Geology ReportsSearch

SEARCH · Geology Reports

Results for “Scientific Papers”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 379 records · Page 21Linked to original sources

The international phosphate resource data base; development and maintenance

The IPRDB (International Phosphate Resource Data Base) was developed to provide a single computerized source of geologic information about phosphate deposits worldwide. It is expected that this data base will encourage more thorough scientific analyses of phosphate deposits and assessments of undiscovered phosphate resources, and that methods of data collection and storage will be streamlined. Because the database was intended to serve as a repository for diverse and detailed data, a large amount of the early research effort was devoted to the design and development of the system. To date (1982), the file remains incomplete. All development work and file maintenance work on IPRDB was suspended as of October 1, 1982; this paper is intended to document the steps taken up to that date. The computer programs listed in the appendices were written specifically for the IPRDB phosbib file and are of limited future use.

Open-File Report

Coastal-change and glaciological maps of Antarctica

Changes in the area and volume of polar ice sheets are intricately linked to changes in global climate, and the resulting changes in sea level may severely impact the densely populated coastal regions on Earth. Melting of the West Antarctic part alone of the Antarctic ice sheet could cause a sea-level rise of approximately 6 meters (m). The potential sea-level rise after melting of the entire Antarctic ice sheet is estimated to be 65 m (Lythe and others, 2001) to 73 m (Williams and Hall, 1993). In spite of its importance, the mass balance (the net volumetric gain or loss) of the Antarctic ice sheet is poorly known; it is not known for certain whether the ice sheet is growing or shrinking. In a review paper, Rignot and Thomas (2002) concluded that the West Antarctic part of the Antarctic ice sheet is probably becoming thinner overall; although the western part is thickening, the northern part is thinning. Joughin and Tulaczyk (2002), based on analysis of ice-flow velocities derived from synthetic aperture radar, concluded that most of the Ross ice streams (ice streams on the east side of the Ross Ice Shelf) have a positive mass balance. The mass balance of the East Antarctic is unknown, but thought to be in near equilibrium. Measurement of changes in area and mass balance of the Antarctic ice sheet was given a very high priority in recommendations by the Polar Research Board of the National Research Council (1986), in subsequent recommendations by the Scientific Committee on Antarctic Research (SCAR) (1989, 1993), and by the National Science Foundation's (1990) Division of Polar Programs. On the basis of these recommendations, the U.S. Geological Survey (USGS) decided that the archive of early 1970s Landsat 1, 2, and 3 Multispectral Scanner (MSS) images of Antarctica and the subsequent repeat coverage made possible with Landsat and other satellite images provided an excellent means of documenting changes in the coastline of Antarctica (Ferrigno and Gould, 1987). The availability of this information provided the impetus for carrying out a comprehensive analysis of the glaciological features of the coastal regions and changes in ice fronts of Antarctica (Swithinbank, 1988; Williams and Ferrigno, 1988). The project was later modified to include Landsat 4 and 5 MSS and Thematic Mapper (TM) (and in some areas Landsat 7 Enhanced Thematic Mapper Plus (ETM+)), RADARSAT images, and other data where available, to compare changes over a 20- to 25- or 30-year time interval (or longer where data were available, as in the Antarctic Peninsula). The results of the analysis are being used to produce a digital database and a series of USGS Geologic Investigations Series Maps consisting of 24 maps at 1:1,000,000 scale and 1 map at 1:5,000,000 scale, in both paper and digital format (Williams and others, 1995; Williams and Ferrigno, 1998; and Ferrigno and others, 2002).

