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Present investigations of radioactive raw materials by the Geological Survey and a recommended program for future work

The Geological Survey's program of investigation of radioactive raw materials is presented herewith under present investigations, plans for future investigations, plan of operation, and cost of operation. This report was prepared at the request of the Atomic Energy Commission. Present investigations are summarized to show the scope of the present Trace Elements program, grouping individual projects into related types of investigations. Plans for future investigations on an expanded scale are outlined. These should provide sufficient data and knowledge of the occurrence and availability of uranium, thorium, and related elements, to permit a more complete evaluation of domestic resources. Reconnaissance projects are designed to discover possible new sources of uranium and thorium and to select areas and materials warranting further investigation. Typical projects leading to the estimation of reserves are the investigation of the carnotite ores of the Colorado Plateau by geologic mapping, exploratory drilling, and related research, and investigation of asphaltic sandstone in Emery County, Utah. Extensive research will be undertaken to establish the principles governing the geological and geochemical relations of uranium, thorium, and associated elements as an essential guide in appraising domestic resources. Particular emphasis will be placed on phosphatic rocks and black shales which offer ultimate resources of uranium far greater than carnotite ores. All the foregoing investigations will be accompanied by chemical, gephysical, and mineralogical research and analytical work. Under plan of operation is discussed the organization of the Trace Elements Unit, space requirements for laboratory and office, the scheduling of investigations, and other related problems. The proposed scheduling of work calls for approximately 109, 173, and 203 man years in fiscal years 1948, 1949, and 1950 respectively. Definite plans have been formulated only for the next three fiscal years, by which time it is assumed the program will reach stable proportions or can be altered as experience dictates. Under cost of operation is set forth the funds available in fiscal year 1947, the status of funds transferred from Atomic Services (14-217/80920), and funds necessary in succeeding fiscal years. The estimate for fiscal year 1948 inclues a non-recurring item of $1,025,000 for establishing adequate laboratories for chemical, physical, spectrographic and mineralogic research and analytical work. The total funds required in fiscal years 1948, 1949, and 1950 to support the proposed program will be $2,440,000, $2,161,000 and $2,198,000 respectively. The Geological survey anticipates contributing from its appropriation in fiscal years 1948, 1949 and 1950 approximately $243,000, $350,000, and $400,000 respectively; the balance of the necessary funds to be contributed by the Atomic Energy Commission in fiscal years 1948, 1949, and 1950 will be approximately $2,196,900, $1,811,000, and $1,798,000 respectively.

Trace Elements Investigations

Constraints to connecting children with nature--Survey of U.S. Fish and Wildlife Service employees sponsored by the National Conservation Training Center, Division of Education Outreach

The U.S. Fish and Wildlife Service (FWS) names "connecting people with nature" as one of its top six priorities in the online Service Employee Pocket Guide. The National Conservation Training Center (NCTC) took the initiative to identify issues that impede greater progress in addressing constraints to connecting children with nature. The Division of Education Outreach at NCTC formed a working relation with the Policy Analysis and Science Assistance branch of the U.S. Geological Survey to conduct a study on these issues. To meet the objectives of the study, a survey of a sample of FWS employees was conducted. This report includes the description of how the survey was developed and administered, how the data were analyzed, and a discussion of the survey results. The survey was developed based on published literature and incorporated input from two working groups of professionals focused on the issue of connecting children with nature. Although the objective as stated by the FWS is to connect people with nature, the survey primarily focused on connecting children, rather than all people, with nature. The four primary concepts included on the survey were interpretation of how the FWS defined "connection" as part of its mission, perceived success with outreach, constraints to connecting children with nature, and importance of connecting children with nature. The survey was conducted online using KeySurvey© software. The survey was sent to 604 FWS employees. Responses were received from 320 employees. The respondents represented diversity in regions, tenure, wage/grade level, job series, supervisory status, and involvement with education and outreach activities. The key findings of the survey are as follows: * FWS employees believe they as individuals and the agency are successful now and will be more successful in the future in connecting children with nature. * FWS employees believe that there are many outcomes that are relevant to the FWS objective to connect people with the environment. * FWS employees believe that connecting children with nature is important. * Constraints to connecting children with nature exist but are not perceived by respondents to be severe. * The constraints of greatest concern are practical issues, competition from technology, funding issues and staffing issues.

