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At least 361 records · Page 20Linked to original sources

Water temperature in the Lower Quinault River, Olympic Peninsula, Washington, June 2016 - August 2017

The availability of cold-water refugia during summertime river-water temperature maximums is important for cold-water fish species including Endangered Species Act listed salmonids since water temperature influences metabolism, growth, and phenology. The U.S. Geological Survey monitored water temperature at 10 sites approximately evenly-spaced along the lower Quinault River on the Olympic Peninsula, Washington, from June 2016 to August 2017 to assess thermal conditions in the lower river. During this 15-month period, there was a near-continuous, 15-minute record at 7 of the sites; complications with thermistors at 3 of the 10 sites limited the temperature dataset to include only summer 2016. In addition, near-streambed and water-surface temperatures were measured along the lower river during a longitudinal survey from August 9 to 12, 2016, during summer baseflow conditions to potentially identify cold or cooler water regions. Measured August water temperatures were warmer than model-predicted August temperatures for the period, 1993–2011. Summertime (July–September) daily minimum temperatures exceeded established salmon habitat threshold temperatures of 16 °C (core summer season) and 17.5 °C (spawning, rearing, and migration periods) for 122 and 65 days, respectively, on average at all monitoring sites with a complete 15-month record that included two summer baseflow periods. Summertime water temperatures at those sites were generally cooler in the downstream direction along the lower Quinault River but became warmer in the downstream direction during the rest of the year, suggesting the river was influenced by diffuse discharge of groundwater with a relatively constant annual temperature. The August longitudinal temperature survey did not detect cold-water refugia (features more than 3 °C cooler than ambient stream water), although it did identify 11 cooler water features (CWF) approximately 100–800 m in length that were 0.1 °C cooler than adjacent upstream or downstream water. The CWFs appeared to correspond to local geomorphic conditions. In August 2017, 10 of the 11 CWFs were field surveyed, and 5 appeared to be influenced by shading from solar radiation by riparian vegetation or steep cliff banks. In addition, field observations suggest that finer scale (that is, less than 10 m) CWFs, specifically individual side pools associated with large, in-channel wood, increased in frequency in the downstream direction along the lower Quinault River. However, this study did not quantify the density or water temperatures associated with these fine-scale features that may serve as cool- or cold-water pockets or patches.

Washington

Estimation of evapotranspiration in the Rainbow Springs and Silver Springs basins in North-Central Florida

Estimates of evapotranspiration (ET) for the Rainbow and Silver Springs ground-water basins in north-central Florida were determined using a regional water-~budget approach and compared to estimates computed using a modified Priestley-Taylor (PT) model calibrated with eddy-correlation data. Eddy-correlation measurements of latent 0~E) and sensible (H) heat flux were made monthly for a few days at a time, and the PT model was used to estimate 3,E between times of measurement during the 1994 water year. A water-budget analysis for the two-basin area indicated that over a 30-year period (196594) annual rainfall was 51.7 inches. Of the annual rainfall, ET accounted for about 37.9 inches; springflow accounted for 13.1 inches; and the remaining 0.7 inch was accounted for by stream-flow, by ground-water withdrawals from the Floridan aquifer system, and by net change in storage. For the same 30-year period, the annual estimate of ET for the Silver Springs basin was 37.6 inches and was 38.5 inches for the Rainbow Springs basin. Wet- and dry-season estimates of ET for each basin averaged between nearly 19 inches and 20 inches, indicating that like rainfall, ET rates during the 4-month wet season were about twice the ET rates during the 8-month dry season. Wet-season estimates of ET for the Rainbow Springs and Silver Springs basins decreased 2.7 inches, and 3.4 inches, respectively, over the 30-year period; whereas, dry-season estimates for the basins decreased about 0.4 inch and1.0 inch, respectively, over the 30-year period. This decrease probably is related to the general decrease in annual rainfall and reduction in net radiation over the basins during the 30-year period. ET rates computed using the modified PT model were compared to rates computed from the water budget for the 1994 water year. Annual ET, computed using the PT model, was 32.0 inches, nearly equal to the ET water-budget estimate of 31.7 inches computed for the Rainbow Springs and Silver Springs basins. Modeled ET rates for 1994 ranged from 14.4 inches per year in January to 51.6 inches per year in May. Water-budget ET rates for 1994 ranged from 12.0 inches per year in March to 61.2 inches per year in July. Potential evapotranspiration rates for 1994 averaged 46.8 inches per year and ranged from 21.6 inches per year in January to 74.4 inches per year in May. Lake evaporation rates averaged 47.1 inches per year and ranged from 18.0 inches per year in January to 72.0 inches per year in May 1994.

Water-Resources Investigations Report

Estimates of ground-water recharge rates for two small basins in central Nevada

Estimates of ground-water recharge rates developed from hydrologic modeling studies are presented for 3-Springs and East Stewart basins. two small basins (analog sites) located in central Nevada. The analog-site studies were conducted to aid in the estimation of recharge to the paleohydrologic regime associated with ground water in the vicinity of Yucca Mountain under wetter climatic conditions. The two analog sites are located to the north and at higher elevations than Yucca Mountain, and the prevailing (current) climatic conditions at these sites is thought to be representative of the possible range of paleoclimatic conditions in the general area of Yucca Mountain during the Quaternary. Two independent modeling approaches were conducted at each of the analog sites using observed hydrologic data on precipitation, temperature, solar radiation stream discharge, and chloride-ion water chemistry for a 6-year study period (October 1986 through September 1992). Both models quantify the hydrologic water-balance equation and yield estimates of ground-water recharge, given appropriate input data. The first model uses a traditional approach to quantify watershed hydrology through a precipitation-runoff modeling system that accounts for the spatial variability of hydrologic inputs, processes, and responses (outputs) using a dailycomputational time step. The second model is based on the conservative nature of the dissolved chloride ion in selected hydrologic environments, and its use as a natural tracer allows the computation of acoupled, water and chloride-ion, mass-balance system of equations to estimate available water (sum ofsurface runoff and groundwater recharge). Results of the modeling approaches support the conclusion that reasonable estimates of average-annual recharge to ground water range from about 1 to 3 centimeters per year for 3-Springs basin (the drier site), and from about 30 to 32 centimeters per year for East Stewart basin (the wetter site). The most reliable results are those derived from a reduced form of the chloride-ion model because they reflect integrated, basinwide processes in terms of only three measured variables: precipitation amount, precipitation chemistry, and streamflow chemistry.

