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Checklist of vertebrates of the United States, the U.S. territories, and Canada

On 30 January 1980 the Policy Group of the 1978 Interagency Agreement on Classifications and Inventory established a work group on fish and wildlife species names. The participating agencies were the Fish and Wildlife Service, Forest Service, Bureau of Land Management, Geological Survey, and Soil Conservation Service. The Fish and Wildlife Service was assigned the role of establishing and leading this work group in developing a national list of standard vertebrate species names that is up-to-date and accurate. The Association of Systematic Collections was contracted to develop the reference list. This publication is a revision of portions of the list (amphibians, reptiles, birds, and mammals), including updating to the end of 1985. The geographic areas encompassed by this list are: the United States, including Alaska and Hawaii; the Commonwealth of Puerto Rico, the U.S. Virgin Islands, and Navassa Island; the Trust Territory of the Pacific Islands (the Caroline Islands, Palau Islands, Marshall Islands, and northern Mariana Islands); and the U.S. Territories of American Samoa, Baker Island, Guam, Howland Island, Jarvis Island, the Johnston Islands, Kingman Reef, the Midway Islands, and Wake Islands. Canadian species that do not also occur in the United States have been included. This list includes the names of all Recent species known to occur, or to have occurred, in the geographic areas indicated above. No distinction is made between resident and migratory species or between those that occur regularly and those of casual or accidentally occurrence. The occurrence of all species listed is documented by specimen or photographic evidence. Zoo, aquarium, game park, and hunting preserve populations are not listed, nor are unestablished escapes from such populations. Species that are extinct are marked with a 1 . Species whose only occurrence in an area is the result of introduction by man are marked with a 2 . Species introduced into one area but native to another covered by this checklist do not have a superscript, nor do species for which the documentation of introduction is equivocal. Species listed as Endangered or Threatened (as of January 1987) throughout their ranges are marked with a 3 , whereas species with only selected subspecies or populations so listed are marked with a 4 . Refer to the Code of Federal Regulations (50 CFR) for further details on the Endangered Species Act of 1973 and its requirements. The list includes the scientific names and English names of taxa from order to species. At the level of genus and above, more than one English name may be given; this is to indicate content, not alternative names. English (common or vernacular) names for species vary from region to region and from author to author. The name "gopher", for example, has been applied to kinds of animals as diverse as pocket gophers, ground squirrels, and turtles. Most species have names in other languages as well as English names, and some species lack generally accepted English names. A single English name is given for each species in this list to promote uniformity and to permit more precise communication among users. Accurate communication about species can be assured only by using the scientific names, including their authors and date. We provide an "exploded" illustration (Fig. 1) of a typical portion of the list and identify the elements of each citation.

Resource Publication

Coming of age: Morphometric variation in the hand skeletons of juvenile and adult Lesser Treeshrews (Scandentia: Tupaiidae: Tupaia minor Günther, 1876)

Morphometric analyses of the manus skeleton have proven useful in understanding species limits and morphological divergence among tupaiid treeshrews (Scandentia: Tupaiidae). Specimens in these studies are typically limited to mature individuals with fully erupted permanent dentition, which eliminates potentially confounding variation attributable to age, but can also exclude rare taxa and small island populations that are poorly represented in systematic collections. To determine the real limits associated with including immature animals in such studies, we used multivariate analyses to study sexual and age variation of the manus skeleton within two allopatric populations of the Lesser Treeshrew (Tupaia minor Günther, 1876) from the Malay Peninsula and from Borneo that we treated as separate samples. Individuals were aged using dental eruption of the permanent dentition. We also recorded the degree of epiphyseal fusion of the bones of the manus based on x-rays of study skins. We then tested our ability to distinguish the two populations using a series of discriminant function analyses of hand measurements from samples that included varying proportions of immature individuals and adults. We found no evidence of sexual dimorphism in hand proportions, permitting us to combine females and males in our samples. Epiphyseal fusion of the metacarpals and phalanges typically occurs by the time the third molars have completely erupted, and fusion of the distal epiphyses of the radius and ulna typically occurs by the time the permanent fourth premolars are in place. There is occasional asynchrony between dental age and epiphyseal fusion. In both populations, the hands of most infants and subadults provide morphometric values within the range of variation of adults, although they are typically distributed in the lower part of the adult range and have the potential to bias the sample toward lower mean size. The inclusion of infants and subadults when attempting to discriminate between two taxa generally results in lower rates of correct classifications, although the rates increase as the sample of immature individuals is limited to older subadults. As a general rule, we recommend that infants and subadults continue to be excluded from analyses when exploring taxonomic boundaries among treeshrews. In cases of extremely small sample sizes of adults, however, older subadults—in which the permanent third premolars are erupting or in place—can be used with appropriate caution.

