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At least 253 records · Page 14Linked to original sources

Position-specific 13C distributions within propane from experiments and natural gas samples

Site-specific carbon isotope measurements of organic compounds potentially recover information that is lost in a conventional, ‘bulk’ isotopic analysis. Such measurements are useful because isotopically fractionating processes may have distinct effects at different molecular sites, and thermodynamically equilibrated populations of molecules tend to concentrate heavy isotopes in one molecular site versus another. Most recent studies of site-specific 13 C in organics use specialized Nuclear Magnetic Resonance (NMR) techniques or complex chemical degradations prior to mass spectrometric measurements. Herein we present the first application of a new mass spectrometric technique that reconstructs the site-specific carbon isotope composition of propane based on measurements of the 13 C/ 12 C ratios of two or more fragment ions that sample different proportions of the terminal and central carbon sites. We apply this method to propane from laboratory experiments and natural gas samples to explore the relationships between site-specific carbon isotope composition, full-molecular δ 13 C, thermal maturity, and variation in organic matter precursors. Our goal is to advance the understanding of the sources and histories of short-chain alkanes within geologic systems. Our findings suggest that propane varies in its site-specific carbon isotope structure, which is correlated with increasing thermal maturity, first increasing in terminal position δ 13 C and then increasing in both center and terminal position δ 13 C. This pattern is observed in both experimental and natural samples, and is plausibly explained by a combination of site-specific, temperature-dependent isotope effects associated with conversion of different precursor molecules (kerogen, bitumen, and/or oil) to propane, differences in site-specific isotopic contents of those precursors, and possibly distillation of reactive components of those precursors with increasing maturity. We hypothesize that the largest changes in site-specific isotopic content of propane occur when bitumen and/or oil replace kerogen as the dominant precursors. If correct, this phenomenon could have significant utility for understanding gas generation in thermogenic petroleum systems.

Geochimica et Cosmochimica Acta

Large-scale coastal change in the Columbia River littoral cell: an overview

This overview introduces large-scale coastal change in the Columbia River littoral cell (CRLC). Covering 165 km of the southwest Washington and northwest Oregon coasts, the littoral cell is made up of wide low-sloping dissipative beaches, broad coastal dunes and barrier plains, three large estuaries, and is bounded by rocky headlands. The beaches and inner shelf are composed of fine-grained sand from the Columbia River and are exposed to a high-energy winter wave climate. Throughout the Holocene, the CRLC has undergone large fluctuations in shoreline change trends, responding to a variety of coastal change drivers, including changing rates of sea-level rise, infrequent, yet catastrophic, co-seismic subsidence events, a large regional sediment supply, inter-annual climatic fluctuations (El Niño cycles), seasonally varying wave climate, and numerous anthropogenic influences. Human influences on the CRLC include construction of over 200 dams in the Columbia River drainage basin, dredging of navigation channels removing sand to upland sites and offshore deep-water sites, and construction of large inlet jetties at the entrances to the Columbia River and Grays Harbor. The construction of these massive entrance jetties at the end of the 19th century has been the dominant driver of coastal change through most of the littoral cell over the last hundred years. Presently, some beaches in the littoral cell are eroding in response to nearshore sediment deficits resulting from a) ebb-jets of the confined entrances pushing the previously large, shallow ebb-tidal deltas offshore into deeper water, and b) waves dispersing the nearshore delta flanks initially onshore and then alongshore away from the jetties. This overview describes 1) the motivation for developing a system-wide understanding of sediment dynamics in the littoral cell at multiple time and space scales, 2) the formation and approach of the Southwest Washington Coastal Erosion Study, and 3) an introduction to the papers in this special issue.