Open-File Report

South Atlantic Water Science Center Strategic Science Plan: 2019–23

Executive Summary The South Atlantic Water Science Center Strategic Science Planning Team has developed a unified strategic science plan to guide the science vision of the South Atlantic Water Science Center (SAWSC) in response to the merging of the Georgia, North Carolina, and South Carolina Water Science Centers. This plan proposes a path forward to keep SAWSC science activities relevant to the many diverse needs of stakeholders in the South Atlantic region (Georgia, North Carolina, and South Carolina) and considers the hydrologic setting and issues of the region. This plan advises the creation of five working groups to address five priority science topics for the period 2019–23 and beyond. The five priority science topics are (1) Foundational Data, (2) Effects of Land-Use Change, (3) Coastal Plain Science, (4) Water Availability, and (5) Hazards. From the goals laid forth in this plan for each priority science topic, the working groups plan to devise a set of strategic actions and milestones to be achieved by the SAWSC to provide valuable and relevant data, research, and assessments in the South Atlantic region. In this report, the “South Atlantic region” is used to describe the area encompassed by the States of North Carolina, South Carolina, and Georgia.

Open-File Report

Evaluation of LANDSAT-2 (ERTS) images applied to geologic structures and mineral resources of South America: Type II progress report for period March 14, 1975-June 30, 1975

The author has identified the following significant results. Work with the Image 100 clearly demonstrates that radiance values of LANDSAT data can be used for correlation of geologic formations across international boundaries. The Totora Formation of the Corocoro Group of Tertiary age was traced from known outcrops near Tiahuanaco, Bolivia, along the south side of Lake Titicaca westward into Peru where the same rocks are considered to be Cretaceous in age. This inconsistency suggests: (1) that a review of this formation is needed by joint geological surveys of both countries to determine similarities, differences, and the true age; (2) that recognition of the extension of the copper-bearing Totora Formation of Bolivia into Peru may provide Peru with a new target for exploration. Equal radiance maps made by use of the Image 100 system show as many as eight different units within salar deposits (salt flats) of the Bolivian Altiplano. Standard film processed images show them as nearly uniform areas of white because of lack of dynamic range in film products. The Image 100 system, therefore, appears to be of great assistance in subdividing the salt flats on the basis of moisture distribution, surface roughness, and distribution of windblown materials. Field work is needed to determine these relationships to mineral composition and distribution. Images representing seasonal changes should also improve the accuracy of such maps. Radiance values of alteration zones related to the occurrence of porphyry copper ores were measured at the San Juan del Abra deposit of northern Chile using the Image 100 system. The extent to which these same values may be used to detect similar alteration zones in other areas has not yet been tested.

Bolivian Altiplano, Lake Titicaca

Conservation action plan for diamond-backed terrapins in the Gulf of Mexico

Diamondback terrapins are small estuarine turtles that are vital to the health of salt marsh and mangrove habitats. Their populations have declined for over a century due to many factors including coastal development, nest predation, pet trade and drowning in crab traps. Without action, terrapin populations will continue to decline. This document summarizes the Nature Conservancy's efforts in collaboration with the Diamondback Terrapin Working Group and the Gulf of Mexico Alliance to create a comprehensive regional plan to identify and advance terrapin-related research, management and conservation goals.