IMAP

Coastal-change and glaciological map of the Eights Coast area, Antarctica, 1972-2001

Changes in the area and volume of polar ice sheets are intricately linked to changes in global climate, and the resulting changes in sea level may severely impact the densely populated coastal regions on Earth. Melting of the West Antarctic part alone of the Antarctic ice sheet could cause a sea-level rise of approximately 6 meters (m). The potential sea-level rise after melting of the entire Antarctic ice sheet is estimated to be 65 m (Lythe and others, 2001) to 73 m (Williams and Hall, 1993). In spite of its importance, the mass balance (the net volumetric gain or loss) of the Antarctic ice sheet is poorly known; it is not known for certain whether the ice sheet is growing or shrinking. In a review paper, Rignot and Thomas (2002) concluded that the West Antarctic part of the Antarctic ice sheet is probably becoming thinner overall; although the western part is thickening, the northern part is thinning. Joughin and Tulaczyk (2002), based on analysis of ice-flow velocities derived from synthetic aperture radar, concluded that most of the Ross ice streams (ice streams on the east side of the Ross Ice Shelf) have a positive mass balance. The mass balance of the East Antarctic is unknown, but thought to be in near equilibrium. Measurement of changes in area and mass balance of the Antarctic ice sheet was given a very high priority in recommendations by the Polar Research Board of the National Research Council (1986), in subsequent recommendations by the Scientific Committee on Antarctic Research (SCAR) (1989, 1993), and by the National Science Foundation's (1990) Division of Polar Programs. On the basis of these recommendations, the U.S. Geological Survey (USGS) decided that the archive of early 1970s Landsat 1, 2, and 3 Multispectral Scanner (MSS) images of Antarctica and the subsequent repeat coverage made possible with Landsat and other satellite images provided an excellent means of documenting changes in the coastline of Antarctica (Ferrigno and Gould, 1987). The availability of this information provided the impetus for carrying out a comprehensive analysis of the glaciological features of the coastal regions and changes in ice fronts of Antarctica (Swithinbank, 1988; Williams and Ferrigno, 1988). The project was later modified to include Landsat 4 and 5 MSS and Thematic Mapper (TM) (and in some areas Landsat 7 Enhanced Thematic Mapper Plus (ETM+)), RADARSAT images, and other data where available, to compare changes over a 20- to 25- or 30-year time interval (or longer where data were available, as in the Antarctic Peninsula). The results of the analysis are being used to produce a digital database and a series of USGS Geologic Investigations Series Maps consisting of 24 maps at 1:1,000,000 scale and 1 map at 1:5,000,000 scale, in both paper and digital format (Williams and others, 1995; Williams and Ferrigno, 1998; and Ferrigno and others, 2002).

IMAP

Coastal-change and glaciological map of the Saunders Coast area, Antarctica: 1972-1997

Changes in the area and volume of polar ice sheets are intricately linked to changes in global climate, and the resulting changes in sea level may severely impact the densely populated coastal regions on Earth. Melting of the West Antarctic part alone of the Antarctic ice sheet could cause a sea-level rise of approximately 6 meters (m). The potential sea-level rise after melting of the entire Antarctic ice sheet is estimated to be 65 m (Lythe and others, 2001) to 73 m (Williams and Hall, 1993). In spite of its importance, the mass balance (the net volumetric gain or loss) of the Antarctic ice sheet is poorly known; it is not known for certain whether the ice sheet is growing or shrinking. In a review paper, Rignot and Thomas (2002) concluded that the West Antarctic part of the Antarctic ice sheet is probably becoming thinner overall; although the western part is thickening, the northern part is thinning. Joughin and Tulaczyk (2002), based on analysis of ice-flow velocities derived from synthetic aperture radar, concluded that most of the Ross ice streams (ice streams on the east side of the Ross Ice Shelf) have a positive mass balance. The mass balance of the East Antarctic is unknown, but thought to be in near equilibrium. Measurement of changes in area and mass balance of the Antarctic ice sheet was given a very high priority in recommendations by the Polar Research Board of the National Research Council (1986), in subsequent recommendations by the Scientific Committee on Antarctic Research (SCAR) (1989, 1993), and by the National Science Foundation?s (1990) Division of Polar Programs. On the basis of these recommendations, the U.S. Geological Survey (USGS) decided that the archive of early 1970s Landsat 1, 2, and 3 Multispectral Scanner (MSS) images of Antarctica and the subsequent repeat coverage made possible with Landsat and other satellite images provided an excellent means of documenting changes in the coastline of Antarctica (Ferrigno and Gould, 1987). The availability of this information provided the impetus for carrying out a comprehensive analysis of the glaciological features of the coastal regions and changes in ice fronts of Antarctica (Swithinbank, 1988; Williams and Ferrigno, 1988). The project was later modified to include Landsat 4 and 5 MSS and Thematic Mapper (TM) (and in some areas Landsat 7 Enhanced Thematic Mapper Plus (ETM+)), RADARSAT images, and other data where available, to compare changes over a 20- to 25- or 30-year time interval (or longer where data were available, as in the Antarctic Peninsula). The results of the analysis are being used to produce a digital database and a series of USGS Geologic Investigations Series Maps consisting of 24 maps at 1:1,000,000 scale and 1 map at 1:5,000,000 scale, in both paper and digital format (Williams and others, 1995; Williams and Ferrigno, 1998; and Ferrigno and others, 2002).