Washington;Oregon

Introduction to the special issue on the 25 April 2015 Mw 7.8 Gorkha(Nepal) earthquake

On April 25, 2015, a moment magnitude (M w ) 7.8 earthquake struck central Nepal, breaking a section of the broader Himalayan Front that had been largely quiescent in moderate-to-large earthquakes for much of the modern seismological era. Ground shaking associated with the event resulted in a broad distribution of triggered avalanches and landslides. The ensuing aftershock sequence was punctuated by a Mw 7.3 event 17 days after the mainshock. The combined effects of these earthquakes and secondary hazards have led to the Gorkha earthquake becoming the worst natural disaster in Nepal since the 1934 Nepal-Bihar earthquake, causing close to 9000 deaths and severely injuring over 21,000 people ( OCHA, 2015 ). Despite the devastating effects of this earthquake, the convergent margin that hosted it is thought to be capable of much larger ruptures—perhaps as large as Mw 9 ( Feldl and Bilham, 2006 ). The 2015 Gorkha rupture lies just to the west of the 1934 M 8.0–8.4 event ( Sapkota et al., 2013; Bollinger et al., 2014 ). Unlike the 1934 event, which has been documented in paleoseismic trenches along the Himalayan Front (e.g., Sapkota et al., 2013 ), and other large ruptures along the arc (e.g., Lavé et al., 2005; Kumar et al., 2006 ), the 2015 event did not rupture to the surface (e.g., Galetzka et al., 2015 ). As a result, some researchers have suggested that the Gorkha earthquake was not as large, or as damaging, as might have been expected based on our (albeit limited) understanding of historic earthquakes, seismic hazard and risk (e.g., Bilham, 2015; Hough, 2015 ). Important questions surrounding the earthquake and its regional setting thus arise. What were the detailed characteristics of the rupture and the aftershock sequence, and what is the relationship between mainshock slip and subsequent seismicity? Why did this event not rupture to the surface? Was damage less than should have been expected; and if so, why? What role did path effects, such as basin amplification, play? Do details of the earthquake sequence allow us to better understand regional seismotectonics, and in turn, future risk? Discussion of these and other issues has been ongoing since the earthquake; a large body of literature already exists that characterizes details of the earthquake sequence and its effects. This special issue attempts to gather a wide variety of detailed studies that wholly characterize this event to a degree that has not yet been possible. The studies herein provide an improved understanding of the Gorkha earthquake, its impact on the region, and its place in the broader seismotectonic history of the Himalayan Front.

Gorkha

Safety of formalin treatments on warm- and coolwater fish eggs

Formalin is widely used for treating fungal infections of fish eggs in intensive aquaculture operations. The use of formalin in the United States is only allowed on salmonid and esocid eggs unless a special exemption is granted for use on other species. This study was conducted to determine the safety of formalin treatments on eggs of representative warm- and coolwater fish species and data was used to support a request to allow the use of formalin on the eggs of warmwater and additional coolwater fish species. Non-eyed eggs of walleye ( Stizostedion vitreum ), common carp ( Cyprinus carpio ), white sucker ( Catostomus commersoni ), channel catfish ( Ictalurus punctatus ), and lake sturgeon ( Acipenser fulvescens ) were cultured in miniature egg hatching jars and treated for 45 min every-other-day with 1500, 4500, or 7500 μL L -1 formalin up to hatch. For all species tested, the percent hatch was greater in 1500 mu L L-1 treatment groups than in untreated controls. Walleye eggs were the least sensitive species and had a hatch of 87% in the 7500 mu L L-1 treatment. Lake sturgeon were the most sensitive species with a mean hatch of 54% in 1500 mu L L-1 treatments. Adequate margins of safety exist for standard treatments (1500 mu L L-1 for 15 min) on eggs of all species tested except lake sturgeon. Fungal infections drastically reduced or eliminated hatch in most control groups whereas most treated groups were free of infections. This confirms the efficacy of formalin as an fungicide. Published by Elsevier Science B.V.

Aquaculture

Hurricane impact and recovery shoreline change analysis of the Chandeleur Islands, Louisiana, USA: 1855 to 2005

Results from historical (1855-2005) shoreline change analysis of the Chandeleur Islands, Louisiana, demonstrate that tropical cyclone frequency dominates the long-term evolution of this barrier-island arc. The detailed results of this study were published in December 2009 as part of a special issue of Geo-Marine Letters that documents early results from the Northern Gulf of Mexico (NGOM) Ecosystem Change and Hazard Susceptibility Project.