Gulf of Mexico

The effects of human-caused mortality on mammalian cooperative breeders: A synthesis

Human-caused mortality can be pervasive and even highly selective for individuals in groups of cooperative breeders. Many studies of cooperative breeders, however, do not address human-caused mortality. Similarly, studies focused on the effects of human-caused mortality on wildlife populations often do not consider the ecology of cooperative breeders. We searched the literature and identified 58 studies where human-caused mortality affected a group characteristic, vital rate, or population state of a cooperative breeder. Of studies reporting population growth or decline, 80% reported a link between human-caused mortality and population declines in cooperative breeders. Such studies often did not identify the mechanism behind population declines, but 28% identified concurrent declines in adult survival and another 21% reported concurrent declines in recruitment or reproduction. There was little overlap between the cooperative breeding and human-caused mortality literatures, limiting our ability to accrue knowledge. Future work would be beneficial if it ( i ) identified the vital rate(s) causing population declines, ( ii ) leveraged management actions such as lethal removal to ask questions about the ecology of group-living in cooperative breeders, and ( iii ) used insights from cooperative breeding theory to inform management actions and conservation of group-living species.

Biological Reviews

Yellowstone grizzly bear investigations: Annual report of the Interagency Grizzly Bear Study Team, 2006

The contents of this Annual Report summarize results of monitoring and research from the 2006 field season. The report also contains a summary of nuisance grizzly bear ( Ursus arctos horribilis ) management actions. The Interagency Grizzly Bear Study Team (IGBST) continues to work on issues associated with counts of unduplicated females with cubs-of- the-year (COY). These counts are used to establish a minimum population size, which is then used to establish mortality thresholds for the Recovery Plan (U.S. Fish and Wildlife Service [USFWS] 1993). After considerable delays due to programming issues, a computer program that defines the rule set used by Knight et al. (1995) to differentiate unique family groups was development and tested in 2005 and 2006. Simulations using observations of collared females with COY were randomly sampled to generate datasets of observations of random females with COY. These datasets were then run though the simulations program to test the accuracy of the rules. Data are currently being summarized. This project has been completed and a manuscript was submitted to the Journal of Wildlife Management. The grizzly bear recovery plan (USFWS 1993) established human-caused mortality quotas. We used the latest information on reproduction and survival to estimate population trajectory in the same simulation model originally used by Harris (1984). A Wildlife Monographs was published in 2006. Additionally, the study team, in cooperation with several quantitative experts, reassessed how population size is indexed and how sustainable mortality rates are established. A draft report was presented to the Yellowstone Ecosystem Subcommittee in spring 2005. It was published as part of the USFWS Delisting Rule (Federal Register Vol. 70, No. 221, Nov. 17, 2005, 69853–69884) and subjected to public comment. This workshop document can be found at http://www.fws.gov/mountain-prairie/species/mammals/grizzly/yellowstone.htm. During the summer of 2006, a second workshop was held to address public comment and professional peer review. The result of this workshop was a supplement to the 2005 workshop document. This supplement can be found at http://www.fws.gov/mountain-prairie/species/mammals/grizzly/yellowstone.htm under the link Revised Methods to Estimate Population Size and Sustainable Mortality Limits. Results of those estimates are provided in Appendix A. Our project addressing the potential application of stable isotopes and trace elements to quantify consumption rates of whitebark pine ( Pinus albicaulis ) and cutthroat trout ( Oncorhynchus clarki ) by grizzly bears was completed. Our manuscript on consumption rates of whitebark pine was published in the Canadian Journal of Zoology 81:763-770. Results of the mercury studies were also published in the Canadian Journal of Zoology 82:493–501. Copies can be found on the IGBST website http://www.nrmsc.usgs.gov/research/igbst-home.htm. Based upon this work, we submitted a proposal to analyze all historic tissue samples from grizzly bears in the ecosystem. That proposal was funded and samples have been sent to a lab for isotopic analysis. We hope to have those results in early 2008. Results of DNA hair snaring work conducted on Yellowstone Lake were submitted and published in the Journal Ursus (Haroldson et al. 2005). Results of this study conducted from 1997–2000 showed a decline in fish use by grizzly bears when compared to earlier work conducted by Reinhart (1990) in 1985–1987. As a consequence, the IGBST submitted a proposal to the National Park Service and received 3 years funding to repeat that work. This project began in 2007. There are 2 graduate students and several field technicians working on the program. We completed the final field season in Grand Teton National Park evaluating habitat use both temporally and spatially between grizzly and black bears ( Ursus americanus ). We continue to use GPS technology that incorporates a spread spectrum communication system. Spread spectrum allows for transfer of stored GPS locations from the collar to a remote receiving station. Results of the 2006 field season are reported here. We plan to complete the final report in late 2007. We continued to monitor the health of whitebark pine in the Greater Yellowstone Ecosystem (GYE) in cooperation with the Greater Yellowstone Whitebark Pine Monitoring Working Group. A summary of the 2006 monitoring is also presented (Appendix B). The IGBST uses counts of winter-killed ungulates to index spring carcass abundance for grizzly bears. Likewise, we use wier counts and stream surveys to index cutthroat trout abundance. We ask Dr. Steve Cherry, Department of Mathematical Sciences, Montana State University-Bozeman, to review the protocols and make recommendations for improving them. That review and recommendations are presented in Appendix C. Finally, the state of Wyoming, following recommendations from the Yellowstone Ecosystem Subcommittee and the IGBST, launched the Bear Wise Community Effort. The focus is to minimize human/bear conflicts, minimize human-caused bear mortalities associated with conflicts, and safeguard the human community. Results of these efforts are detailed in Appendix D. The annual reports of the IGBST summarize annual data collection. Because additional information can be obtained after publication, data summaries are subject to change. For that reason, data analyses and summaries presented in this report supersede all previously published data. The study area and sampling techniques are reported by Blanchard (1985), Mattson et al. (1991 a), and Haroldson et al. (1998).