IMAP

Sea turtles, light pollution, and citizen science: A preliminary report

Sea turtles are an important ecological resource for Gulf Islands National Seashore’s (Gulf Islands) waters and shorelines. Regionally, sea turtles face anthropogenic threats from situations such as entanglement in fishing gear and ingestion of marine debris, as well as possible changes in sex ratios due to increasing temperatures related to human-induced global warming. Locally, light pollution from residential, commercial, and industrial neighborhoods from nearby cities impacts the entirety of Gulf Islands, which spans 160 miles along the Gulf Coast, from Florida to Mississippi, and includes critical habitat for threatened and endangered sea turtles. Because light pollution has been hypothesized to negatively impact sea turtle nesting and hatchling survival, Gulf Islands undertook an effort to understand the relationship between light pollution and sea turtles and create unique educational and outreach opportunities by launching a citizen science program called Turtle Teens Helping in the Seashore (Turtle THIS). At the onset, the Turtle THIS program had two primary goals: quantify the association between light pollution and sea turtle nesting and hatching events using rigorous scientific methods; and initiate a citizen science volunteer program to provide youth with hands-on science and environmental stewardship roles, where they also gain employable skills and career opportunities. With multiple scientific hypotheses to consider, the development of a citizen science program became crucial. Such circumstances allowed Turtle THIS to grow a volunteer and intern program, quantify hypothesized light effects on sea turtles through developed methods, and begin to gather preliminary findings.

Florida

Scenario Planning Around Resource Challenges (SPARC): A management-centered approach to scenario planning for climate adaptation

Scenario planning is a strategy or framework that aids making decisions under uncertainty. Inspired by widespread use in the areas of military and business, recent work has applied the strategy to anticipate the effects of climate change on natural resource management. Most scenario planning efforts identify scenarios based on uncertain response in two key drivers of change (e.g., climate, ecology, land use) and then consider the resultant effects on the system and possible changes to management protocols. We present an alternative implementation of scenario planning — Scenario Planning Around Resource Challenges (SPARC) — that produces scenarios that are driven directly by management concerns rather than by the leading scientific uncertainties. The three-step process entails (1) compiling information from the manager (resources, goals, priorities), (2) building scenarios from the leading possible outcomes suggested by the scientific literature and manager perspectives, and (3) running each scenario (i.e., outcome) one-by-one to consider adjustments to management protocols. In short, the unknowns become the scenarios that reflect management priorities. Rather than focusing on the dominant scientific uncertainties, managers spend their time considering only the uncertainties that directly affect the decisions they make. Here, we examine this approach using a case study from a landscape conservation design process led by the Desert Landscape Conservation Cooperative in the Madrean Ecoregion of southeastern Arizona, U.S.A.

