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Birds and Dutch elm disease control

Brief, factual review of information on effect of DDT and other insecticides on birds. One program for control of elm disease caused 22% decrease in number of adult birds and 56% mortality of nestlings. Quail fed 3 oz. of DDT per ton of food had 16% reduction in young hatched and 500% increase in defective chicks. Quail fed same dosage during winter and breeding seasons had 30% decrease in fertile eggs and 800% increase in defective chicks. More than 90% of their chicks died in first 6 weeks although fed no insecticide. Almost equally bad results came from feeding Pheasants diets with about 1 oz. DDT per ton. Other common insecticides (chlorinated hydrocarbons) also caused lowered chick survival and higher percentages of crippled chicks. From field data we know that 2 lbs. DDT/acre can affect birds and has even worse effects on cold-blooded animals. Efforts to control elm disease have left as much as 196 lbs. DDT/acre in top 3 inches of soil. Earthworms concentrate DDT in their tissues. Thus the treated areas can be traps for birds and other animals. What can be done? 1) In control of elm disease, use minimum effective amount of insecticide; mist blowers use less than sprayers. 2) Avoid applications during migration and nesting seasons. It has been reported that adequate control can be obtained with dormant sprays and that foliar applications may not be required. Tables of this paper show effects of DDT on reproduction of Quail, relative toxicity to quail of 8 insecticides, and amounts of 7 insecticides required to cause 40% or more decrease in Quail reproduction. These comparisons demonstrate that Aldrin, Endrin, and Dieldrin are 20 to 200 times as toxic as DDT and that Heptachlor and Chlordane are only slightly less toxic than Dieldrin. Methoxychlor and Strobane are less toxic to Quail than is DDT.

Arborist's News

Fish size structure analysis via ordination: A visualization aid

Objective Visual aids like length-frequency histograms are widely used to examine fish population status and trends; however, comparing multiple histograms simultaneously becomes cumbersome and inefficient. Complicating matters further, overlaying covariates on histograms to highlight connections with length frequencies can be challenging. An alternative, and the subject of this Perspective, is to display length distributions as an ordination using similarity indexes; in many cases, this allows for improved visual organization and representation of relationships with covariates. Methods I review the application of ordination methods for analysis of size structures using alternative visualizations that may facilitate the identification of connections that are concealed when analyzing a series of histograms. After a brief introduction to similarity indexes, types of ordinations, and sample sizes, I examine four case studies to illustrate size structure analysis via similarity indices: (1) unconstrained ordination to identify “bass-crowded” populations in a set of 34 small fishing lakes, (2) unconstrained ordination to evaluate the effect of three consecutive length limits on a Largemouth Bass Micropterus nigricans population over a span of 28 years, (3) constrained ordination to assess the relationships between fish community size structure and in-lake and off-lake environmental descriptors in 30 oxbow lakes, and (4) constrained ordination to identify what aspects of Largemouth Bass size structure were related to six types of reservoir habitats. Result Size structure analysis via similarity indexes enabled the exploration of extensive length-frequency data. It is important to acknowledge that ordinations serve solely as a visual aid for assessing size structure—no statistical testing is involved. Conclusion Ordination techniques and software are advancing at a quick pace, holding great promise for the future of size structure analysis via similarity indices.

North American Journal of Fisheries Management

Vegetation and climates of the last 45,000 years in the vicinity of the Nevada Test Site, south-central Nevada

Paleoclimatic reconstructions for the Nevada Test Site, spanning the last 45,000 years, are based on plant macrofossil assemblages from radiocarbonated packrat (Neotoma spp) middens from south-central Nevada. The temperature regime during the Wisconsin glacial age, from before about 45,000 years ago until about 12,000 years ago, was characterized by lower temperatures during all seasons. Wisconsin maximum (about 18,000 years before present) winter temperatures were at least 6 deg. Celsius below those of the present, and the relative decrease in summer temperature was as much as 8 deg. Celsius. The data provide evidence for a precipitation regime drier than that proposed by many studies. The maximum estimated increase in average annual precipitation during the full-glacial period is 40 percent above current precipitation. The increase in temperature signaling the end of the Wisconsin glacial age may have begun as early as about 16,000 years ago. The oldest record of desert scrub vegetation from the Nevada Test Site area dates to about 15,000 years ago. By 10,000 years before present, average annual temperatures may have approximated present values, although seasonal temperature and precipitation regimes probably differed from those of today. Climate changes during the last 10,000 years have been relatively minor variations in a warm, dry climatic regime. Probably future climatic changes include a brief but pronounced warm period within the next 500 years, followed by a protracted transition to the next glacial age during the next 10,000 years. (USGS)