Idaho, Montana, Wyoming

U.S. Geological Survey Program on the South Florida Ecosystem; proceedings of South Florida Restoration Science Forum, May 17-19, 1999, Boca Raton, Florida

The purpose of the forum is to highlight the powerful connection between science and management decisions in restoration efforts. The public's investment in science is paying off in support of better management decisions and restoration of imperiled south Florida Ecosystems, including the internationally recognized, globally significant Everglades. The forum affords a unique opportunity for elected officials and other policy- and decision makers, along with the general public, to see--under one roof--highlights of the most significant restoration science and management efforts underway. The forum promotes the link between science and management. Scientists and decisionmakers will come together to discuss the needs of each in order to ensure that plans for restoration are based in science and are the most cost effective and highest quality possible. Continued vigilance over south Florida ecosystems is essential to prevent further harm and to restore them. Representatives from numerous federal, state, local, and nongovernmental entities are organizing the forum for the Science Coordination Team of the South Florida Ecosystem Working Group. The U.S. Geological Survey and the South Florida Water Management District are the primary hosts of the forum.

Florida

Simulation of Ground-Water Flow in the Middle Rio Grande Basin Between Cochiti and San Acacia, New Mexico

This report describes a three-dimensional, finite difference, ground-water-flow model of the Santa Fe Group aquifer system within the Middle Rio Grande Basin between Cochiti and San Acacia, New Mexico. The aquifer system is composed of the Santa Fe Group of middle Tertiary to Quaternary age and post-Santa Fe Group valley and basin-fill deposits of Quaternary age. Population increases in the basin since the 1940's have caused dramatic increases in ground-water withdrawals from the aquifer system, resulting in large ground-water-level declines. Because the Rio Grande is hydraulically connected to the aquifer system, these ground-water withdrawals have also decreased flow in the Rio Grande. Concern about water resources in the basin led to the development of a research plan for the basin focused on the hydrologic interaction of ground water and surface water (McAda, D.P., 1996, Plan of study to quantify the hydrologic relation between the Rio Grande and the Santa Fe Group aquifer system near Albuquerque, central New Mexico: U.S. Geological Survey Water-Resources Investigations Report 96-4006, 58 p.). A multiyear research effort followed, funded and conducted by the U.S. Geological Survey and other agencies (Bartolino, J.R., and Cole, J.C., 2002, Ground-water resources of the Middle Rio Grande Basin, New Mexico: U.S. Geological Survey Circular 1222, 132 p.). The modeling work described in this report incorporates the results of much of this work and is the culmination of this multiyear study. The purpose of the model is (1) to integrate the components of the ground-water-flow system, including the hydrologic interaction between the surface-water systems in the basin, to better understand the geohydrology of the basin and (2) to provide a tool to help water managers plan for and administer the use of basin water resources. The aquifer system is represented by nine model layers extending from the water table to the pre-Santa Fe Group basement rocks, as much as 9,000 feet below the NGVD 29. The horizontal grid contains 156 rows and 80 columns, each spaced 3,281 feet (1 kilometer) apart. The model simulates predevelopment steady-state conditions and historical transient conditions from 1900 to March 2000 in 1 steady-state and 52 historical stress periods. Average annual conditions are simulated prior to 1990, and seasonal (winter and irrigation season) conditions are simulated from 1990 to March 2000. The model simulates mountain-front, tributary, and subsurface recharge; canal, irrigation, and septic-field seepage; and ground-water withdrawal as specified-flow boundaries. The model simulates the Rio Grande, riverside drains, Jemez River, Jemez Canyon Reservoir, Cochiti Lake, riparian evapotranspiration, and interior drains as head-dependent flow boundaries. Hydrologic properties representing the Santa Fe Group aquifer system in the ground-water-flow model are horizontal hydraulic conductivity, vertical hydraulic conductivity, specific storage, and specific yield. Variable horizontal anisotropy is applied to the model so that hydraulic conductivity in the north-south direction (along model columns) is greater than hydraulic conductivity in the east-west direction (along model rows) over