Journal of Mammalogy

U.S. Geological Survey collections—Preserving the past to inform the future: Tour three federal repositories—Core Research Center, Paleontological Collection, and the NSF National Ice Core Laboratory

This 2016 Geological Society of America (GSA) Annual Meeting trip will explore the Core Research Center, Paleontological Collection, and National Science Foundation National Ice Core Laboratory—three collections of major national signifi cance managed by the U.S. Geological Survey (USGS). Since its inception in 1879, USGS has collected, preserved, and managed physical collections for scientifi c investigations of Earth’s systems. The Core Research Center is the largest federal core repository in the United States, where over 74 million meters (242 million feet) of the subsurface are represented by the collection of rock cores and well cuttings, available for use by researchers investigating resource potential, tectonics, structures, aquifers, and more. The USGS has conducted paleontological research for more than 110 years to inform geological mapping, biostratigraphy, paleoecology, paleoclimate, and other research. Most of these paleontological samples are at the Smithsonian Institution National Museum of Natural History (NMNH) and USGS Denver facilities. The USGS Denver paleontological collection includes ~1.2 million samples. Ancillary materials consisting of handwritten ledgers, index cards, fi eld reports, maps, and other information produced by USGS investigators provide profound knowledge about the specimens and associated geological systems. The USGS is working with NMNH to systematically digitize the collection to preserve and expose samples and data to research. The National Science Foundation (NSF) National Ice Core Laboratory (NICL) is the nation’s repository for preserving, archiving, and sampling meteoric ice cores collected from the world’s ice sheets, ice caps, and glaciers, mostly from Antarctica and Greenland. NICL’s primary mission is to store and curate ice cores, primarily collected during NSF-sponsored projects, for present and future sample investigations.

Colorado

Accuracy assessment of three-dimensional point cloud data collected with a scanning total station on Shinnecock Nation Tribal lands in Suffolk County, New York

A combined point cloud of about 85.6 million points was collected during 27 scans of a section of the western shoreline along the Shinnecock Peninsula of Suffolk County, New York, to document baseline geospatial conditions during July and October 2022 using a scanning total station. The three-dimensional accuracy of the combined point cloud is assessed to identify potential systematic error sources associated with the surveying equipment and the novel methodology used to collect and field-register (data are oriented and aligned in real time) point cloud data. The accuracy of the combined point cloud was assessed in terms of relative and absolute reference frames. Relative accuracy provides a measure of error within the local coordinate system and is determined by combining the uncertainty associated with the position of the scan station (the point being occupied by the scanning total station during the scan), the uncertainty associated with the position of the network control points, and the uncertainty associated with the laser of the scanning total station. Assessment of the absolute accuracy includes these three potential error sources combined with the uncertainty associated with the geodetic coordinates to which the local control network is referenced. The combined overall relative horizontal and vertical accuracy of the point cloud is 0.0156 and 0.0241 meter, respectively, at the 95 percent confidence level. The combined overall absolute horizontal and vertical accuracy of the point cloud is 0.0598 and 0.0733 meter, respectively, at the 95 percent confidence level.

New York

Informing our successors: What botanical information for Santa Cruz Island will researchers and conservation managers in the century ahead need the most?