Nevada

Bidirectional connectivity via fish ladders in a large Neotropical river: Response to a comment

In a recent article, we described fitting electronic tags to the fish Prochilodus lineatus to document how a fishway connected aquatic habitats downstream and upstream of a major dam. Moreover, given that tagged fish remained upstream or downstream for periods extending months and years before returning to the fishway, and that observed patterns of passage were consistent with seasonal migratory cycles, and building on existing literature, we speculated that the fishway allows fish access to spawning habitats upstream and feeding habitats downstream. Our interpretation of the movement data resulted in several comments from Pelicice, Pompeu, and Agostinho (2020) and they outline various reasons by which, in their opinion, some of our conclusions may be mistaken. Their critique is threefold. First, they argue that the percentage of fish attracted into the fishway is too low to consider the fishway an effective link between the reservoir and the river downstream. We contend that without estimates of population size it is impossible to judge if 28% passage is “limited”; conceivably, the absolute number of fish passed may still be enough to maintain a viable population. Second, they assert that because receivers were located only in the fishway it is unknown if fish that used the fishway remained near the dam, or if they continued their migration. We counter with a brief literature review that documents P. lineatus migrating through reservoirs and spawning in tributaries. Third, they advocate for a broader conservation perspective and for additional research. We agree and, in the article, had already expressed this view that fishways are only a temporary fix and that we support their use only as an element of a broader environmental management package. We also agree with the need for more research but argue that procrastinating on conservation action may not be wise because we do not know if the research will be done, how long it will take, or what the cost may be of waiting.

Parana River

Lake levels in a discontinuous permafrost landscape: Late Holocene variations inferred from sediment oxygen isotopes, Yukon Flats, Alaska

During recent decades, lake levels in the Yukon Flats region of interior Alaska have fluctuated dramatically. However, prior to recorded observations, no data are available to indicate if similar or more extreme variations occurred during past centuries and millennia. This study explores the history of Yukon Flats lake origins and lake levels for the past approximately 5,500 years from sediment analyses guided by previous work on permafrost extent, thermokarst, and modern isotope hydrology. Sediments dated by 210 Pb and AMS radiocarbon indicate stable chronologies following initial lake initiation. Subsequent lithology is autochthonous, and oxygen isotope ratios of endogenic carbonate reflect lake level change at multiple time scales. Sediment results indicate high lake levels between approximately 4000 and 1850 cal yr BP, which is interpreted to reflect wetter-than-modern conditions. Lower lake levels with short-lived high stands during the past approximately 800 years reflect generally arid conditions with brief wet intervals similar to the region’s moisture regime today. The millennial trend is one of increasing aridity and corresponds closely with fire reconstructions and regional paleoclimatic trends. We conclude that high-magnitude lake-level fluctuations and decadal scale trends occurred before the observational period and are persistent hydroclimatic features of the Yukon Flats region.