much of the model. This pattern of horizontal anisotropy was simulated to reflect the generally north-south orientation of faulting over much of the modeled area. With variable horizontal anisotropy, horizontal hydraulic conductivities in the model range from 0.05 to 60 feet per day. Vertical hydraulic conductivity is specified in the model as a horizontal to vertical anisotropy ratio (calculated to be 150:1 in the model) multiplied by the horizontal hydraulic conductivity along rows. Specific storage was estimated to be 2 x 10-6 per foot in the model. Specific yield was estimated to be 0.2 (dimensionless). A ground-water-flow model is a tool that can integrate the complex interactions of hydrologic boundary conditions, aquifer materials

Water-Resources Investigations Report

Comments on potential geologic and seismic hazards affecting proposed liquefied natural gas site in Santa Monica Bay, California

In a letter to the U.S. Geological Survey (USGS) dated March 25, 2008, Representative Jane Harman (California 36th district) requested advice on geologic hazards that should be considered in the review of a proposed liquefied natural gas (LNG) facility off the California coast in Santa Monica Bay. In 2004, the USGS responded to a similar request from Representative Lois Capps, regarding two proposed LNG facilities offshore Ventura County, Calif., with a report summarizing potential geologic and seismic hazards (Ross and others, 2004). The proposed LNG Deepwater Port (DWP) facility includes single point moorings (SPMs) and 35 miles of underwater pipelines. The DWP submersible buoys, manifolds, and risers would be situated on the floor of the southern Santa Monica Basin, in 3,000 feet of water, about 23 miles offshore of the Palos Verdes Peninsula. Twin 24-inch diameter pipelines would extend northeastward from the buoys across the basin floor, up the basin slope and across the continental shelf, skirting north around the Santa Monica submarine canyon. Figure 1 provides locations of the project and geologic features. Acronyms are defined in table 1. This facility is being proposed in a region of known geologic hazards that arise from both the potential for strong earthquakes and geologic processes related to sediment transport and accumulation in the offshore environment. The probability of a damaging earthquake (considered here as magnitude 6.5 or greater) in the next 30 years within about 30 miles (50 km) of the proposed pipeline ranges from 16% at the pipeline's offshore end to 48% where it nears land (Petersen, 2008). Earthquakes of this magnitude are capable of producing strong shaking, surface fault offsets, liquefaction phenomena, landslides, underwater turbidity currents and debris flow avalanches, and tsunamis. As part of the DWP license application for the Woodside Natural Gas proposal in Santa Monica Bay (known as the OceanWay Secure Energy Project), Fugro West, Inc., had already prepared a document discussing geologic hazards in the area, titled 'Exhibit B Topic Report 6 - Geological Resources' (Fugro West, Inc., 2007); hereafter, this will be called the 'Geological Resources document'. The USGS agreed to evaluate the information in the Geological Resources document regarding (1) proximity of active faults to the proposed project, (2) potential magnitude of seismic events from nearby faults, (3) thoroughness of the assessment of earthquake hazards in general, (4) potential hazards from ground rupture and strong shaking, (5) potential hazards from tsunamis, and (6) other geologic hazards including landslides and debris flows. Because two new earthquake probability reports were scheduled to be released in mid-April, 2008, by the USGS and the California Geological Survey (CGS), the USGS suggested a 6-month review period to enable a thorough incorporation of this new information. Twenty-seven scientists from the USGS and the CGS reviewed various sections of the Geological Resources document. This report outlines our major conclusions. The appendix is a longer list of comments by these reviewers, grouped by section of the Geological Resources document. Before discussing our reviews, we first provide a brief overview of geologic hazards in the proposed site area. This report is a snapshot in time and any future work in the area will need to take into account ongoing research efforts. For example, USGS scientists collected seismic reflection data in the spring of 2008 to study the structure and seismic potential of several faults in the area. Their interpretations (Conrad and others, 2008a and 2008b) are too preliminary to be included in this report, but their final results, along with other researchers' studies in the project area, should be considered in any future work on the Deepwater Port project.