Climate changes are predicted to drive changes in plant species composition and vegetation cover around the world. Preserved specimens and other botanical information that we gather today—a period future practitioners may look back on as an early stage of modern anthropogenic climate change—will be of value to conservation managers and conservation biologists in the decades and centuries ahead. Here, we present suggestions for the systematic collection, long-term curation (in museums, herbaria, and other research institutions), and maintenance of plant specimens, along with associated data and analyses on the plants and vegetation present today and in the past. The primary aim of this systematic survey is to provide information of high value to conservation researchers and managers both in the near term (the next several years) and through the century to come. Such a systematic survey would build on a strong foundation of research and adaptive management on the island. It would fill gaps in less well-studied groups of organisms and identify environmental, ecological, and cultural factors related to current patterns of distribution. It would also archive previously collected data, photographs, and other materials which would otherwise gradually degrade and become inaccessible. As a case study, we use Santa Cruz Island, California, which is managed for conservation. We are confident that the same approach may be applied to other lands and waters around the world. We argue that there is a particular need to collect and archive herbarium specimens and seeds from today's populations, activities largely overlooked in recent decades. We encourage conservation researchers and managers to consider what information will be most important for future managers and to help launch studies, monitoring programs, and collections to prepare their successors for success.

Western North American Naturalist

Earthquake intensity distributions: a new view

Pioneering work by Nicolas Ambraseys and many collaborators demonstrates both the tremendous value of macroseismic data and the perils of its uncritical assessment. In numerous publications he shows that neglect of original sources and/or failure to appreciate the context of historical accounts, as well as use of unreliable indicators such as landslid- ing to determine intensities, commonly leads to inflated magnitude estimates for historical earthquakes. The U.S. Geological Survey “Did You Feel It?” (DYFI) system, which now collects and systematically interprets thousands of first-hand reports from felt earthquakes, provides the opportunity to explore further the biases associated with traditional intensity distributions determined from written (media or archival) accounts. I briefly summarize and further develop the results of Hough (2013), who shows that traditional intensity distrib- utions imply more dramatic damage patterns than are documented by more spatially rich DYFI data, even when intensities are assigned according to the conservative practices estab- lished by Ambraseys’ work. I further consider the separate intensity–attenuation relations that have been developed to characterize intensities for historical and modern earthquakes in California, using traditionally assigned intensities and DYFI intensities, respectively. The results support the conclusion that traditionally assigned intensity values tend to be inflated by a fundamental bias towards reporting of dramatic rather than representative effects. I introduce an empirical correction-factor approach to correct for these biases. This allows the growing wealth of well-calibrated DYFI data to be used as calibration events in the analysis of historical earthquakes

Bulletin of Earthquake Engineering

Deep long-period earthquakes beneath Washington and Oregon volcanoes

Deep long-period (DLP) earthquakes are an enigmatic type of seismicity occurring near or beneath volcanoes. They are commonly associated with the presence of magma, and found in some cases to correlate with eruptive activity. To more thoroughly understand and characterize DLP occurrence near volcanoes in Washington and Oregon, we systematically searched the Pacific Northwest Seismic Network (PNSN) triggered earthquake catalog for DLPs occurring between 1980 (when PNSN began collecting digital data) and October 2009. Through our analysis we identified 60 DLPs beneath six Cascade volcanic centers. No DLPs were associated with volcanic activity, including the 1980–1986 and 2004–2008 eruptions at Mount St. Helens. More than half of the events occurred near Mount Baker, where the background flux of magmatic gases is greatest among Washington and Oregon volcanoes. The six volcanoes with DLPs (counts in parentheses) are Mount Baker (31), Glacier Peak (9), Mount Rainier (9), Mount St. Helens (9), Three Sisters (1), and Crater Lake (1). No DLPs were identified beneath Mount Adams, Mount Hood, Mount Jefferson, or Newberry Volcano, although (except at Hood) that may be due in part to poorer network coverage. In cases where the DLPs do not occur directly beneath the volcanic edifice, the locations coincide with large structural faults that extend into the deep crust. Our observations suggest the occurrence of DLPs in these areas could represent fluid and/or magma transport along pre-existing tectonic structures in the middle crust.