Conference Paper

Bridging ecology and geosciences in riverscapes: Implications for process-based restoration

There has been a growing interest in integrating geological and ecological processes for sustainable river management and restoration. Lotic systems are shaped by diverse physical processes, including geology, geomorphology, hydrology, and interactions with terrestrial processes. However, restoration practices often prioritize specific habitats or river forms without fully considering the underlying physical processes that support biological communities and ecosystem functions. In this paper, we synthesize studies that integrally examine geological and ecological processes across different scales and components of riverscapes, including geohydrological processes, which have been less investigated in riverscape studies. We begin by examining processes at broader spatial scales, including river–watershed and river–riparian interactions, and gradually narrow our focus to the dynamics that occur among habitats within river channels, through which we highlight the significance of conceptualizing rivers as dynamic “networks” rather than linear features. Finally, we identify both scientific and practical challenges that can be addressed to bridge the gap between basic-science implications and their implementation in riverscape restorations.

Ecological Research

Scientist’s guide to developing explanatory statistical models using causal analysis principles

Recent discussions of model selection and multimodel inference highlight a general challenge for researchers, which is how to clearly convey the explanatory content of a hypothesized model or set of competing models. The advice from statisticians for scientists employing multimodel inference is to develop a well‐thought‐out set of candidate models for comparison, though precise instructions for how to do that are typically not given. A coherent body of knowledge, which falls under the general term causal analysis, now exists for examining the explanatory scientific content of candidate models. Much of the literature on causal analysis has been recently developed and we suspect may not be familiar to many ecologists. This body of knowledge comprises a set of graphical tools and axiomatic principles to support scientists in their endeavors to create “well‐formed hypotheses”, as statisticians are asking them to do. Causal analysis is complementary to methods such as structural equation modeling, which provides the means for evaluation of proposed hypotheses against data. In this paper, we summarize and illustrate a set of principles that can guide scientists in their quest to develop explanatory hypotheses for evaluation. The principles presented in this paper have the capacity to close the communication gap between statisticians, who urge scientists to develop well‐thought‐out coherent models, and scientists, who would like some practical advice for exactly how to do that.

Ecology

U.S. Federal research on fisheries and limnology in the Great Lakes through 1964: an annotated bibliography

The annotated bibliography is preceded by a brief account of the Federal research program in fisheries and limnology in the Great Lakes in 1957-64. The bibliography covers 314 papers by staff members of the Bureau of Commercial Fisheries Biological Laboratory in Ann Arbor, Mich., and 35 by associated scientists with whom the Laboratory had contractual or other cooperative arrangements; included also are patents issued to Laboratory personnel. A roster of Laboratory scientists as of December 31, 1964, is appended.

Special Scientific Report - Fisheries

Repetitive digital NOAA-AVHRR data for Alaskan engineering and scientific applications

Selected digitally enhanced NOAA - Advanced Very High Resolution Radiometer (AVHRR) images taken by the NOAA 6, 7, 8 and 9 Polar Orbiting Satellites demonstrate the capability and application of repetitive low-resolution satellite data to Alaska's engineering and science community. Selected cloud-free visible and thermal infrared images are enhanced to depict distinct oceanographic and geologic processes along Alaska's west coast and adjacent seas. Included are the advance of the Bering Sea ice field, transport of Yukon River sediment into Norton Sound, and monitoring of plume trajectories from the Mount Augustine volcanic eruptions. Presented illustrations are representative of the 94 scenes in a cooperative USGS EROS/NOAA Alaskan AVHRR Digital Archive. This paper will discuss the cooperative efforts in establishing the first year data set and identifying Alaskan applications.

Alaska

AIMS for wildlife: Developing an automated interactive monitoring system to integrate real-time movement and environmental data for true adaptive management