Fact Sheet

Assessment of photographs from wildlife monitoring cameras in Drakes Estero, Point Reyes National Seashore, California

Between 2007 and 2010, National Park Service (NPS) staff at the Point Reyes National Seashore, California, collected over 300,000 photographic images of Drakes Estero from remotely operated wildlife monitoring cameras. The purpose of the systems was to obtain photographic data to help understand possible relationships between anthropogenic activities and Pacific harbor seal ( Phoca vitulina richardsi ) behavior and distribution. The value of the NPS photographs for use in assessing the frequency and impacts of seal disturbance and displacement in Drakes Estero has been debated. In September 2011, the NPS determined that the photographs did not provide meaningful information for development of a Draft Environmental Impact Statement (DEIS) for the Drakes Bay Oyster Company Special Use Permit. Limitations of the photographs included lack of study design, poor photographic quality, inadequate field of view, incomplete estuary coverage, camera obstructions, and weather limitations. The Marine Mammal Commission (MMC) reviewed the scientific data underpinning the Drakes Bay Oyster Company DEIS in November 2011 and recommended further analysis of the NPS photographs for use in characterizing rates and consequences of seal disturbance (Marine Mammal Commission, 2011). In response to that recommendation, the NPS asked the U.S. Geological Survey (USGS) to conduct an independent review of the photographs and render an opinion on the utility of the remote camera data for informing the environmental impact analyses included in the DEIS. In consultation with the NPS, we selected the 2008 photographic dataset for detailed evaluation because it covers a full harbor seal breeding season (March 1 to June 30), provides two fields of view (two cameras were deployed), and represents a time period when cameras were most consistently deployed and maintained. The NPS requested that the photographs be evaluated in absence of other data or information pertaining to seal and human activity in the estuary and that we focus on the extent to which the photographs could be used in understanding the relationship between human activity (including commercial oyster production) and harbor seal disturbance and distribution in the estuary.

California

International impact research and management

To be sustainable, ecotourism requires the protection of natural environments and processes both from development and operation of the tourism infrastructure, and from the activities of ecotourists within protected areas. This book chapter reviews the international literature on the study of visitor or recreation-related resource impacts with special reference to ecotourism. Four case examples are presented to characterize the geographic scope, focus, and principal findings of this recreation ecology literature and its relevance to ecotourism management. Case examples include the Cairngorms National Nature Reserve, Scotland; the Great Barrier Reef, Australia; the Central American tropics; and wildlife viewing in Kenya?s protected areas. Implications for the management of international protected areas and ecotourism resources are discussed.

Book chapter

Assessing snowpack stratigraphy accuracy based on different input data: Insights for operations avalanche forecasting

Avalanche forecasters and snow scientists use physically based snow stratigraphy models to fill spatial and temporal gaps in field-based snow profile observations. These models generate stratigraphy predictions using meteorological input from automated weather stations (AWS) or numerical weather prediction (NWP) models. The choice of input data is often determined by data availability or convenience instead of giving full consideration to the most appropriate source for a particular application. For example, while AWS may provide weather observations that better represent a particular site, they have large up-front costs and require specialized personnel to service and maintain. The goal of this study is to quantify the accuracy of snow stratigraphy produced by the SNOWPACK model driven by different input data, with a particular focus on cost-benefit analysis for operational avalanche forecasting. We generate modeled snow profiles at a field site in the Bridger Range of southwestern Montana, USA, using a) observations from an AWS at the field site and b) NWP output from the NOAA High-Resolution Rapid Refresh (HRRR) model. Validation data consist of a season-long time series of 10 manual snow profiles. We use dynamic time-warping (DTW) to quantify the overall and grain-type categorized similarities between modeled and in-situ observed profiles that are collocated in time and in space. Based on the similarity results, we present a cost-benefit analysis that considers the cost of installing and maintaining an AWS alongside the improved representation of snow depth, grain size, and weak layer types.