Nevada

Sources of aerosol nitrate to the Gulf of Aqaba: Evidence from δ15N and δ18O of nitrate and trace metal chemistry

The nitrogen (N) and oxygen (O) isotopic composition (δ 15 N and δ 18 O) of water soluble aerosol nitrate was measured in aerosol samples collected in Eilat, Israel, from August 2003 to November 2004. During this period δ 15 N values ranged from − 6.9‰ to + 1.9‰ and δ 18 O from + 65.1‰ to + 84.9‰ and exhibited strong seasonal variability with higher average δ 15 N values observed in the summer and higher δ 18 O values in the winter. Nitrate isotopic composition was compared with bulk chemical composition and extractable ion and trace metals on co-collected samples linking nitrate isotopic composition to various sources of aerosols to this region. Atmospheric processes impacting the isotopic signatures of nitrate were also considered. Based on back trajectory analyses, the majority of NO 3 − came from air masses originating over the Mediterranean Sea (34%), Western Europe (20%) and the local Negev desert (19%), which contain a larger anthropogenic imprint compared to southern and eastern air masses which are dominated by mineral dust. The potential role of reactive mineral dust aerosols as a regulator of NO 3 − isotopic composition is considered; however, based on factor analysis, neither δ 15 N nor δ 18 O were associated with mineral dust components (such as Fe or Al), but rather with anthropogenic indicators such as Cu, Cd, P and Pb. Seasonality in primary NO x cycling reactions driven by seasonal changes in solar radiation, relative humidity and temperature also influence the observed isotopic signatures. The isotope data, together with trace element analysis, suggests that seasonal variations in both δ 15 N NO3 and δ 18 O NO3 are related to both NO x source and transport processes as well as NO x chemical reactions in the atmosphere. The flux-weighted δ 15 N of aerosol NO 3 − in this area averaged − 2.6‰ making aerosol deposition a substantial contributor of low δ 15 N nitrogen to the oligotrophic waters of the Gulf of Aqaba. Thus, while the flux of atmospheric N to oligotrophic marine systems is smaller than the upward flux of NO 3 − from deep water, it nonetheless represents an important source of new N having a low δ 15 N. Further, if this low δ 15 N signature is not considered, it could interfere with N-fixation estimates based on isotopic composition of dissolved nitrate or particulate organic nitrogen. Thus, atmospheric deposition should be constrained for accurate estimates of marine N-fixation when based on δ 15 N in the ocean. Indeed, in the Gulf of Aqaba, low upper water δ 15 N NO3 values could be related to inputs of atmospheric NO 3 − as well as N-fixation.

Gulf of Aqaba, Eliat

Eutrophication potential of Payette Lake, Idaho

Payette Lake was studied during water years 1995-96 to determine the 20.5-square-kilometer lake's assimilative capacity for nutrients and, thus, its eutrophication potential. The study included quantification of hydrologic and nutrient budgets, characterization of water quality in the limnetic and littoral zones, development of an empirical nutrient load/lake response model, and estimation of the limnological effects of a large-scale forest fire in the lake's 373-square-kilometer watershed during the autumn of 1994. Streamflow from the North Fork Payette River, the lake's primary tributary, delivered about 73 percent of the lake's inflow over the 2 years. Outflow from the lake, measured since 1908, was 128 and 148 percent of the long-term average in 1995 and 1996, respectively. The larger volumes of outflow reduced the long-term average water- residence time of 2.35 years to 1.84 and 1.42 years for 1995 and 1996, respectively. The lake retained 54 percent of its 1995-96 influent load of nitrogen and 79 percent of its influent load of phosphorus. The North Fork Payette River contributed an average of 69.4 percent of the lake's nitrogen load and 28.2 percent of its phosphorus load. The 1994 forest fires substantially increased the loads of nitrogen and phosphorus delivered to the lake; however, only nitrogen concentrations were noticeably increased in the lake. Payette Lake was classified as oligotrophic on the basis of annual geometric mean concentrations, in micrograms per liter, of total phosphorus (4.7), total nitrogen (225), and chlorophyll- a (1.3) during 1995-96. Secchi-disc transparencies ranged from 2.3 to 8.0 meters, indicative of mesotrophic conditions. Median ratios of dissolved inorganic nitrogen to dissolved orthophosphorus ranged from 38 to 254, thereby indicating phosphorus limitation of phytoplankton growth. Phytoplankton populations were taxonomically dominated by diatoms; blue-green algae were rare. One diatom, Tabellaria fenestrata , contributed 52 percent of the biovolume. Within the littoral zone, median periphyton production, normalized to photosynthetically active radiation input, ranged from 0.0007 to 0.02 milligrams of chlorophyll- a per square meter per Einstein, a difference of 28.6 times. Multiple linear regression analysis failed to detect any significant relation between periphyton production and various indices of nearshore development. Nine genera of aquatic macrophytes were identified, including Eurasian milfoil ( Myriophyllum spicatum var. spicatum ), which is considered a nuisance aquatic plant. Despite its oligotrophy, Payette Lake had substantial dissolved-oxygen deficits in 1995-96, which led to 4-month periods of anoxia in the near-bottom waters of its southwest basin. The hypolimnetic dissolved-oxygen deficit was much larger than that predicted by the nutrient load/lake response model. The southwest basin's propensity for developing anoxia was related to the lengthy water-residence time and incomplete water-column circulation and reaeration during the spring and autumn, coupled with a long-term accumulation of oxygen- demanding organic matter produced within the lake or delivered by its watershed.