To effectively manage species and habitats at multiple scales, population and land managers require rapid information on wildlife use of managed areas and responses to landscape conditions and management actions. GPS tracking studies of wildlife are particularly informative to species ecology, habitat use, and conservation. Combining GPS data with administrative data and a diverse suite of remotely sensed, geo-referenced environmental (e.g., climatic) data, would more comprehensively inform how animals interact with and utilize habitats and ecosystems and our goal was to create a conceptual model for a system that would accomplish this – the ‘Automated Interactive Monitoring System (AIMS) for Wildlife’. Our objective for this study was to develop a Customized Wildlife Report (CWR) - the first AIMS for Wildlife deliverable product. CWRs collate and summarize our 8-year GPS tracking dataset of ∼11 million locations from 1338 individual (16 species) avifauna and make actionable, real-time data on animal movements and trends in a specific area of interest available to managers and stakeholders for rapid application in day-to-day management. The CWR exemplar presented in this paper was developed to address needs identified by habitat managers of Sacramento National Wildlife Refuge and illustrates the highly specific, information offered and how it contributes to assessing the efficacy of conservation actions while allowing for near real-time adaptive management. The report can be easily customized for any of the thousands of wildlife refuges or regional areas of interest in the United States, emphasizing the broad application of an animal movement data stream. Utilizing diverse, extensive telemetry data streams through scientific collaboration can aid managers and conservation stakeholders with short and long-term research and conservation planning and help address a cadre of issues from local-scale habitat management to improving the understanding of landscape level impacts like drought, wildfire, and climate change on wildlife populations.

Journal of Environmental Management

Magnetobiochronologic synthesis of ODP Leg 178 rise sediments from the Pacific sector of the Southern Ocean: Sites 1095, 1096, and 11011

During Ocean Drilling Program (ODP) Leg 178, eight holes were drilled at three sites (1095, 1096, and 1101) on the continental rise along the western Antarctic Peninsula. The rise sediments proved to be good paleomagnetic recorders and provided continuous magnetostratigraphic records at all three sites. Biosiliceous microfossils, particularly diatoms and radiolarians, were present in the upper Miocene through lower Pliocene sections. In the upper Pliocene to Pleistocene sections, biosiliceous microfossils were rare but calcareous nannofossils and foraminifers were present. This paper summarizes the biostratigraphy and magnetostratigraphy of Leg 178 continental rise sites and is the first attempt at direct calibration of Antarctic biostratigraphic events to the geomagnetic polarity timescale in the Pacific sector of the Southern Ocean.

Proceedings of the Ocean Drilling Program: Scienti

Chemical and mineralogical characteristics of French green clays used for healing

The worldwide emergence of infectious diseases, together with the increasing incidence of antibiotic-resistant bacteria, elevate the need to properly detect, prevent, and effectively treat these infections. The overuse and misuse of common antibiotics in recent decades stimulates the need to identify new inhibitory agents. Therefore, natural products like clays, that display antibacterial properties, are of particular interest. The absorptive properties of clay minerals are well documented for healing skin and gastrointestinal ailments. However, the antibacterial properties of clays have received less scientific attention. French green clays have recently been shown to heal Buruli ulcer, a necrotic or ‘flesh-eating’ infection caused by Mycobacterium ulcerans . Assessing the antibacterial properties of these clays could provide an inexpensive treatment for Buruli ulcer and other skin infections. Antimicrobial testing of the two clays on a broad-spectrum of bacterial pathogens showed that one clay promotes bacterial growth (possibly provoking a response from the natural immune system), while another kills bacteria or significantly inhibits bacterial growth. This paper compares the mineralogy and chemical composition of the two French green clays used in the treatment of Buruli ulcer. Mineralogically, the two clays are dominated by 1 Md illite and Fe-smectite. Comparing the chemistry of the clay minerals and exchangeable ions, we conclude that the chemistry of the clay, and the surface properties that affect pH and oxidation state, control the chemistry of the water used to moisten the clay poultices and contribute the critical antibacterial agent(s) that ultimately debilitate the bacteria.

Clays and Clay Minerals

A strategy for defining the reference for land health and degradation assessments

Much of the confusion about the definition of reference conditions for land health and degradation assessments is due to differences in policy and management objectives. Selection of a historic reference where it is not necessary, such as in the definition of future land degradation neutrality, can add significant cost and uncertainty to land management projects that require some knowledge of the current status of the land relative to its potential. This paper (1) provides a review of conditions under which historic reference information is and is not required to meet management and policy objectives, (2) summarizes current approaches to defining the reference for land health and degradation assessments, and (3) presents a protocol, “Describing Indicators of Rangeland Health” (DIRH) for collecting and organizing data that can be used to define a historic reference. This protocol builds on the framework and indicators presented in the “Interpreting Indicators of Rangeland Health” (IIRH). IIRH uses a combination of scientific and local knowledge to generate soil- and climate-specific assessments of three attributes of land health. It is used in a number of countries. In the United States, data are aggregated over 30,000 locations to provide national assessments.