Montana

Natural recovery of biological soil crusts after disturbance

Natural recovery of biological soil crusts (biocrusts) is influenced by a number of different parameters, such as climate, soil conditions, the severity of disturbance, and the timing of disturbance relative to the climatic conditions. In recent studies, it has been shown that recovery is often not linear, but a highly dynamic process directly influenced by non-linear external parameters as extraordinary climatic conditions (e.g., particularly dry or wet year). Natural recovery often follows a general succession pattern, starting out with cyanobacteria and algae, which is then followed by lichens and bryophytes at a later stage. However, this general sequence can be altered by parameters like dust deposition, fire effects, and special climatic conditions as in fog deserts and under mesic climates. Recent studies have proposed that under favorable, stable soil conditions, the initial soil-stabilizing cyanobacteria-dominated succession stages may be omitted and moss-dominated biocrusts can develop in the initial phases of biocrust development. During natural recovery of biocrusts, soil properties change, e.g., soil nutrient and organic matter contents increase. Also, silt and clay contents of encrusted soils increase with biocrust maturity, which may be caused by two mechanisms, i.e. entrapment of fine soil particles by biocrusts and the new formation of smaller particles by weathering of the existing substrate.

Book chapter

Introduction to special section: Stress triggers, stress shadows, and implications for seismic hazard

Many aspects of earthquake mechanics remain an enigma as we enter the closing years of the twentieth century. One potential bright spot is the realization that simple calculations of stress changes may explain some earthquake interactions, just as previous and on going studies of stress changes have begun to explain human-induced seismicity. This paper, which introduces the special section “Stress Triggers, Stress Shadows, and Implications for Seismic Hazard,” reviews many published works and presents a compilation of quantitative earthquake interaction studies from a stress change perspective. This synthesis supplies some clues about certain aspects of earthquake mechanics. It also demonstrates that much work remains before we can understand the complete story of how earthquakes work.

Journal of Geophysical Research B: Solid Earth

Geohydrology of Storage Unit III and a combined flow model of the Santa Barbara and foothill ground-water basins, Santa Barbara County, California

The city of Santa Barbara pumps most of its ground water from the Santa Barbara and Foothill ground-water basins. The Santa Barbara basin is subdivided into two storage units: Storage Unit I and Storage Unit III. The Foothill basin and Storage Unit I of the Santa Barbara basin have been studied extensively and ground-water flow models have been developed for them. In this report, the geohydrology of the Santa Barbara ground- water basin is described with a special emphasis on Storage Unit III in the southwestern part of the basin. The purposes of this study were to summarize and evaluate the geohydrology of Storage Unit III and to develop an areawide model of the Santa Barbara and Foothill basins that includes the previously unmodeled Storage Unit III. Storage Unit III is in the southwestern part of the city of Santa Barbara. It is approximately 3.5 miles long and varies in width from about 2,000 feet in the southeast to 4,000 feet in the north-west. Storage Unit III is composed of the Santa Barbara Formation and overlying alluvium. The Santa Barbara Formation (the principal aquifer) consists of Pleistocene and Pliocene(?) unconsolidated marine sand, silt, and clay, and it has a maximum saturated thickness of about 160 feet. The alluvium that overlies the Santa Barbara Formation has a maximum saturated thickness of about 140 feet. The storage unit is bounded areally by faults and low-permeability deposits and is underlain by rocks of Tertiary age. The main sources of recharge to Storage Unit III are seepage from Arroyo Burro and infiltration of precipitation. Most of the recharge occurs in the northwest part of the storage unit, and ground water flows toward the southeast along the unit's long axis. Lesser amounts of recharge may occur as subsurface flow from the Hope Ranch subbasin and as upwelling from the underlying Tertiary rocks. Discharge from Storage Unit III occurs as pumpage, flow to underground drains, underflow through alluvium in the vicinity of Arroyo Burro across the Lavigia Fault, evapotranspiration, and underflow to the Pacific Ocean. The faults that bound Storage Unit III generally are considered to be effective barriers to the flow of ground water. Interbasin ground-water flow occurs where deposits of younger alluvium along stream channels cross faults. Ground-water quality in Storage Unit III deposits varies with location and depth. Upward leakage of poor-quality water from the underlying Tertiary rocks occurs in the storage unit, and such leakage can be influenced by poor well construction or by heavy localized pumping. The highest dissolved-solids concentration (4,710 milligrams per liter) in ground water resulting from this upward leakage is found in the coastal part of the storage unit. The ground-water system was modeled as two horizontal layers. In the Foothill basin and Storage Unit I the layers are separated by a confining bed. The upper layer represents the upper producing zone and the shallow zone near the coast. The lower layer represents the lower producing zone. In general, the faults in the study area were assumed to be no-flow boundaries, except for the offshore fault that forms the southeast boundary; the southeast boundary was simulated as a general-head boundary. The Storage Unit III model was combined with the preexisting Storage Unit I and Foothill basin models, using horizontal flow barriers, to form an areawide model. The areawide model was calibrated by simulating steady-state predevelopment conditions and transient conditions for 1978-92. The nonpumping steady- state simulation was used to verify that the calibrated model yielded physically reasonable results for predevelopment conditions. The calibrated areawide model calculates water levels in Storage Unit III that are within 10 feet of measured water levels at all sites of comparison. In addition, the model adequately simulates water levels in the Storage Unit I and Foothill basin areas. A total of 33,430 acre-feet of water was pumped from the study area during the simulation period. Model results indicate that 2,833 acre-feet came from storage and 5, 332 acre-feet crossed the general-head boundary from the ocean, thus indicating that seawater intrusion could occur. A sensitivity analysis indicates that, in general, the model is most sensitive to changes in transmissivity and total recharge.