Oregon, Washington

Origin of pingo-like features on the Beaufort Sea shelf and their possible relationship to decomposing methane gas hydrates

[1] The Arctic shelf is currently undergoing dramatic thermal changes caused by the continued warming associated with Holocene sea level rise. During this transgression, comparatively warm waters have flooded over cold permafrost areas of the Arctic Shelf. A thermal pulse of more than 10°C is still propagating down into the submerged sediment and may be decomposing gas hydrate as well as permafrost. A search for gas venting on the Arctic seafloor focused on pingo-like-features (PLFs) on the Beaufort Sea Shelf because they may be a direct consequence of gas hydrate decomposition at depth. Vibracores collected from eight PLFs had systematically elevated methane concentrations. ROV observations revealed streams of methane-rich gas bubbles coming from the crests of PLFs. We offer a scenario of how PLFs may be growing offshore as a result of gas pressure associated with gas hydrate decomposition.

Beaufort Sea

Volatile organic compounds in the unsaturated zone from radioactive wastes

Volatile organic compounds (VOCs) are often comingled with low-level radioactive wastes (LLRW), but little is known about subsurface VOC emanations from LLRW landfills. The current study systematically quantified VOCs associated with LLRW over an 11-yr period at the USGS Amargosa Desert Research Site (ADRS) in southwestern Nevada. Unsaturated-zone gas samples of VOCs were collected by adsorption on resin cartridges and analyzed by thermal desorption and GC/MS. Sixty of 87 VOC method analytes were detected in the 110-m-thick unsaturated zone surrounding a LLRW disposal facility. Chlorofluorocarbons (CFCs) were detected in 100% of samples collected. Chlorofluorocarbons are powerful greenhouse gases, deplete stratospheric ozone, and are likely released from LLRW facilities worldwide. Soil-gas samples collected from a depth of 24 m and a horizontal distance 100 m south of the nearest waste-disposal trench contained >60,000 ppbv total VOCs, including >37,000 ppbv CFCs. Extensive sampling in the shallow unsaturated zone (0–2 m deep) identified areas where total VOC concentrations exceeded 5000 ppbv at the 1.5-m depth. Volatile organic compound concentrations exceeded background levels up to 300 m from the facility. Maximum vertical diffusive fluxes of total VOCs were estimated to be 1 g m -2 yr -1 . Volatile organic compound distributions were similar but not identical to those previously determined for tritium and elemental mercury. To our knowledge, this study is the first to characterize the unsaturated zone distribution of VOCs emanating from a LLRW landfill. Our results may help explain anomalous transport of radionuclides at the ADRS and elsewhere.

Nevada

Acoustic and genetic data can reduce uncertainty regarding populations of migratory tree-roosting bats impacted by wind energy

Wind turbine-related mortality may pose a population-level threat for migratory tree-roosting bats, such as the hoary bat ( Lasiurus cinereus ) in North America. These species are dispersed within their range, making it impractical to estimate census populations size using traditional survey methods. Nonetheless, understanding population size and trends is essential for evaluating and mitigating risk from wind turbine mortality. Using various sampling techniques, including systematic acoustic sampling and genetic analyses, we argue that building a weight of evidence regarding bat population status and trends is possible to (1) assess the sustainability of mortality associated with wind turbines; (2) determine the level of mitigation required; and (3) evaluate the effectiveness of mitigation measures to ensure population viability for these species. Long-term, systematic data collection remains the most viable option for reducing uncertainty regarding population trends for migratory tree-roosting bats. We recommend collecting acoustic data using the statistically robust North American Bat Monitoring Program (NABat) protocols and that genetic diversity is monitored at repeated time intervals to show species trends. There are no short-term actions to resolve these population-level questions; however, we discuss opportunities for relatively short-term investments that will lead to long-term success in reducing uncertainty.