Ecological Indicators

Proceedings of the 12th Biennial Conference of research on the Colorado Plateau

Introduction The Colorado Plateau is a physiographic region that encompasses 330,000 square kilometers in parts of four states in the southwestern United States (Colorado, Utah, New Mexico, and Arizona). Known for its high deserts, the Colorado Plateau also includes isolated mountains, high plateaus, and rugged canyons. Not only is the region topographically diverse, but geologically, biologically, and culturally diverse as well. The landscape is managed by Federal entities including the Bureau of Land Management, the National Park Service, and the U.S. Forest Service; Tribal nations including the Navajo Nation, Kaibab Paiute, Mountain Ute, Southern Ute, Hopi, Zuni, Hualapai, Havasupai, and White Mountain Apache Tribes; State land and wildlife management agencies; and privately owned holdings, creating complex interactions and management challenges. Population growth, increased tourism to Federal and State lands, and energy development have increased water demands and altered land-use patterns, and these changes have emerged as management challenges facing the people working and living in the region. Climate change, particularly the ongoing drought, has exacerbated the effects of population growth, land-use change, and other stressors such as invasive species. As managers seek solutions to the challenges facing the region’s natural and cultural resources, the Biennial Conference of Science and Management of the Colorado Plateau has become an important venue for exchanging information about emerging management concerns and recent scientific research. Each biennial conference has sought to promote discussion, information sharing, and productive communication among the managers, scientists, students, administrators, tribal representatives, and others who attend the conference with the goal of enhancing the use of the best available science to manage the region’s incomparable natural and cultural resources. The publication and dissemination of a conference proceedings series expands the reach of the conference beyond those people in attendance and creates a record on the research presented. The idea of producing a conference proceedings, and its subsequent publication, first occurred in 1993 following the first biennial conference in 1991. A published volume of contributed papers has followed each subsequent biennial conference, including this volume. The venue for publishing proceedings has changed over the years and has included the National Park Service, the Government Printing Office, the U.S. Geological Survey, and University of Arizona Press. Recently, van Riper and others (2015) published a compilation of the abstracts from the 11 previous conference proceedings. Collectively, the proceedings highlight approximately 25 years of natural- and cultural-resources research, promoting the integration of research with resource management across the Colorado Plateau. This volume is freely downloadable by the public, thereby further expanding the influence of this conference beyond the Colorado Plateau. The 12th Biennial Conference held in Flagstaff, Arizona, from September 16 to 19, 2013, covered a range of topics in the physical, biological, and socio-cultural sciences. The conference was organized and hosted by Northern Arizona University’s ( NAU) Merriam-Powell Center for Environmental Research, the Colorado Plateau Cooperative Ecosystem Studies Unit, and the U.S. Geological Survey Southwest Biological Science Center. Financial and in-kind support was provided by a wide range of organizations including the U.S. Forest Service, National Park Service, Bureau of Land Management, Grand Canyon Trust, Colorado Plateau Research Station, and various NAU entities. NAU sponsors include the Landscape Conservation Initiative, School of Forestry, School of Earth Science and Environmental Sustainability, Office of the Provost, and Office of the Vice President of Research. Contributors to these proceedings include researchers and managers from Federal, State, and Tribal governments, universities, private entities, and non-profit organizations. In this regard, this conference has wide-ranging support and participation among private and public entities involved in the science and management of natural resources on the Colorado Plateau.