California

Water-quality modeling of Klamath Straits Drain recirculation, a Klamath River wetland, and 2011 conditions for the Link River to Keno Dam reach of the Klamath River, Oregon

The upper Klamath River and adjacent Lost River are interconnected basins in south-central Oregon and northern California. Both basins have impaired water quality with Total Maximum Daily Loads (TMDLs) in progress or approved. In cooperation with the Bureau of Reclamation, the U.S. Geological Survey (USGS) and Watercourse Engineering, Inc., have conducted modeling and research to inform management of these basins for multiple purposes, including agriculture, endangered species protection, wildlife refuges, and adjacent and downstream water users. A water-quality and hydrodynamic model (CE-QUAL-W2) of the Link River to Keno Dam reach of the Klamath River for 2006–09 is one of the tools used in this work. The model can simulate stage, flow, water velocity, ice cover, water temperature, specific conductance, suspended sediment, nutrients, organic matter in bed sediment and the water column, three algal groups, three macrophyte groups, dissolved oxygen, and pH. This report documents two model scenarios and a test of the existing model applied to year 2011, which had exceptional water quality. The first scenario examined the water-quality effects of recirculating Klamath Straits Drain flows into the Ady Canal, to conserve water and to decrease flows from the Klamath Straits Drain to the Klamath River. The second scenario explicitly incorporated a 2.73×10 6 m 2 (675 acre) off-channel connected wetland into the CE-QUAL-W2 framework, with the wetland operating from May 1 through October 31. The wetland represented a managed treatment feature to decrease organic matter loads and process nutrients. Finally, the summer of 2011 showed substantially higher dissolved-oxygen concentrations in the Link-Keno reach than in other recent years, so the Link-Keno model (originally developed for 2006–09) was run with 2011 data as a test of model parameters and rates and to develop insights regarding the reasons for the improved water-quality conditions.

Oregon

Infectious diseases, parasites, and biological toxins in sea ducks

This chapter addresses disease agents in the broad sense, including viruses, bacteria, fungi, protozoan and helminth parasites, and biological toxins. Some of these agents are known to cause mortality in sea ducks, some are thought to be incidental findings, and the significance of others is yet poorly understood. Although the focus of the chapter is on free-living sea ducks, the study of disease in this taxonomic group has been relatively limited and examples from captive sea ducks and other wild waterfowl are used to illustrate the pathogenicity of certain diseases. Much of the early work in sea ducks consisted of anecdotal and descriptive reports of parasites, but it was soon recognized that diseases such as avian cholera, renal coccidiosis, and intestinal infections with acanthocephalans were causes of mortality in wild populations. More recently, adenoviruses, reoviruses, and the newly emergent Wellfleet Bay virus, for example, also have been linked to die-offs of sea ducks. Declining populations of animals are particularly vulnerable to the threats posed by disease and it is important that we improve our understanding of the significance of disease in sea ducks. To conclude, we offer our recommendations for future directions in this field.