Animals

Re-Os systematics and age of pyrite associated with stratiform Zn-Pb mineralization in the Howards Pass district, Yukon and Northwest Territories, Canada

Stratiform Zn-Pb deposits hosted in unmetamorphosed carbonaceous and siliceous mudstones of the Ordovician to Silurian Duo Lake Formation define the Howards Pass district in Yukon Territory and Northwest Territories, western Canada. Collectively, the deposits are amongst the largest in the world, containing drill-indicated and inferred resources of 423 Mt at 4.84 % Zn and 1.59 % Pb. Sulphide textures include (a) fine-scale laminations of sphalerite, galena, and pyrite from <0.05 mm to 1 cm thick, interbedded with carbonaceous sedimentary rock; (b) layers of coarse sulphide that are structurally controlled by microfolds; and (c) veins that cut bedding and sulphide laminations. The finely interlaminated nature of sulphides with mudstone has been used as evidence for syngenetic mineralizing processes, whereas paleomagnetic data determined on coarse layered sulphides suggest a Middle Jurassic age of mineralization. Here, we present new rhenium-osmium (Re-Os) isotopic data for 12 pyrite separates obtained from 4 laminated sulphide-rich samples from the XY Central (XYC) and Don (DON) deposits and for 1 unmineralized organic-rich mudstone ∼20 m stratigraphically below the sulphide-bearing zone. Pyrite separates that lack mudstone inclusions (“pure”) from the XYC deposit contain 2.2 to 4.0 ppb Re and 93.4 to 123.4 ppt Os; pure pyrite from the DON deposit is significantly more enriched in Re and Os (34–37 ppb Re; 636.8–694.9 ppt Os). The 187 Re/ 188 Os values of pure pyrite separates from the XYC and DON deposits range from 137.6 to 197 and 182.1 to 201.4, respectively. Regression of all pure pyrite Re-Os data from both deposits yields an isochron age of 442 ± 14 Ma (MSWD = 7.4) and an initial 187 Os/ 188 Os (Os i ) value of 0.71 ± 0.07. The Re-Os age indicates that the early phase of pyrite precipitation (and by inference, sphalerite and galena) occurred during the early Silurian, consistent with biostratigraphic ages of the host rocks. The Os i value of ∼0.8 for earliest Silurian seawater recorded from organic-rich shale in the basal Silurian Global Stratotype Section and Point (GSSP) at Dobs Linn, Scotland is very similar to that provided by the Howards Pass pyrite regression and hence suggests a hydrogenous (seawater) source of Os for the pyrite. Therefore, two possible sources of Os are (1) the Zn- and Pb-bearing hydrothermal fluid that leached Os from footwall sedimentary rocks, which were deposited in seawater, or (2) directly from seawater during precipitation of the pyrite, which suggests that the Os content of the hydrothermal fluid was minor relative to that of seawater.

Northwest Territories, Yukon

Sensitive ecological areas and species inventory of Actun Chapat Cave, Vaca Plateau, Belize

Cave ecosystems are considered one of the most poorly studied and fragile systems on Earth. Belize caves are no exception. This paper represents the first effort to synthesize information on both invertebrate and vertebrate observations from a Belize cave. Based on limited field research and a review of literature, we identified two ecologically sensitive areas, and developed a species inventory list containing 41 vertebrate and invertebrate morphospecies in Actun Chapat, Vaca Plateau, west-central Belize. Actun Chapat contains two ecologically sensitive areas: (1) a large multiple species bat roost, and (2) a subterranean pool containing troglobites and stygobites. The inventory list is a product of sporadic research conducted between 1973 and 2001. Ecological research in this cave system remains incomplete. An intensive systematic ecological survey of Actun Chapat with data collection over multiple seasons using a suite of survey techniques will provide a more complete inventory list. To minimize human disturbance to the ecologically sensitive areas, associated with ecotourism, we recommend limited to no access in the areas identified as "sensitive".