Arizona, Colorado, New Mexico, Utah

Eruptions of Hawaiian volcanoes—Past, present, and future

Viewing an erupting volcano is a memorable experience, one that has inspired fear, superstition, worship, curiosity, and fascination since before the dawn of civilization. In modern times, volcanic phenomena have attracted intense scientific interest because they provide the key to understanding processes that have created and shaped more than 80 percent of the Earth’s surface. The active Hawaiian volcanoes have received special attention worldwide because of their frequent spectacular eruptions, which often can be viewed and studied with relative ease and safety. In January 1987, the U.S. Geological Survey Hawaiian Volcano Observatory (HVO), then located on the caldera rim of Kīlauea, celebrated its 75th anniversary. To honor this anniversary, the U.S. Geological Survey (USGS) published Professional Paper 1350 , a comprehensive summary of the many studies on Hawaiian volcanism by USGS and other scientists through the mid-1980s. Drawing from the wealth of data contained in that volume, the USGS also published in 1987 the original edition of this general-interest booklet, focusing on selected aspects of the eruptive history, style, and products of two of the State of Hawaii’s active volcanoes—Kīlauea and Mauna Loa. A second edition of the booklet was published in 2010 to commemorate the Centennial of HVO (which occurred in January 2012), summarizing abundant new information gained since the January 1983 onset of Kīlauea’s middle East Rift Zone eruption at Pu‘u‘ō‘ō and the March 2008 beginning of Kīlauea’s summit lava-lake activity within Halema‘uma‘u. In this third edition, we include highlights from Kīlauea’s subsequent activity, including the 2018 eruption in the lower East Rift Zone—the largest and most destructive in at least 200 years—and associated summit-collapse events, the eruptions at Kīlauea’s summit since 2018, and the 2022 eruption of Mauna Loa, which occurred after 38 years of quiescence. It also considers new data leading to an improved history of Kīlauea’s explosive activity in the recent geologic past. This general-interest booklet is a companion to the one on Mount St. Helens volcano (southwestern Washington) first published in 1984, revised in 1990. Together, these publications illustrate the contrast between the two main types of volcanoes: shield volcanoes, such as those in the State of Hawaii, which generally are nonexplosive to weakly explosive; and composite volcanoes, such as Mount St. Helens in the Cascade Range, which generally erupt explosively.

Hawaii

Global amphibian declines: perspectives from the United States and beyond

Over recent decades, amphibians have experienced population declines, extirpations and species-level extinctions at an alarming rate. Numerous potential etiologies for amphibian declines have been postulated including climate and habitat degradation. Other potential anthropogenic causes including overexploitation and the frequent introductions of invasive predatory species have also been blamed for amphibian declines. Still other underlying factors may include infectious diseases caused by the chytrid fungus Batrachochytrium dendrobatidis, pathogenic viruses (Ranavirus), and other agents. It is nearly certain that more than one etiology is to blame for the majority of the global amphibian declines, and that these causal factors include some combination of climatological or physical habitat destabilization and infectious disease, most notably chytridiomycosis. Scientific research efforts are aimed at elucidating these etiologies on local, regional, and global scales that we might better understand and counteract the driving forces behind amphibian declines. Conservation efforts as outlined in the Amphibian Conservation Action Plan of 2005 are also being made to curtail losses and prevent further extinctions wherever possible.

Conference Paper

U.S. Federal fishery research on the Great Lakes through 1956

The major purpose of this publication is to present an annotated bibliography of papers resulting from Federal investigations on the Great Lakes fish and fisheries since the formal initiation of a continuing research program by the Fish and Wildlife Service. It is believed that this purpose can be served best by prefacing that bibliography with a brief account of the origins of Great Lakes Fishery Investigations, of the circumstances that have guided their course. The present article is a revision and expansion of the author's earlier publication: 25 years of Federal Fishery Research on the Great Lakes (Special Scientific Report-Fisheries No. 85, 1952). Two circumstances made a revision desirable at this time. First, publications since 1952 have added greatly to the literature based on Federal studies on the Great Lakes. Second, the Great Lakes Fishery Commission, established by treaty with Canada, was organized in Ottowa in April 1956 and held its first annual meeting in Ann Arbor in November 1956. The entry of the Commission on the scene marks the start of an era of further expansion and heightens in past activities.

Special Scientific Report - Fisheries