Idaho

An empirical Green’s function approach for isolating directivity effects in earthquake ground-motion amplitudes

In this study, we apply an empirical Green’s function (eGf) method within a ground‐motion modeling framework to mitigate trade‐offs between source, path, and site effects. Many physical processes contribute to spatial variations in observed ground motions, including earthquake radiation pattern, directivity, variable path attenuation, and site effects. Current nonergodic ground‐motion models use spatially varying coefficients for path and site effects, but they do not address trade‐offs with complex earthquake source effects. To quantify the influence of directivity on ground‐motion amplitudes, we use records from multiple smaller earthquakes with epicenters near that of a larger event. We use these small magnitude events as eGfs and estimate repeatable path and site effects at individual stations, assuming that the average adjustments are not controlled by directivity. We adjust residuals from the larger earthquake using the eGf terms, isolating effects related to the rupture. This method clearly enhances the observed broadband directivity observed in the 2022 M 5.1 and 2007 M 5.4 Alum Rock earthquake ground motions, reinforcing the conclusion that their ruptures were unilateral. For the 2004 M 6.0 Parkfield earthquake, we find a bilateral rupture model better fits the data because variations in rupture velocity, slip rate, and slip distribution seem to have a stronger effect on the ground motions than rupture direction alone. Applying eGf adjustments reduces the standard deviation of the rupture models over the three earthquakes by 32% on average and by up to 57% for the 2022 Alum Rock earthquake, confirming we have effectively removed repeatable effects related to the wave propagation path and site response. We propose a novel measure of the frequency‐dependent directivity amplification strength as the reduction in ground‐motion residual variability gained by fitting a directivity model; for the three earthquakes considered, this parameter varies between 25% and 75%, indicating that directivity can strongly influence ground motions and should be considered in ground‐motion modeling.

California

Dual nitrate isotopes in dry deposition: Utility for partitioning NOx source contributions to landscape nitrogen deposition

Dry deposition is a major component of total atmospheric nitrogen deposition and thus an important source of bioavailable nitrogen to ecosystems. However, relative to wet deposition, less is known regarding the sources and spatial variability of dry deposition. This is in part due to difficulty in measuring dry deposition and associated deposition velocities. Passive sampling techniques offer potential for improving our understanding of the spatial distribution and sources of gaseous and aerosol N species, referred to here as dry deposition. We report dual nitrate isotopic composition ( δ 15 N and δ 18 O) in actively collected dry and wet deposition across the high‐deposition region of Ohio, New York, and Pennsylvania. We also present results from initial tests to examine the efficacy of using passive nitric acid collectors as a collection medium for isotopic analysis at a site in New York. Isotopic values in actively collected dry deposition, including particulate nitrate and gaseous nitric acid, are compared with those in wet nitrate deposition and surrounding NO x emission sources. δ 15 N values in dry and wet fractions are highest at the westernmost sites and lowest at the easternmost sites, and stationary source NO x emissions (e.g., power plants and incinerators) appear to be the primary control on δ 15 N spatial variability. In contrast, δ 18 O values show a less consistent spatial pattern in dry deposition. Both δ 15 N and δ 18 O show strong seasonality, with higher values in winter than summer. Seasonal variations in stationary source NO x emissions appear to be the most likely explanation for seasonal variations in δ 15 N, whereas seasonal variations in air temperature and solar radiation indicate variable chemical oxidation pathways control δ 18 O patterns. Additionally, we demonstrate the utility of passive samplers for collecting the nitric acid (HNO 3 ) component of dry deposition suitable for isotopic analysis. We observe slight differences in δ 15 N‐HNO 3 values between simultaneous samples collected actively and passively (0.6‰). However, we observe a larger offset in δ 18 O values between actively and passively collected samples; the causes for this offset warrant further investigation. Nonetheless, passive sample collection represents a significant cost savings over active sampling techniques and could allow a more extensive understanding of patterns of dry deposition and associated insights to nitrogen sources across landscapes.

Journal of Geophysical Research: Biogeosciences

Review of revised Klamath River Total Maximum Daily Load models from Link River Dam to Keno Dam, Oregon