Alaska

A proposed methodology for conducting threats assessments within the Great Lakes Coregonines restoration framework

This document serves to fulfill the Coregonine Threats Assessment Science Team’s charge of providing a written recommendation for a methodology to conduct threats assessments for Great Lakes coregonines within the Coregonine Restoration Framework (CRF). Through a series of team meetings that included presentations by experts on five candidate threats assessment frameworks followed by structured deliberations, we came to consensus to recommend the threats assessment framework used by Fisheries and Oceans Canada under Canada’s Species at Risk Act, with three modifications: (1) a conceptual modeling step, (2) the use of a “point spreading” approach to incorporate uncertainty when scoring threats, and (3) the use of a modified Delphi or “estimate-talk-estimate” approach when scoring key elements in the assessment. We recommend that this approach be applied to the spatial units delineated by the CRF Resolve Taxonomy and Gap Analysis science teams. In brief, the assessment process includes providing background information on the spatial unit and threats under assessment, constructing a conceptual model linking threats to key processes and vital rates, and scoring or ranking threats across six elements: likelihood of occurrence, level of impact, strength of evidence, unit-level threat occurrence, unit-level threat frequency, and unit-level threat extent. We provide detailed instructions for completing each step of the assessment and generating associated results, with particular attention paid to our suggested modifications. The Coregonine Threats Assessment Science Team also conducted two test runs to assess the applicability and effectiveness of our recommended framework for Great Lakes coregonine populations and their threats. We conducted these test runs on two examples of Great Lakes coregonines that represented two extremes of data availability, as well as two different management contexts. We chose Kiyi (Coregonus kiyi) in Lake Ontario as an example of a data-poor, extirpated population, and we chose Cisco (Coregonus artedi) in Lake Superior as an example of a data-rich, extant population. We provide the results of these test runs in Appendices 1-2. We also describe the lessons we learned from these test runs throughout this document and highlighted them in the “Recommendations for avoiding challenges during application” section.

Report

North American nonmarine climates and vegetation during the Late Cretaceous

Analyses of physiognomy of Late Cretaceous leaf assemblages and of structural adaptations of Late Cretaceous dicotyledonous woods indicate that megathermal vegetation was an open-canopy, broad-leaved evergreen woodland that existed under low to moderate amounts of rainfall evenly distributed through the year, with a moderate increase at about 40–45°N. Many dicotyledons were probably large, massive trees, but the tallest trees were evergreen conifers. Megathermal climate extended up to paleolatitude 45–50°N. Mesothermal vegetation was at least partially an open, broad-leaved evergreen woodland (perhaps a mosaic of woodland and forest), but the evapotranspirational stress was less than in megathermal climate. Some dicotyledons were large trees, but most were shrubs or small trees; evergreen conifers were the major tree element. Some mild seasonality is evidenced in mesothermal woods; precipitational levels probably varied markedly from year to year. Northward of approximately paleolatitude 65°N, evergreen vegetation was replaced by predominantly deciduous vegetation. This replacement is presumably related primarily to seasonality of light. The southern part of the deciduous vegetation probably existed under mesothermal climate. Comparisons to leaf and wood assemblages from other continents are generally consistent with the vegetational-climatic patterns suggested from North American data. Limited data from equatorial regions suggest low rainfall. Late Cretaceous climates, except probably those of the Cenomanian, had only moderate change through time. Temperatures generally appear to have warmed into the Santonian, cooled slightly into the Campanian and more markedly into the Maastrichtian, and then returned to Santonian values by the late Maastrichtian. The early Eocene was probably warmer than any period of the Late Cretaceous. Latitudinal temperature gradients were lower than at present. For the Campanian and Maastrichtian, a gradient of about 0.3°C/1° latitude is inferred. Equability was high: a mean annual range of temperature of about 8°C is inferred for paleolatitude 51–56°N during the Campanian. Most Late Cretaceous plants evolved in a climate characterized by absence of freezing and low to moderate amounts of precipitation. A brief, low-temperature excursion and a major, long-lasting increase in precipitation occurred at the Cretaceous-Tertiary boundary. In megathermal climates, these events selected for plants that could exist in rainforest environments. In mesothermal climates, deciduousness and contamitant structural adaptations were selected. The events at the Cretaceous-Tertiary boundary had a major and long-lasting impact on the evolution of land plants and their ecosystems. Low precipitation at low to middle Late Cretaceous latitudes is suggested to be the result of high levels of atmospheric CO 2 , which, in turn, are probably related to inability of warm, saline oceans to store large amounts of carbon. Conditions appear to have rapidly changed at the Cretaceous-Tertiary boundary, when oceanic circulation and stratification may have been fundamentally altered. After the boundary, the oceans were apparently able to store much greater amounts of carbon, and the oceans withdrew large amounts of CO 2 from the atmosphere. In turn, more precipitation fell at low to middle latitudes; the resulting high-biomass vegetation formed a second major carbon reservoir to keep atmospheric CO 2 low relative to the Late Cretaceous. Changes in oceanic and atmospheric circulation probably resulted from some factor external to the ocean-atmosphere system.