Journal of Cave and Karst Studies

Olivine-liquid relations of lava erupted by Kilauea volcano from 1994 to 1998: Implications for shallow magmatic processes associated with the ongoing east-rift-zone eruption

From 1994 through 1998, the eruption of Kîlauea, in Hawai’i, was dominated by steady-state effusion at Pu‘u ‘Ô‘ô that was briefly disrupted by an eruption 4 km uprift at Nāpau Crater on January 30, 1997. In this paper, I describe the systematic relations of whole-rock, glass, olivine, and olivine-inclusion compositions of lava samples collected throughout this interval. This suite comprises vent samples and tube-contained flows collected at variable distances from the vent. The glass composition of tube lava varies systematically with distance and allows for the “vent-correction” of glass thermometry and olivine–liquid K D as a function of tube-transport distance. Combined olivine–liquid data for vent samples and “vent-corrected” lava-tube samples are used to document pre-eruptive magmatic conditions. K D values determined for matrix glasses and forsterite cores define three types of olivine phenocrysts: type A (in equilibrium with host glass), type B (Mg-rich relative to host glass) and type C (Mg-poor relative to host glass). All three types of olivine have a cognate association with melts that are present within the shallow magmatic plumbing system during this interval. During steady-state eruptive activity, the compositions of whole-rock, glass and most olivine phenocrysts (type A) all vary sympathetically over time and as influenced by changes of magmatic pressure within the summit-rift-zone plumbing system. Type-A olivine is interpreted as having grown during passage from the summit magma-chamber along the east-rift-zone conduit. Type-B olivine (high Fo) is consistent with equilibrium crystallization from bulk-rock compositions and is likely to have grown within the summit magma-chamber. Lower-temperature, fractionated lava was erupted during non-steady-state activity of the Nāpau Crater eruption. Type-A and type-B olivine–liquid relations indicate that this lava is a mixture of rift-stored and summit-derived magmas. Post- Nāpau lava (at Pu‘u ‘Ô‘ô) gradually increases in temperature and MgO content, and contains type-C olivine with complex zoning, indicating magma hybridization associated with the flushing of rift-stored components through the eruption conduit.

Hawaii

Use of spatial statistics and isotopic tracers to measure the influence of arsenical pesticide use on stream sediment chemistry in New England, USA

Arsenical pesticides and herbicides, principally Pb arsenate, Ca arsenate, and Na arsenate with lesser use of other metal-As pesticides, were widely applied on apple, blueberry, and potato crops in New England during the first half of the twentieth century. Agricultural census data for this time period is used to define an agricultural index that identifies areas that are inferred to have used arsenical pesticides extensively. Factor analysis on metal concentrations in 1597 stream sediment samples collected throughout New England, grouped by agricultural-index categories, indicate a positive association of areas with stream sediment sample populations that contain higher As and Pb concentrations than samples from the region as a whole with sample site settings having high agricultural-index values. Population statistics for As and Pb concentrations and factor scores for an As-Pb factor all increase systematically and significantly with increasing agricultural-index intensity in the region, as tested by Kruskal-Wallis analysis. Lead isotope compositions for 16 stream sediments from a range of agricultural-index settings generally overlap the observed variation in rock sulfides and their weathering products; however, sediments collected from high agricultural-index settings have slightly more radiogenic Pb compositions, consistent with an industrial Pb contribution to these samples. Although weathering products from rocks are likely to be the dominant source of As and metals to most of the stream sediment samples collected in the region, the widespread use of arsenical pesticides and herbicides in New England during the early 1900-1960s appears to be a significant anthropogenic source of As and metals to many sediments in agricultural areas in the region and has raised background levels of As in some regions. Elevated concentrations of As in stream sediments are of concern for two reasons. Stream sediments with elevated As concentrations delineate areas with elevated background concentrations of As from both natural rock and anthropogenic sources that may contribute As to groundwater systems used for drinking water supplies. Conversion of agricultural land contaminated with arsenical pesticide residues to residential development may increase the likelihood that humans will be exposed to As. In addition, many stream sediment sites have As concentrations that exceed sediment quality guidelines established for freshwater ecosystems. Thirteen percent of the New England sediment sample sites exceed 9.79 mg/kg As, the threshold effects concentration (TEC), below which harmful effects are unlikely to be observed. Arsenic concentrations exceed 33 mg/kg, the probable effects concentration (PEC), above which harmful effects on sediment-dwelling organisms are expected to occur frequently, at 1.25% of the sediment sample sites. The sample sites that exceed the PEC value occur predominately in agricultural areas that used arsenical pesticides.