Flow and water-quality models are being used to support the development of Total Maximum Daily Load (TMDL) plans for the Klamath River downstream of Upper Klamath Lake (UKL) in south-central Oregon. For riverine reaches, the RMA-2 and RMA-11 models were used, whereas the CE-QUAL-W2 model was used to simulate pooled reaches. The U.S. Geological Survey (USGS) was asked to review the most upstream of these models, from Link River Dam at the outlet of UKL downstream through the first pooled reach of the Klamath River from Lake Ewauna to Keno Dam. Previous versions of these models were reviewed in 2009 by USGS. Since that time, important revisions were made to correct several problems and address other issues. This review documents an assessment of the revised models, with emphasis on the model revisions and any remaining issues. The primary focus of this review is the 19.7-mile Lake Ewauna to Keno Dam reach of the Klamath River that was simulated with the CE-QUAL-W2 model. Water spends far more time in the Lake Ewauna to Keno Dam reach than in the 1-mile Link River reach that connects UKL to the Klamath River, and most of the critical reactions affecting water quality upstream of Keno Dam occur in that pooled reach. This model review includes assessments of years 2000 and 2002 current conditions scenarios, which were used to calibrate the model, as well as a natural conditions scenario that was used as the reference condition for the TMDL and was based on the 2000 flow conditions. The natural conditions scenario included the removal of Keno Dam, restoration of the Keno reef (a shallow spot that was removed when the dam was built), removal of all point-source inputs, and derivation of upstream boundary water-quality inputs from a previously developed UKL TMDL model. This review examined the details of the models, including model algorithms, parameter values, and boundary conditions; the review did not assess the draft Klamath River TMDL or the TMDL allocations. Attention to the details of a model is one of the best ways to identify potential problems, correct them if possible, and begin to assess the magnitude of potential model errors and uncertainty. Model users need to determine the level of acceptable uncertainty associated with their objectives, identify all sources of potential uncertainty (model uncertainty, data uncertainty, etc.), and assess their approach and results accordingly. In the draft Klamath River TMDL, the Oregon Department of Environmental Quality identified the upstream boundary conditions as the largest source of uncertainty for both the current and natural conditions scenarios, not the model algorithms or choice of model parameters. We agree that the upstream boundary conditions are one of the largest, if not the largest, source of model uncertainty; therefore, the derivation of upstream boundary conditions may be more important to the TMDL than some other model-related issues identified in this review. The revised models contain a number of changes, some of which were done to solve small problems and are largely inconsequential to model results, but others of which are important and affect model predictions of instream concentrations. A consistent version of the model is now applied to all scenarios, and an error in the source code was corrected that had inadvertently discarded 20 percent of the incoming solar radiation in the original model. The baseline light-extinction coefficient for water was decreased and set to a consistent and defensible value across all models of reservoir reaches. Inconsistencies among the values of certain parameters in the original models, such as the ammonia nitrification rate and the decomposition rates of organic matter, have been eliminated, although the reasoning behind the final selections was not documented. The dependence of the rate of sediment oxygen demand (SOD) on temperature was modified such that the SOD rate was substantially decreased at temperatures less than 20°C, causing the model to predict higher dissolved oxygen (DO) concentrations in spring, autumn, and winter. Although that change to the temperature dependence function was done to make the function more similar to the model’s default, this change was not accompanied by any documentation of recalibration or sensitivity exercises. The maximum SOD rate for the 2002 current conditions scenario was decreased from 3.0 grams per square meter per day (g/m 2 /d) in the original model to 2.0 g/m 2 /d in the revised model, a considerable adjustment that appears to have been needed to offset effects of a change to another variable (O2LIM) that would have resulted in a substantial increase in the effective SOD rate for 2002. A 50-percent decrease in the SOD rate over a 2-year period, however, is not likely to be mirrored by field measurements, so this change may be compensating for some process that is not represented correctly in the DO budget for the current conditions scenarios. Several important changes were made to the natural conditions scenario. First, the elevation of the Keno reef was corrected; the elevation specified in the original model was 1 foot too high, which affected the volume of the pooled reach and the travel time through it. The most important changes to this scenario were to the upstream boundary inputs of organic matter and algae, which affect incoming fluxes of nitrogen and phosphorus. Algal biomass inputs were increased by approximately 60 percent during summer because of a change in the way those inputs were derived from results of the UKL TMDL model. Non-algal organic matter inputs were decreased, particularly in summer to correct a problem attributed to double-counting of phosphorus in the original inputs. The distribution of non-algal organic matter was changed from 20 percent dissolved in the original model to 90 percent dissolved in the revised model in response to review comments and published data. The overall sum of algal biomass and non-living organic matter was decreased, which resulted in lower inputs of total phosphorus and nitrogen. Total phosphorus inputs were less than 0.03 mg/L, and although the inputs were derived from selected results of the UKL TMDL model, these concentrations seem too low to be representative of a historically eutrophic system surrounded by extensive wetlands, peat soils, and a groundwater system high in phosphorus. The draft TMDL states that the upstream boundary conditions are the greatest source of uncertainty, greater than any uncertainty associated with the models. Efforts to improve existing models of algal growth and nutrient cycling in UKL, therefore, would provide a substantial benefit to downstream modeling efforts on the Klamath River. Although many improvements were made in revising the Klamath River TMDL models, some issues and uncertainties remain. Several errors in the model source code remain, but do not affect model results for this application as long as certain options and rates are not changed; future users of these models should be aware of these issues. Although the distribution of dissolved and particulate organic matter was modified for the natural conditions scenario, that distribution was not changed for the current conditions scenarios. Recent data on that distribution and the likely rates of organic matter decomposition could be used to improve these models in the future. Nitrate predictions at Keno (Highway 66) still are too high for the current conditions scenarios; future efforts should re-evaluate the model’s denitrification rates and the release rate of ammonia from anoxic sediments. Possibly the most important of the remaining issues are tied to the two-state (healthy/unhealthy) hypothesis for the algae population that was coded into the model. Some of the rates and conversion functions could be refined to make them more acceptable; currently, the published literature does not support the concept of moderately low dissolved-oxygen concentrations as a stressor of algae in the ranges used by the model. More research is needed before these algorithms can be truly tested. The algorithms currently appear to help the model fit the patterns in the available data, and that is useful and perhaps sufficient for some purposes, but those algorithms are not truly predictive or reliable for certain purposes until they can be tested through well-designed experiments and research. In summary, the TMDL models used to simulate Link and Klamath Rivers from Link River Dam to Keno Dam were revised to fix several problems and address various issues. The resulting models are an improvement over those that were reviewed by USGS in 2009, and represent a useful advance in the simulation of a complex system that is difficult to model. However, several issues remain that cause increased uncertainty in the model results. Depending on the objectives of the modeling, now or in the future, these remaining issues could be more or less important. For the Klamath River TMDL, the upstream boundary conditions may be a larger source of uncertainty than the concerns with model algorithms and model parameters identified in this review. Efforts to re-evaluate the available models of algal growth and nutrient cycling in UKL would be highly beneficial to downstream modeling efforts in the Klamath River.

Oregon;California

Modeling hydrodynamics and heat transport in Upper Klamath Lake, Oregon, and implications for water quality