Palaeogeography, Palaeoclimatology, Palaeoecology

Tectonic development of passive continental margins of the southern and central Red Sea with a comparison to Wilkes Land, Antarctica

The continental margins of the southern and central Red Sea and most of Wilkes Land, Antarctica have bulk crustal configurations and detailed structures that are best explained by a prolonged history of magmatic expansion that followed a brief, but intense period of mechanical extension. Extension on the Red Sea margins was spatially confined to a rift that was 20–30 km in width. The rifting phase along the Arabian margin of the central and southern Red Sea occurred 25–32 Ma ago, primarily by detachment faulting at upper crustal levels and ductile uniform stretching at depth. Rifting was followed by an early magmatic phase during which the margin was invaded by dikes and plutons, primarily of gabbro and diorite, at 20–24 Ma, after the crust was mechanically thinned from 40 km to ≈ 20 km. We infer continued spreading after that in which broad shelves were formed by a process of magmatic expansion, because the offshore crust is only 8–15 km thick, including sediment, and seismic reflection data do not depict horst and graben or half graben structures from which mechanical extension might be inferred. The Wilkes Land margin is similar to the Arabian example. The margin is about 150 km in width, the amount of upper crustal extension is too low to explain the change in sub-sediment crustal thickness from ≈ 35 km on the mainland to < 10 km beneath the margin and reflectors in the deepest seismic sequence are nearly flat lying. Our model requires large volumes of melt in the early stages of continental rifting. The voluminous melt might be partly a product of nearby hot spots, such as Afar and partly the result of an initial period of partial fusion in the deep continental lithosphere under lower temperatures than ordinarily required by dry solidus conditions.

Tectonophysics

Stratigraphy of Atlantic coastal margin of United States north of Cape Hatteras: Brief survey

A synthesis of studies of sea-floor outcrops of the sedimentary wedge beneath the northeastern United States continental shelf and slope and a reassessment of coastal plain Mesozoic stratigraphy, particularly of the coastal margin, provide insight for estimating the oil and gas potential and provide geologic control for marine seismic investigations of the Atlantic continental margin. The oldest strata known to crop out on the continental slope are late Campanian in age. The Cretaceous-Tertiary contact along the slope ranges from a water depth of 0.6 to 1.5 km south of Georges Bank to 1.8 km in Hudson Canyon. Few samples are available from Tertiary and Late Cretaceous outcrops along the slope. Sediments of the Potomac Group, chiefly of Early Cretaceous age, constitute a major deltaic sequence in the emerged coastal plain. This thick sequence lies under coastal Virginia, Maryland, Delaware, southeastern New Jersey, and the adjacent continental shelf. Marine sands associated with this deltaic sequence may be present seaward under the outer continental shelf. South of the Norfolk arch, under coastal North Carolina, carbonate rocks interfinger with Lower Cretaceous clastic strata. From all available data, Mesozoic correlations in coastal wells between coastal Virginia and Long Island have been revised. The Upper-Lower Cretaceous boundary is placed at the transition between Albian and Cenomanian floras. Potential hydrocarbon source beds are present along the coast in the subsurface sediments of Cretaceous age. Potential reservoir sandstones are abundant in this sequence.