California

Aeolian and fluvial processes in dryland regions: The need for integrated studies

Aeolian and fluvial processes play a fundamental role in dryland regions of the world and have important environmental and ecological consequences from local to global scales. Although both processes operate over similar spatial and temporal scales and are likely strongly coupled in many dryland systems, aeolian and fluvial processes have traditionally been studied separately, making it difficult to assess their relative importance in drylands, as well as their potential for synergistic interaction. Land degradation by accelerated wind and water erosion is a major problem throughout the world's drylands, and although recent studies suggest that these processes likely interact across broad spatial and temporal scales to amplify the transport of soil resources from and within drylands, many researchers and land managers continue to view them as separate and unrelated processes. Here, we illustrate how aeolian and fluvial sediment transport is coupled at multiple spatial and temporal scales and highlight the need for these interrelated processes to be studied from a more integrated perspective that crosses traditional disciplinary boundaries. Special attention is given to how the growing threat of climate change and land‐use disturbance will influence linkages between aeolian and fluvial processes in the future. We also present emerging directions for interdisciplinary needs within the aeolian and fluvial research communities that call for better integration across a broad range of traditional disciplines such as ecology, biogeochemistry, agronomy, and soil conservation.

California

Simple, efficient allocation of modelling runs on heterogeneous clusters with MPI

In scientific modelling and computation, the choice of an appropriate method for allocating tasks for parallel processing depends on the computational setting and on the nature of the computation. The allocation of independent but similar computational tasks, such as modelling runs or Monte Carlo trials, among the nodes of a heterogeneous computational cluster is a special case that has not been specifically evaluated previously. A simulation study shows that a method of on-demand (that is, worker-initiated) pulling from a bag of tasks in this case leads to reliably short makespans for computational jobs despite heterogeneity both within and between cluster nodes. A simple reference implementation in the C programming language with the Message Passing Interface (MPI) is provided.

Environmental Modelling and Software

Urbanization and stream ecology: Diverse mechanisms of change

The field of urban stream ecology has evolved rapidly in the last 3 decades, and it now includes natural scientists from numerous disciplines working with social scientists, landscape planners and designers, and land and water managers to address complex, socioecological problems that have manifested in urban landscapes. Over the last decade, stream ecologists have met 3 times at the Symposium on Urbanization and Stream Ecology (SUSE) to discuss current research, identify knowledge gaps, and promote future research collaborations. The papers in this special series on urbanization and stream ecology include both primary research studies and conceptual synthesis papers spurred from discussions at SUSE in May 2014. The themes of the meeting are reflected in the papers in this series emphasizing global differences in mechanisms and responses of stream ecosystems to urbanization and management solutions in diverse urban streams. Our hope is that this series will encourage continued interdisciplinary and collaborative research to increase the global understanding of urban stream ecology toward stream protection and restoration in urban landscapes.