The three-dimensional numerical model UnTRIM was used to model hydrodynamics and heat transport in Upper Klamath Lake, Oregon, between mid-June and mid-September in 2005 and between mid-May and mid-October in 2006. Data from as many as six meteorological stations were used to generate a spatially interpolated wind field to use as a forcing function. Solar radiation, air temperature, and relative humidity data all were available at one or more sites. In general, because the available data for all inflows and outflows did not adequately close the water budget as calculated from lake elevation and stage-capacity information, a residual inflow or outflow was used to assure closure of the water budget. Data used for calibration in 2005 included lake elevation at 3 water-level gages around the lake, water currents at 5 Acoustic Doppler Current Profiler (ADCP) sites, and temperature at 16 water-quality monitoring locations. The calibrated model accurately simulated the fluctuations of the surface of the lake caused by daily wind patterns. The use of a spatially variable surface wind interpolated from two sites on the lake and four sites on the shoreline generally resulted in more accurate simulation of the currents than the use of a spatially invariant surface wind as observed at only one site on the lake. The simulation of currents was most accurate at the deepest site (ADCP1, where the velocities were highest) using a spatially variable surface wind; the mean error (ME) and root mean square error (RMSE) for the depth-averaged speed over a 37-day simulation from July 26 to August 31, 2005, were 0.50 centimeter per second (cm/s) and 3.08 cm/s, respectively. Simulated currents at the remaining sites were less accurate and, in general, underestimated the measured currents. The maximum errors in simulated currents were at a site near the southern end of the trench at the mouth of Howard Bay (ADCP7), where the ME and RMSE in the depth-averaged speed were 3.02 and 4.38 cm/s, respectively. The range in ME of the temperature simulations over the same period was –0.94 to 0.73 degrees Celsius (°C), and the RMSE ranged from 0.43 to 1.12°C. The model adequately simulated periods of stratification in the deep trench when complete mixing did not occur for several days at a time. The model was validated using boundary conditions and forcing functions from 2006 without changing any calibration parameters. A spatially variable wind was used. Data for the model validation periods in 2006 included lake elevation at 4 gages around the lake, currents collected at 2 ADCP sites, and temperature collected at 21 water-quality monitoring locations. Errors generally were larger than in 2005. ME and RMSE in the simulated velocity at ADCP1 were 2.30 cm/s and 3.88 cm/s, respectively, for the same 37-day simulation over which errors were computed for 2005. The ME in temperature over the same period ranged from –0.56 to 1.5°C and the RMSE ranged from 0.41 to 1.86°C. Numerical experiments with conservative tracers were used to demonstrate the prevailing clockwise circulation patterns in the lake, and to show the influence of water from the deep trench located along the western shoreline of the lake on fish habitat in the northern part of the lake. Because water exiting the trench is split into two pathways, the numerical experiments indicate that bottom water from the trench has a stronger influence on water quality in the northern part of the lake, and surface water from the trench has a stronger influence on the southern part of the lake. This may be part of the explanation for why episodes of low dissolved oxygen tend to be more severe in the northern than in the southern part of the lake.

Oregon

Simulation of water available for runoff in clearcut forest openings during rain-on-snow events in the western Cascade Range of Oregon and Washington

Rain-on-snow events are common on mountain slopes within the transient-snow zone of the Pacific Northwest. These events make more water available for runoff than does precipitation alone by melting the snowpack and by adding a small amount of condensate to the snowpack. In forest openings (such as those resulting from clearcut logging), the amount of snow that accumulates and the turbulent- energy input to the snowpack are greater than below forest stands. Both factors are believed to contribute to a greater amount of water available for runoff during rain-on-snow events in forest openings than forest stands. Because increased water available for runoff may lead to increased downstream flooding and erosion, knowledge of the amount of snowmelt that can occur during rain on snow and the processes that control snowmelt in forest openings is useful when making land-use decisions. Snow accumulation and melt were simulated for clearcut conditions only, using an enery- balance approach that accounts for the most important energy and mass exchanges between a snowpack and its environment. Meteorological measurements provided the input for the simulations. Snow accumulation and melt were not simulated in forest stands because interception of precipitation processes are too complex to simulate with a numerical model without making simplifying assumptions. Such a model, however, would need to be extensively tested against representative observations, which were not available for this study. Snowmelt simulated during three rain-on-snow events (measured in a previous study in a clearcut in the transient-snow zone of the H.J. Andrews Experimental Forest in Oregon) demonstrated that melt generation is most sensitive to turbulent- energy exchanges between the air and the snowpack surface. As a result, the most important climate variable that controls snowmelt is wind speed. Air temperature, however, is a significant variable also. The wind speeds were light, with a maximum of 3.3 meters per second during one event and average wind speeds for all three events ranging from 1.7 to 2.1 meters per second. For observed and estimated conditions, the average simulated snowmelt ranged from 0.2 to 0.8 millimeter liquid water per hour, and turbulent-energy exchange provided 51 percent of the energy that led to snowmelt during the largest of the three rain-on-snow events. When wind speeds were multiplied by a factor of 4, the simulated snowmelt ranged from 1.0 to 2.5 millimeters per hour. Similarly, when wind speeds were multiplied by a factor of 6, the simulated snowmelt ranged from 1.6 to 3.7 millimeters per hour. Turbulent-energy exchange provided a dominant 88 and 92 percent of the energy input to the snowpack during the largest rain-on-snow event when average wind speeds were multiplied by factors of 4 and 6, respectively. During the same event, the contribution to melt by the sum of net solar and net thermal radiation (net all-wave radiation) was roughly equal to the contribution of sensible energy carried by the precipitation itself (advective heat). Estimates of snowmelt resulting from rain on snow for climate conditions other than those observed and estimated in the simulated plot-scale data were expanded by simulating snowmelt for 24-hour presumed rain-on-snow events extracted from the reconstructed, long-term historical climate records for Cedar Lake and Snoqualmie Pass National Weather Service stations in Washington State. The selected events exceeded 75 millimeters of precipitation in 24 hours. When clearcut conditions were assumed to be identical to those at the H.J. Andrews Experimental Forest site and a ripe snowpack that never completely melted was assumed to be available, simulated 24-hour snowmelt ranged from 4.2 to 47.0 millimeters (0.2 to 2.0 millimeters per hour) for low wind speeds (1.5 meters per second) and from 10.3 to 178.8 millimeters (0.4 to 7.5 millimeters per hour) for high wind speeds (8.2 meters per second). The ranges in

Water-Resources Investigations Report

Using simulated GEDI waveforms to evaluate the effects of beam sensitivity and terrain slope on GEDI L2A relative height metrics over the Brazilian Amazon Forest

