by engineering works, due, in part, to the larger population pressures in this area.

California

Evaluation of groundwater levels in the South Platte River alluvial aquifer, Colorado, 1953-2012, and design of initial well networks for monitoring groundwater levels

The South Platte River and underlying alluvial aquifer form an important hydrologic resource in northeastern Colorado that provides water to population centers along the Front Range and to agricultural communities across the rural plains. Water is regulated based on seniority of water rights and delivered using a network of administration structures that includes ditches, reservoirs, wells, impacted river sections, and engineered recharge areas. A recent addendum to Colorado water law enacted during 2002-2003 curtailed pumping from thousands of wells that lacked authorized augmentation plans. The restrictions in pumping were hypothesized to increase water storage in the aquifer, causing groundwater to rise near the land surface at some locations. The U.S. Geological Survey (USGS), in cooperation with the Colorado Water Conservation Board and the Colorado Water Institute, completed an assessment of 60 years (yr) of historical groundwater-level records collected from 1953 to 2012 from 1,669 wells. Relations of "high" groundwater levels, defined as depth to water from 0 to 10 feet (ft) below land surface, were compared to precipitation, river discharge, and 36 geographic and administrative attributes to identify natural and human controls in areas with shallow groundwater. Averaged per decade and over the entire aquifer, depths to groundwater varied between 24 and 32 ft over the 60-yr record. The shallowest average depth to water was identified during 1983-1992, which also recorded the highest levels of decadal precipitation. Average depth to water was greatest (32 ft) during 1953-1962 and intermediate (30 ft) in the recent decade (2003-2012) following curtailment of pumping. Between the decades 1993-2002 and 2003-2012, groundwater levels declined about 2 ft across the aquifer. In comparison, in areas where groundwater levels were within 20 ft of the land surface, observed groundwater levels rose about 0.6 ft, on average, during the same period, which demonstrated preferential rise in areas with shallow groundwater. Approximately 29 percent of water-level observations were identified as high groundwater in the South Platte River alluvial aquifer over the 60-yr record. High groundwater levels were found in 17 to 33 percent of wells examined by decade, with the largest percentages occurring over three decades from 1963 to 1992. The recent decade (2003-2012) exhibited an intermediate percentage (25 percent) of wells with high groundwater levels but also had the highest percentage (30 percent) of high groundwater observations, although results by observations were similar (26-29 percent) over three decades prior, from 1963 to 1992. Major sections of the aquifer from north of Sterling to Julesburg and areas near Greeley, La Salle, and Gilcrest were identified with the highest frequencies of high groundwater levels. Changes in groundwater levels were evaluated using Kendal line and least trimmed squares regression methods using a significance level of 0.01 and statistical power of 0.8. During 2003-2012, following curtailment of pumping, 88 percent of wells and 81 percent of subwatershed areas with significant trends in groundwater levels exhibited rising water levels. Over the complete 60-yr record, however, 66 percent of wells and 57 percent of subwatersheds with significant groundwater-level trends still showed declining water levels; rates of groundwater-level change were typically less than 0.125 ft/yr in areas near the South Platte River, with greater declines along the southern tributaries. In agreement, 58 percent of subwatersheds evaluated between 1963-1972 and 2003-2012 showed net declines in average decadal groundwater levels. More areas had groundwater decline in upgradient sections to the west and rise in downgradient sections to the east, implying a redistribution of water has occurred in some areas of the aquifer. Precipitation was identified as having the strongest statistically significant correlations to river discharge over annual and decadal periods (Pearson correlation coefficients of 0.5 and 0.8, respectively, and statistical significance defined by p-values less than 0.05). Correlation coefficients between river discharge and frequency of high groundwater levels were statistically significant at 0.4 annually and 0.6 over decadal periods, indicating that periods of high river flow were often coincident with high groundwater conditions. Over seasonal periods in five of the six decades examined, peak high groundwater levels occurred after spring runoff from July to September when administrative structures were most active. Between 1993-2002 and 2003-2012, groundwater levels rose while river discharge decreased, in part from greater reliance on surface water and curtailed pumping from wells without augmentation plans. Geographic attributes of elevation and proximity to streams and rivers showed moderate correlations to high groundwater levels in wells used for observing groundwater levels (correlation coefficients of 0.3 to 0.4). Local depressions and regional lows within the aquifer were identified as areas of potential shallow groundwater. Wells close to the river regularly indicated high groundwater levels, while those within depleted tributaries tended to have low frequencies of high groundwater levels. Some attributes of administrative structures were spatially correlated to high groundwater levels at moderate to high magnitudes (correlation coefficients of 0.3 to 0.7). The number of affected river reaches or recharge areas that surround a well where groundwater levels were observed and its distance from the nearest well field showed the strongest controls on high groundwater levels. Influences of administrative structures on groundwater levels were in some cases local over a mile or less but could extend to several miles, often manifesting as diffuse effects from multiple surrounding structures. A network of candidate monitoring wells was proposed to initiate a regional monitoring program. Consistent monitoring and analysis of groundwater levels will be needed for informed decisions to optimize beneficial use of water and to limit high groundwater levels in susceptible areas. Finalization of the network will require future field reconnaissance to assess local site conditions and discussions with State authorities.

Colorado

Ground‐water inventory in the Upper Gila River Valley, New Mexico and Arizona: Scope of investigation and methods used

The Division of Ground Water of the Geological Survey, United States Department of the Interior, has been making an inventory of the water‐resources of the upper Gila River since January 1, 1940. Funds for the project are furnished under a cooperative agreement with the Arizona State Water Commissioner, supplemented by a substantial grant from the United States Engineer Office of the War Department. The State of Arizona wants information regarding the quantity of ground‐water available to supplement surface‐water irrigation. The Army Engineers would like to know the effect that flood‐control structures which may be built on the upper Gila will have on existing relations between river‐flow and ground‐water storage.

Eos, Transactions, American Geophysical Union