Book chapter

Beach morphology monitoring in the Columbia River Littoral Cell: 1997-2005

This report describes methods used, data collected, and results of the Beach Morphology Monitoring Program in the Columbia River Littoral Cell (CRLC) from 1997 to 2005. A collaborative group primarily consisting of the US Geological Survey and the Washington State Department of Ecology performed this work. Beach Monitoring efforts consisted of collecting topographic and bathymetric horizontal and vertical position data using a Real Time Kinematic Differential Global Positioning System (RTK-DGPS). Sediment size distribution data was also collected as part of this effort. The monitoring program was designed to: 1) quantify the short- to medium-term (seasonal to interannual) beach change rates and morphological variability along the CRLC and assess the processes responsible for these changes; 2) collect beach state data (i.e., grain size, beach slope, and dune/sandbar height/position) to enhance the conceptual understanding of CRLC functioning and refine predictions of future coastal change and hazards; 3) compare and contrast the scales of environmental forcing and beach morphodynamics in the CRLC to other coastlines of the world; and 4) provide beach change data in a useful format to land use managers.

Oregon, Washington

Development of an assessment methodology for hydrocarbon recovery potential using carbon dioxide and associated carbon sequestration-Workshop findings

The Energy Independence and Security Act of 2007 (Public Law 110-140) authorized the U.S. Geological Survey (USGS) to conduct a national assessment of geologic storage resources for carbon dioxide (CO 2 ) and requested that the USGS estimate the "potential volumes of oil and gas recoverable by injection and sequestration of industrial carbon dioxide in potential sequestration formations" (121 Stat. 1711). The USGS developed a noneconomic, probability-based methodology to assess the Nation's technically assessable geologic storage resources available for sequestration of CO 2 (Brennan and others, 2010) and is currently using the methodology to assess the Nation's CO2 geologic storage resources. Because the USGS has not developed a methodology to assess the potential volumes of technically recoverable hydrocarbons that could be produced by injection and sequestration of CO 2 , the Geologic Carbon Sequestration project initiated an effort in 2010 to develop a methodology for the assessment of the technically recoverable hydrocarbon potential in the sedimentary basins of the United States using enhanced oil recovery (EOR) techniques with CO 2 (CO 2 -EOR). In collaboration with Stanford University, the USGS hosted a 2-day CO 2 -EOR workshop in May 2011, attended by 28 experts from academia, natural resource agencies and laboratories of the Federal Government, State and international geologic surveys, and representatives from the oil and gas industry. The geologic and the reservoir engineering and operations working groups formed during the workshop discussed various aspects of geology, reservoir engineering, and operations to make recommendations for the methodology.

Fact Sheet

Climate Assessments and Scenario Planning (CLASP)

The NE CASC boasts an interdisciplinary array of scientists, from ecologists to biologists, hydrologists to climatologists, each contributing new, original academic research to advance our understanding of the impacts of climate change on wildlife and other natural resources in the Northeast. Needed was an outreach specialist who would interface directly with the management agencies who benefited from this research to aid the integration of this research into their management planning as part of adapting to climate change. A climatologist was preferred to address queries about climate modeling, climate change uncertainties, and other areas of climate science outside the expertise of NE CASC ecologists, biologists, and hydrologists. This person’s activities would include responding to inquiries, presenting climate science concepts at management workshops, gathering managers’ climate science needs, contributing to the climate portion of synthesis reports and other resources for managers, and collaborating with ecologists on interdisciplinary studies of climate change by providing climate data and guidance on interpretation. The objective was to relay and interpret the scientific findings most relevant to managers’ resources of concern and management activities around those resources to guide adjustments to their activities toward better protecting their resources of concern. As an outcome, managers often relied on synthesized climate science to be able to consider how climate trends affect their work, especially those thinking about climate change for the first time in the context of their work. This lays the groundwork for more detailed management-driven science delivery that can aid eventual implementation. Management groups reached by this project include land managers with the National Park Service, state fish and game departments and DNRs, and tribal environmental coordinators.