The vertical structure of forests provides important parameters for estimating aboveground biomass (AGB) and it can be measured by LiDAR sensors. The Global Ecosystem Dynamics Investigation (GEDI) full-waveform LiDAR sensor collects data systematically over the Earth’s surface from the International Space Station. Since GEDI became operational, it has collected billions of ~25 m diameter footprints. This massive dataset has been used to create higher level gridded and non-grided products. However, GEDI’s ~25 m footprints can be subject to errors associated with effects of geolocation, terrain slope, and beam sensitivity, among others, which are likely transferred to the downstream products. This study aims to (1) evaluate the effect of beam sensitivity and terrain slope on the accuracy of relative heights (RH) of GEDI product L2A version 2 through comparison with discrete-return airborne LiDAR data collected over transects in the Brazilian Amazon Forest biome, (2) assess GEDI’s geolocation uncertainty and investigate its combined effects with beam sensitivity and terrain slope, and (3) re-evaluate beam sensitivity and terrain slope effects on the GEDI L2A RHs using footprints that were geolocation-adjusted through a simple novel approach. The analysis separates GEDI footprints by acquisition time, i.e., daytime, nighttime, and combined (all-data). The discrete-return airborne LiDAR point clouds are used to derive terrain slope within the GEDI footprints, and to simulate GEDI waveforms and derive RHs comparable to the GEDI L2A product. Results indicate that terrain slope only causes significant effects on GEDI data collected during daytime because solar radiation affects waveform signal-to-noise ratio. Beam sensitivity causes significant effects on nighttime and all-data GEDI L2A RHs. If geolocation uncertainty is considered, the effects of beam sensitivity and terrain slope have just minor changes. Geolocation-adjusted data continue showing significant effects on nighttime and all-data RH differences caused by beam sensitivity but produce unbiased results. This study improves the understanding of how beam sensitivity, terrain slope and their combined effect with geolocation uncertainty may affect the GEDI L2A RH collected over the Brazilian Amazon forest during daytime and nighttime.

Brazilian Amazon Forest

Chemical abrasion-SIMS (CA-SIMS) U-Pb dating of zircon from the late Eocene Caetano caldera, Nevada

Zircon geochronology is a critical tool for establishing geologic ages and time scales of processes in the Earth's crust. However, for zircons compromised by open system behavior, achieving robust dates can be difficult. Chemical abrasion (CA) is a routine step prior to thermal ionization mass spectrometry (TIMS) dating of zircon to remove radiation-damaged parts of grains that may have experienced open system behavior and loss of radiogenic Pb. While this technique has been shown to improve the accuracy and precision of TIMS dating, its application to high-spatial resolution dating methods, such as secondary ion mass spectrometry (SIMS), is relatively uncommon. In our efforts to U-Pb date zircons from the late Eocene Caetano caldera by SIMS (SHRIMP-RG: sensitive high resolution ion microprobe, reverse geometry), some grains yielded anomalously young U-Pb ages that implicated Pb-loss and motivated us to investigate with a comparative CA and non-CA dating study. We present CA and non-CA 206 Pb/ 238 U ages and trace elements determined by SHRIMP-RG for zircons from three Caetano samples (Caetano Tuff, Redrock Canyon porphyry, and a silicic ring-fracture intrusion) and for R33 and TEMORA-2 reference zircons. We find that non-CA Caetano zircons have weighted mean or bimodal U-Pb ages that are 2–4% younger than CA zircons for the same samples. CA Caetano zircons have mean U-Pb ages that are 0.4–0.6 Myr older than the 40 Ar/ 39 Ar sanidine eruption age (34.00 ± 0.03 Ma; error-weighted mean, 2σ), whereas non-CA zircons have ages that are 0.7–1.3 Myr younger. U-Pb ages do not correlate with U (~ 100–800 ppm), Th (~ 50–300 ppm) or any other measured zircon trace elements (Y, Hf, REE), and CA and non-CA Caetano zircons define identical trace element ranges. No statistically significant difference in U-Pb age is observed for CA versus non-CA R33 or TEMORA-2 zircons. Optical profiler measurements of ion microprobe pits demonstrate consistent depths of ~ 1.6 μm for CA and non-CA Caetano, R33 and TEMORA-2 zircons, and do not indicate variations in secondary ion sputtering rates due to chemical or structural changes from the CA treatment. Our new data underscore the potential for cryptic Pb-loss to go unrecognized in other geologically young magmatic centers that do not have zircons with high U, statistically discordant isotope ratios, high common Pb, or metamict textures.

Nevada

Effects of produced waters at oilfield production sites on the Osage Indian Reservation, northeastern Oklahoma

The authors conducted limited site surveys in the Wildhorse and Burbank oilfields on the Osage Indian Reservation, northeastern Oklahoma. The purpose was to document salt scarring, erosion, and soil and water salinization, to survey for radioactivity in oilfield equipment, and to determine if trace elements and naturally occurring radioactive materials (NORM) were present in soils affected by oilfield solid waste and produced waters. These surveys were also designed to see if field gamma spectrometry and field soil conductivity measurements were useful in screening for NORM contamination and soil salinity at these sites. Visits to oilfield production sites in the Wildhorse field in June of 1995 and 1996 confirmed the presence of substantial salt scarring, soil salinization, and slight to locally severe erosion. Levels of radioactivity on some oil field equipment, soils, and road surfaces exceed proposed state standards. Radium activities in soils affected by tank sludge and produced waters also locally exceed proposed state standards. Laboratory analyses of samples from two sites show moderate levels of copper, lead, and zinc in brine-affected soils and pipe scale. Several sites showed detectable levels of bromine and iodine, suggesting that these trace elements may be present in sufficient quantity to inhibit plant growth. Surface waters in streams at two sampled sites exceed total dissolved solid limits for drinking waters. At one site in the Wildhorse field, an EM survey showed that saline soils in the upper 6m extend from a surface salt scar downvalley about 150 m. (Photo [95k]: Dead oak trees and partly revegetated salt scar at Site OS95-2 in the Wildhorse field, Osage County, Oklahoma.) In the Burbank field, limited salt scarring and slight erosion occurs in soils at some sites and low to moderate levels of radioactivity were observed in oil field equipment at some sites. The levels of radioactivity and radium observed in some soils and equipment at these sites are above levels of concern as defined in regulations proposed by the Conference of Radiation Control Program Directors. The volumes of material involved appear to be relatively small for most sites. The lead levels observed in soils affected by tank sludge wastes are about one half of the US Environmental Protection Agency (USEPA) interim remedial action levels used for Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA) and Resource Conservation and Recovery Act (RCRA) sites (400 ppm). Field gamma spectrometry proved useful in delineating areas where radium has been added to the natural soil by oilfield solid waste and produced water, although the technique does not meet standards of assessment used in the state of Louisiana which require core sampling of 15 cm intervals and radiochemical analysis in the laboratory. Further work is needed to develop field gamma spectrometry as a substitute for the more expensive coring and laboratory analysis. The ratio of radium-228 to radium-226 may hold promise in evaluating the relative ages of NORM contamination at a site.