Conference Paper

Oblique transfer of extensional strain between basins of the middle Rio Grande rift, New Mexico: Fault kinematic and paleostress constraints

The structural geometry of transfer and accommodation zones that relay strain between extensional domains in rifted crust has been addressed in many studies over the past 30 years. However, details of the kinematics of deformation and related stress changes within these zones have received relatively little attention. In this study we conduct the first-ever systematic, multi-basin fault-slip measurement campaign within the late Cenozoic Rio Grande rift of northern New Mexico to address the mechanisms and causes of extensional strain transfer associated with a broad accommodation zone. Numerous (562) kinematic measurements were collected at fault exposures within and adjacent to the NE-trending Santo Domingo Basin accommodation zone, or relay, which structurally links the N-trending, right-stepping en echelon Albuquerque and Española rift basins. The following observations are made based on these fault measurements and paleostresses computed from them. (1) Compared to the typical northerly striking normal to normal-oblique faults in the rift basins to the north and south, normal-oblique faults are broadly distributed within two merging, NE-trending zones on the northwest and southeast sides of the Santo Domingo Basin. (2) Faults in these zones have greater dispersion of rake values and fault strikes, greater dextral strike-slip components over a wide northerly strike range, and small to moderate clockwise deflections of their tips. (3) Relative-age relations among fault surfaces and slickenlines used to compute reduced stress tensors suggest that far-field, ~E-W–trending σ 3 stress trajectories were perturbed 45° to 90° clockwise into NW to N trends within the Santo Domingo zones. (4) Fault-stratigraphic age relations constrain the stress perturbations to the later stages of rifting, possibly as late as 2.7–1.1 Ma. Our fault observations and previous paleomagnetic evidence of post–2.7 Ma counterclockwise vertical-axis rotations are consistent with increased bulk sinistral-normal oblique shear along the Santo Domingo rift segment in Pliocene and later time. Regional geologic evidence suggests that the width of active rift faulting became increasingly confined to the Santo Domingo Basin and axial parts of the adjoining basins beginning in the late Miocene. We infer that the Santo Domingo clockwise stress perturbations developed coevally with the oblique rift segment mainly due to mechanical interactions of large faults propagating toward each other from the adjoining basins as the rift narrowed. Our results suggest that negligible bulk strike-slip displacement has been accommodated along the north-trending rift during much of its development, but uncertainties in the maximum ages of fault slip do not allow us to fully evaluate and discriminate between earlier models that invoked northward or southward rotation and translation of the Colorado Plateau during early (Miocene) rifting.

New Mexico

Spatial and temporal trends in Potomac River fish abundance linked to species traits

Analysis of species abundance trends can inform an understanding of the underlying mechanisms. We evaluated spatial and temporal trends in fish species abundance in the non-tidal Potomac River (USA) from a dataset comprising 2841 seine-hauls with > 250,000 individual fish records across 10 sites and 43 years (1975-2017). The dataset contained 47 species from 7 taxonomic families, with species richness and abundance dominated by leuciscids, centrarchids, and percids (85% and 95% of the total dataset, respectively). We used linear modeling and bootstrapping techniques to estimate spatial and temporal trends in abundance (CPUE) for 38 species, excluding the rarest taxa (< 30 individuals). Spatial trends in abundance were detected for 22 species (58%), of which 15 were more abundant downstream than upstream and 7 were more abundant upstream than downstream. Temporal trends in abundance were detected for 25 species (66%), of which 15 increased over time and 10 decreased over time. Spatial trends were associated with reproductive life history strategies: egg-attachers and viviparous fishes generally increased in a downstream direction, whereas species with other reproductive modes and relatively short spawning durations (< ~2 months) showed the opposite spatial trend. Temporal trends were associated with reproductive guilds and range area (a surrogate for environmental tolerance): egg-attachers and nest-associates generally increased in abundance over time, whereas broadcast spawners, clean-gravel spawners, and nest-guarders with relatively small range areas (< ~ 1.2 million km2) tended to decrease over time. This study provides an analysis of one of the largest systematic collections of freshwater fishes to our knowledge and provides a framework to evaluate mechanisms underlying observed trends.