Freshwater Science

Holocene evolution of Apalachicola Bay, Florida

A program of geophysical mapping and vibracoring was conducted in 2007 to better understand the geologic evolution of Apalachicola Bay and its response to sea-level rise. A detailed geologic history could help better understand how this bay may respond to both short-term (for example, storm surge) and long-term sea-level rise. The results of this study were published (Osterman and others, 2009) as part of a special issue of Geo-Marine Letters that documents early results from the Northern Gulf of Mexico (NGOM) Ecosystem Change and Hazard Susceptibility Project.

Florida

Records of water levels in unconsolidated deposits in eastern South Dakota

This report, prepared in cooperation with the South Dakota Department of Water and Natural Resources and the South Dakota Geological Survey, contains a tabulation of water levels measured by the U.S. Geological Survey (USGS) and State agencies. Wells owned by the U.S. Bureau of Reclamation (USBR) were measured as part of the Oahe Irrigation Project. Wells owned by the South Dakota Department of Water and Natural Resources, Water Rights Division (SDWR) were measured as part of a special program to monitor water levels in aquifers after a county study was completed, and contains measurements made by both USGS and by the SDWR. Water-level measurements that were made by the USGS were made with a weighted steel tape and are reported to the nearest .01 foot. Measurements made by SDWR were made with a cloth tape and popper and are reported to the nearest 0.1 foot. Measurements that are reported each fifth day were taken from a recorder chart and are the water levels at noon on that day. Data from digital recorders are reported daily and are the water levels at noon. All water-level data are given in feet below land surface datum. For readers who may prefer to use metric units rather than inch-pound units, the term feet may be converted to meters by multiplying by 0.3048. The data in this report are presented alphabetically by county and within counties by ascending local well number. Information about each well is contained in table 1 preceeding the water-level measurements (table 2). The short name or number above the altitude in table 2 is used as an easy office reference or in the case of wells owned by SDWR, it is their well identification number.

South Dakota

Demographic characteristics of molting black brant near Teshekpuk Lake, Alaska

Molting Brant in the Teshekpuk Lake Special Area (TLSA) on the Arctic Coastal Plain of Alaska were studied from 1987 to 1992 using capture-mark-recapture techniques to determine origin, age and sex composition, return rates and site fidelity. Brant originated from 10 nesting colonies in Canada and Alaska. The captured birds were 76% adults and 57% males. Ninety-one percent of known-age recaptures were

Journal of Field Ornithology

General summary of effects of the drought in the Southwest: Chapter H in Drought in the Southwest, 1942-56

This final chapter of Prof. Paper 372 summarizes the results of a comprehensive study of drought in the Southwest, as reported in greater detail in chapters A-G. Chapter A presents some of the published and recorded conclusions concerning the basic meteorological factors that influence the patterns of precipitation in the Southwest, and describes the characteristics of the drought of 1942-56 as indicated by meteorologic records. Chapter B is a general discussion of the effects of that drought as shown by hydrologic data. Subsequent chapters (C-G) provide more detailed evaluations of the effects of drought in individual river basins and specific localities. The effects of drought are discriminated from water shortages due to other causes wherever possible. For this summary, the hydrologic units in the Southwest are classified according to type, and examples of each type are cited, but no attempt is made to summarize the effects of drought in every hydrologic unit in the Southwest, as was described in preceding parts of this report. The comprehensive study of drought has required analysis of the longest records available concerning all aspects of the water resources, with special attention to the 1942-56 period to ascertain similarities with earlier drought periods and contrasts with periods of greater precipitation. Despite the intended emphasis on drought, the studies have been almost as broad in scope as general studies of interrelations of the hydrologic cycle.

Southwestern United States