Oklahoma

The saturated zone at Yucca Mountain: An overview of the characterization and assessment of the saturated zone as a barrier to potential radionuclide migration

The US Department of Energy is pursuing Yucca Mountain, Nevada, for the development of a geologic repository for the disposal of spent nuclear fuel and high-level radioactive waste, if the repository is able to meet applicable radiation protection standards established by the US Nuclear Regulatory Commission and the US Environmental Protection Agency (EPA). Effective performance of such a repository would rely on a number of natural and engineered barriers to isolate radioactive waste from the accessible environment. Groundwater beneath Yucca Mountain is the primary medium through which most radionuclides might move away from the potential repository. The saturated zone (SZ) system is expected to act as a natural barrier to this possible movement of radionuclides both by delaying their transport and by reducing their concentration before they reach the accessible environment. Information obtained from Yucca Mountain Site Characterization Project activities is used to estimate groundwater flow rates through the site-scale SZ flow and transport model area and to constrain general conceptual models of groundwater flow in the site-scale area. The site-scale conceptual model is a synthesis of what is known about flow and transport processes at the scale required for total system performance assessment of the site. This knowledge builds on and is consistent with knowledge that has accumulated at the regional scale but is more detailed because more data are available at the site-scale level. The mathematical basis of the site-scale model and the associated numerical approaches are designed to assist in quantifying the uncertainty in the permeability of rocks in the geologic framework model and to represent accurately the flow and transport processes included in the site-scale conceptual model. Confidence in the results of the mathematical model was obtained by comparing calculated to observed hydraulic heads, estimated to measured permeabilities, and lateral flow rates calculated by the site-scale model to those calculated by the regional-scale flow model. In addition, it was confirmed that the flow paths leaving the region of the potential repository are consistent with those inferred from gradients of measured head and those independently inferred from water-chemistry data. The general approach of the site-scale SZ flow and transport model analysis is to calculate unit breakthrough curves for radionuclides at the interface between the SZ and the biosphere using the three-dimensional site-scale SZ flow and transport model. Uncertainties are explicitly incorporated into the site-scale SZ flow and transport abstractions through key parameters and conceptual models. ?? 2002 Elsevier Science B.V. All rights reserved.

Journal of Contaminant Hydrology

Some Key Features of the Strong-Motion Data from the M 6.0 Parkfield, California, Earthquake of 28 September 2004

The 2004 Parkfield, California, earthquake was recorded by an extensive set of strong-motion instruments well positioned to record details of the motion in the near-fault region, where there has previously been very little recorded data. The strong-motion measurements obtained are highly varied, with significant variations occurring over only a few kilometers. The peak accelerations in the near fault region range from 0.13g to over 1.8g (one of the highest acceleration recorded to date, exceeding the capacity of the recording instrument The largest accelerations occurred near the northwest end of the inferred rupture zone. These motions are consistent with directivity for a fault rupturing from the hypocenter near Gold Hill toward the northwest. However, accelerations up to 0.8g were also observed in the opposite direction, at the south end of the Cholame Valley near Highway 41, consistent with bilateral rupture, with rupture southeast of the hypocenter. Several stations near and over the rupturing fault recorded relatively weak motions, consistent with seemingly paradoxical observations of low shaking damage near strike-slip faults. This event had more ground-motion observations within 10 km of the fault than many other earthquakes combined. At moderate distances peak horizontal ground acceleration (PGA) values dropped off more rapidly with distance than standard relationships. At close-in distance the wide variation of PGA suggests a distance-dependent sigma may be important to consider. The near-fault ground-motion variation is greater than that assumed in ShakeMap interpolations, based on the existing set of observed data. Higher density of stations near faults may be the only means in the near future to reduce uncertainty in the interpolations. Outside of the near-fault zone the variance is closer to that assumed. This set of data provides the first case where near-fault radiation has been observed at an adequate number of stations around the fault to allow detailed study of the fault-normal and fault-parallel motion and the near-field S-wave radiation. The fault-normal motions are significant, but they are not large at the central part of the fault, away from the ends. The fault-normal and fault-parallel motions drop off quite rapidly with distance from the fault. Analysis of directivity indicates increased values of peak velocity in the rupture direction. No such dependence is observed in the peak acceleration, except for stations close to the strike of the fault near and beyond the ends of the faulting.

Bulletin of the Seismological Society of America

Heat flow and energetics of the San Andreas fault zone

Approximately 100 heat flow measurements in the San Andreas fault zone indicate (1) there is no evidence for local factional heating of the main fault trace at any latitude over a 1000-km length from Cape Mendocino to San Bernardino, (2) average heat flow is high (∼2 HFU, ∼80 mW m −2 ) throughout the 550-km segment of the Coast Ranges that encloses the San Andreas fault zone in central California; this broad anomaly falls off rapidly toward the Great Valley to the east, and over a 200-km distance toward the Mendocino Triple Junction to the northwest. As others have pointed out, a local conductive heat flow anomaly would be detectable unless the frictional resistance allocated to heat production on the main trace were ≲100 bars. Frictional work allocated to surface energy of new fractures is probably unimportant, and hydrologic convection is not likely to invalidate the conduction assumption, since the heat discharge by thermal springs near the fault is negligible. Explanations for the low dynamic friction fall into two intergradational classes: those in which the fault is weak all of the time and those in which it is weak only during earthquakes (possibly just large ones). The first class includes faults containing anomalously weak gouge materials and faults containing materials with normal frictional properties under near-lithostatic steady state fluid pressures. In the second class, weakening is caused by the event (for example, a thermally induced increase in fluid pressure, dehydration of clay minerals, or acoustic fluidization). In this class, unlike the first, the average strength and ambient tectonic shear stress may be large, ∼1 kbar, but the stress allocated to elastic radiation (the apparent stress) must be of similar magnitude, an apparent contradiction with seismic estimates. Unless seismic radiation is underestimated for large earthquakes, it is difficult to justify average tectonic stresses on the main trace of the San Andreas fault in excess of ∼200 bars. The development of the broad Coast Range heat flow anomaly southward from Cape Mendocino suggests that heat flow increases by a factor of 2 within 4 m.y. after the passage of the Mendocino Triple Junction. This passage leaves the San Andreas transform fault zone in its wake; the depth of the anomalous sources cannot be much greater than the depth of the seismogenic layer. Some of the anomalous heat may be supplied by conduction from the warmer mantle that must occur south of the Mendocino transform (where there is no subducting slab), and some might be supplied by shear heating in the fault zone. With no contribution from shear heating, extreme mantle upwelling would be required, and asthenosphere conditions should exist today at depths of only ∼20 km in the northernmost Coast Ranges. If there is an appreciable contribution from shear heating, the heat flow constraint implies that the seismogenic layer is partially decoupled at its base and that the basal traction is in the sense that resists right lateral motion on the fault(s). As a result of these basal tractions, the average shearing stress in the seismogenic layer would increase with distance from the main fault, and the seismogenic layer would offer substantial resistance to plate motion even though resistance on the main fault might be negligible. These speculative models have testable consequences.