Potomac River

Preliminary assessment of channel stability and bed-material transport along Hunter Creek, southwestern Oregon

This preliminary assessment of (1) bed-material transport in the Hunter Creek basin, (2) historical changes in channel condition, and (3) supplementary data needed to inform permitting decisions regarding instream gravel extraction revealed the following: Along the lower 12.4 km (kilometers) of Hunter Creek from its confluence with the Little South Fork Hunter Creek to its mouth, the river has confined and unconfined segments and is predominately alluvial in its lowermost 11 km. This 12.4-km stretch of river can be divided into two geomorphically distinct study reaches based primarily on valley physiography. In the Upper Study Reach (river kilometer [RKM] 12.4-6), the active channel comprises a mixed bed of bedrock, boulders, and smaller grains. The stream is confined in the upper 1.4 km of the reach by a bedrock canyon and in the lower 2.4 km by its valley. In the Lower Study Reach (RKM 6-0), where the area of gravel bars historically was largest, the stream flows over bed material that is predominately alluvial sediments. The channel alternates between confined and unconfined segments. The primary human activities that likely have affected bed-material transport and the extent and area of gravel bars are (1) historical and ongoing aggregate extraction from gravel bars in the study area and (2) timber harvest and associated road construction throughout the basin. These anthropogenic activities likely have varying effects on sediment transport and deposition throughout the study area and over time. Although assessing the relative effects of these anthropogenic activities on sediment dynamics would be challenging, the Hunter Creek basin may serve as a case study for such an assessment because it is mostly free of other alterations to hydrologic and geomorphic processes such as flow regulation, dredging, and other navigation improvements that are common in many Oregon coastal basins. Several datasets are available that may support a more detailed physical assessment of Hunter Creek. The entire study area has been captured in aerial photographs at least once per decade since the 1940s. This temporally rich photograph dataset would support quantitative analyses of changes in channel planform as well as vegetation cover. Light Detection And Ranging (LiDAR) data collected in 2008 would facilitate hydraulic and sediment-transport modeling and characterization of bar elevations throughout most of the study area. Few studies describing channel morphology and sediment transport exist for the Hunter Creek basin. The most detailed study reported channel incision and bank instability as well as the loss of point bars and pools in the lower 3.9 km of Hunter Creek from slightly downstream of its confluence with Yorke Creek to its mouth (EA Engineering, Sci-ence, and Technology, 1998). Repeat channel cross-sections collected from 1994 to 2010 at four bridges indicate that Hunter Creek is dynamic and subject to channel shifting, aggradation, and incision. Despite this dynamism, the channel at three bridge crossings showed little net change in thalweg elevation during this period. However, the channel thalweg aggraded 0.55 m from 2004 to 2008 near the bridge at RKM 3.5. Systematic delineation of gravel bars from aerial photographs collected in 1940, 1965, 2005, and 2009 indicates a 52-percent reduction in the area of bed-material sediment throughout the study area from 1940 to 2009. Net bar loss was greatest in the Lower Study Reach from RKM 1-4 and mainly is associ-ated with the encroachment of vegetation onto upper-bar surfaces lacking apparent vegetation in 1940. Bar-surface material was approximately equal in size to bar-subsurface material at Conn Creek Bar, whereas it was distinctly coarser than the subsurface material at Menasha Bar. Armoring ratios, which indicate the coarseness of the bar surface relative to the bar subsurface, were calculated as 0.97 for Conn Creek Bar and 1.5 for Menasha Bar. These ratios tentatively show that

Oregon