Report

Civil applications committee

The interagency Civil Applications Committee (CAC) facilitates the appropriate civil uses of overhead remote sensing technologies and data collected by military and intelligence capabilities, including from commercial sources. The CAC is operated and staffed by the U.S. Geological Survey on behalf of the U.S. Department of the Interior and its interagency partners. The director of the U.S. Geological Survey is the chair of the committee, and the vice-chair is a non-Department of the Interior senior official. The CAC ensures certain Federal civil agencies have access to these remotely sensed assets to meet their statutory missions in ways that do not threaten the civil rights, civil liberties, and personal privacy of U.S. citizens. To meet its mandate, the CAC hosts various working groups and communities of interest including those focused on thermal issues (wildland fires and volcanoes), environmental security, and historical satellite imagery.

Fact Sheet

Using structured decision-making to develop a communications strategy for the U.S. Geological Survey Cooperative Research Units Program

Communication regarding the mission of the U.S. Geological Survey (USGS) Cooperative Research Units Program (CRU) can take many forms, yet clear and concise messaging for various audiences is critical to highlight program accomplishments and increase visibility. Before the work described in this report, CRU did not have a communication strategy; therefore, CRU leadership supported a structured decision-making (SDM) workshop to develop a comprehensive strategy for multiple audiences. The workshop was conducted in November 2024, in Nebraska City, Nebraska. The working group for this SDM process included CRU Program leadership, the CRU Communications Team lead, Unit scientists, a Unit administrative assistant, a representative of the Wildlife Management Institute (WMI), a member of the USGS Ecosystems Mission Area (EMA), Office of Communications and Publishing (OCAP) team, and the team lead for the CRU Program strategic planning process, as well as three facilitators who were also unit scientists as well as experts in SDM. Over the course of a week, the SDM team followed the PrOACT framework which identified the problem, objectives, alternatives, consequences, and tradeoffs to guide us toward a strategy for implementation of a set of actions for CRU communications. Results of the SDM workshop included the development of a problem statement, an objectives hierarchy, a suite of alternatives that were evaluated using a consequences table and a clear process for assessing tradeoffs among alternative communication actions and strategies. Through the evaluation of consequences of each action or campaign, the team developed both the assessment tool (for the future) and an immediate plan for communication product development and distribution. The consequences table for this problem was meant to be flexible to accommodate changes in CRU thematic priorities and can be easily updated with new objectives, measures, and alternatives. In addition, the weight placed on objectives may change as the Team moves forward; the ranking and scoring system used in the workshop can be easily updated. Overall, the working group identified three different actions or campaigns—Fact Sheets, Who Are We Campaign, and Alumni Campaign—that scored high in the prototype decision framework. However, the tradeoffs analysis indicated that each action(s) performed better on some objectives than others. The working group identified a need to therefore develop an implementation plan that is composed of individual actions that each target different objectives to potentially create a holistic and feasible communications strategy that performs well for all objectives. In addition, the SDM prototype developed a scalable, objective-based framework for effectively communication of the value and accomplishments of the CRU program.

Preprints.org

Geochemical prospecting for ores; a progress report

Methods of prospecting for mineral deposits by means of chemical studies of residual soil, alluvium, glacial moraine, vegetation, and natural water were first applied on a systematic scale in Scandinavia and Russia about 15 years ago. Since the war, work in this field has been undertaken by several independent groups in the United States and Canada, including the Geochemical Prospecting Unit of the U. S. Geological Survey.Best results have been obtained by systematic analysis of zinc in residuum, ground water, and vegetation; copper and lead in gossan and residuum; tin in residuum and alluvium; molybdenum in residuum; and cobalt, nickel, and gold in vegetation. In addition, studies of plant ecologies and toxicity symptoms in vegetation in relation to metal-rich soil appear to be promising.Rapid colorimetric and spectrographic tests for traces of metals in soil, water, and vegetation have been developed for use under field conditions.

Economic Geology