Journal of Geophysical Research Solid Earth

The U. S. Geological Survey, Digital Spectral Library: Version 1 (0.2 to 3.0um)

We have developed a digital reflectance spectral library, with management and spectral analysis software. The library includes 498 spectra of 444 samples (some samples include a series of grain sizes) measured from approximately 0.2 to 3.0 um . The spectral resolution (Full Width Half Maximum) of the reflectance data is <= 4 nm in the visible (0.2-0.8 um) and <= 10 nm in the NIR (0.8-2.35 um). All spectra were corrected to absolute reflectance using an NIST Halon standard. Library management software lets users search on parameters (e.g. chemical formulae, chemical analyses, purity of samples, mineral groups, etc.) as well as spectral features. Minerals from borate, carbonate, chloride, element, halide, hydroxide, nitrate, oxide, phosphate, sulfate, sulfide, sulfosalt, and the silicate (cyclosilicate, inosilicate, nesosilicate, phyllosilicate, sorosilicate, and tectosilicate) classes are represented. X-Ray and chemical analyses are tabulated for many of the entries, and all samples have been evaluated for spectral purity. The library also contains end and intermediate members for the olivine, garnet, scapolite, montmorillonite, muscovite, jarosite, and alunite solid-solution series. We have included representative spectra of H2O ice, kerogen, ammonium-bearing minerals, rare-earth oxides, desert varnish coatings, kaolinite crystallinity series, kaolinite-smectite series, zeolite series, and an extensive evaporite series. Because of the importance of vegetation to climate-change studies we have include 17 spectra of tree leaves, bushes, and grasses. The library and software are available as a series of U.S.G.S. Open File reports. PC user software is available to convert the binary data to ascii files (a separate U.S.G.S. open file report). Additionally, a binary data files are on line at the U.S.G.S. in Denver for anonymous ftp to users on the Internet. The library search software enables a user to search on documentation parameters as well as spectral features. The analysis system includes general spectral analysis routines, plotting packages, radiative transfer software for computing intimate mixtures, routines to derive optical constants from reflectance spectra, tools to analyze spectral features, and the capability to access imaging spectrometer data cubes for spectral analysis. Users may build customized libraries (at specific wavelengths and spectral resolution) for their own instruments using the library software. We are currently extending spectral coverage to 150 um. The libraries (original and convolved) will be made available in the future on a CD-ROM.

Open-File Report

Assessment of prerestoration water quality in the Herring River to support adaptive management at the Cape Cod National Seashore

In 2020 and 2021, the U.S. Geological Survey, Cape Cod National Seashore of the National Park Service, and Friends of Herring River cooperated to assess nutrient and suspended sediment concentrations across the ocean-estuary boundary at a dike on the Herring River on Chequessett Neck Road in Wellfleet, Massachusetts, that has restricted saltwater inputs by regulating water inflow through three culverts or sluiceways into the watershed for more than 100 years. The dike is slated to be removed, and the purpose of this project was to characterize natural variability of nutrient and suspended sediment concentration during flood tide and ebb tide conditions at the dike based on seasonal and environmental variables. This baseline can be used to assess if removal of the dike is likely to result in measurable changes in water quality. Data from the current [2023] study were aggregated with previously published data from November 2015 through September 2018 to provide a long-term record. Samples for the current [2023] study were collected from flood and following ebb tides approximately twice per month from June 2020 through December 2021 at fixed time intervals after the beginning of the tides. Samples were analyzed for nitrate plus nitrite, ammonium, total dissolved nitrogen, total nitrogen, orthophosphate, total dissolved phosphorus, total phosphorus, silica, dissolved organic carbon, and suspended sediment. Constituent concentrations generally were lower using fixed time sampling than in previous studies that used flow-weighted composite sampling, except for nitrate plus nitrite and orthophosphate. Concentrations of nitrate plus nitrite, ammonium, total nitrogen, total dissolved nitrogen, silica, and dissolved organic nitrogen generally were higher on the ebb tide than on the flood tide. By contrast, concentrations of orthophosphate, total phosphorus, and total dissolved phosphorus were generally similar between flood and ebb tides. Most nutrient concentrations except silica and ammonium varied seasonally on flood and ebb tides. Phosphorus species, total nitrogen, and dissolved organic carbon concentrations generally peaked in mid- to late summer and were lowest in winter. For nitrate, the reverse was true. Nutrient concentrations generally were higher on the ebb tide than on the flood tide except for total dissolved phosphorus and total phosphorus where differences between flood and ebb tide depended on season. Constituent concentrations were similar between spring, neap, and midamplitude tides on both the flood and ebb tides. Nitrate, ammonium, total nitrogen, and silica concentrations were positively correlated with precipitation and runoff. Orthophosphate, total dissolved phosphorus, total phosphorus, and dissolved organic carbon were positively correlated with surface air temperature, downwelling shortwave radiation, and ocean water temperature. Nitrate, ammonium, and silica concentration were negatively correlated with surface air temperature and ocean water temperature. Orthophosphate and total dissolved phosphorus were negatively correlated with runoff. Nitrate plus nitrite, ammonium, and silica concentrations were negatively correlated with downwelling shortwave radiation.

Massachusetts