Atlantic coastal plain

Challenges in observational seismology

Earthquake seismology became a quantitative scientific discipline after instruments were developed to record seismic waves in the late 19th century ( Dewey and Byerly, 1969 ; Chapter 1 by Agnew). Earthquake seismology is essentially based on field observations. The great progress made in the past several decades was primarily due to increasingly plentiful and high-quality data that are readily distributed. Our ability to collect, process, and analyze earthquake data has been accelerated by advances in electronics, communications, computers, and software (see Chapter 85 edited by Snoke and Garcia-Fernandez). Instrumental observation of earthquakes has been carried out for a little over 100 years by seismic stations and networks of various sizes, from local to global scales (see Chapter 87 edited by Lahr and van Eck). The observed data have been used, for example, (1) to compute the source parameters of earthquakes, (2) to determine the physical properties of the Earth's interior, (3) to test the theory of plate tectonics , (4) to map active faults, (5) to infer the nature of damaging ground shaking, and (6) to carry out seismic hazard analysis. Construction of a satisfactory theory of the earthquake process has not yet been achieved within the context of physical laws. Good progress, however, has been made in building a physical foundation of the earthquake source process, partly as a result of research directed toward earthquake prediction. This chapter is intended for a general audience. Technical details are not given, but relevant references and chapters in this Handbook are referred to. The first part of this chapter presents a brief overview of the observational aspects of earthquake seismology, concentrating on instrumental observations of seismic waves generated by earthquakes (i.e., seismic monitoring), and readers are referred to Chapter 49 by Musson and Cecic for noninstrumental observations. A few key developments and practices are summarized by taking a general view, since many national and regional developments have been chronicled in national and institutional reports (see Chapter 79 edited by Kisslinger). In the latter part of this chapter, the nature of seismic monitoring and some challenges in observational seismology are discussed from a personal perspective. Comments of a technical or philosophical nature are given in the Notes at the end of the chapter, and they are referenced by superscript numbers in the text.

International Geophysics

Summary of Survival Data from Juvenile Coho Salmon in the Klamath River, Northern California, 2007

A study to estimate the effects of Iron Gate Dam discharge on ESA-listed juvenile coho salmon during their seaward migration to the ocean was begun in 2005. Estimates of survival through various reaches of river downstream from the dam were completed in 2006 and 2007 as part of this process. This report describes the estimates of survival during 2007, and is a complement to a similar report from 2006. Further analyses will be included in a separate report. In 2007, a series of models were evaluated to determine what survival and capture probabilities of radio-tagged hatchery fish were in several reaches between Iron Gate Hatchery at river kilometer 309 and a site at river kilometer 33. The results indicate trends in survival among reaches were similar to those found in 2006, but the survival in 2007 was lower than in 2006. The differences in survivals from Iron Gate Hatchery to river kilometer 33 in 2006 (0.653 SE 0.039) and 2007 (0.497 SE 0.044) were caused primarily by differences in survivals upstream from the Scott River. This document is a brief summary of 2007 survival results.

Open-File Report

Sedimentary constraints on late Quaternary lake-level fluctuations at Bear Lake, Utah and Idaho

A variety of sedimentological evidence was used to construct the lake-level history for Bear Lake, Utah and Idaho, for the past ???25,000 years. Shorelines provide evidence of precise lake levels, but they are infrequently preserved and are poorly dated. For cored sediment similar to that in the modern lake, grain-size distributions provide estimates of past lake depths. Sedimentary textures provide a highly sensitive, continuous record of lake-level changes, but the modern distribution of fabrics is poorly constrained, and many ancient features have no modern analog. Combining the three types of data yields a more robust lake-level history than can be obtained from any one type alone. When smooth age-depth models are used, lake-level curves from multiple cores contain inconsistent intervals (i.e., one record indicates a rising lake level while another record indicates a falling lake level). These discrepancies were removed and the multiple records were combined into a single lake-level curve by developing age-depth relations that contain changes in deposition rate (i.e., gaps) where indicated by sedimentological evidence. The resultant curve shows that, prior to 18 ka, lake level was stable near the modern level, probably because the lake was overflowing. Between ca. 17.5 and 15.5 ka, lake level was ???40 m below the modern level, then fluctuated rapidly throughout the post-glacial interval. Following a brief rise centered ca. 15 ka ( = Raspberry Square phase), lake level lowered again to 15-20 m below modern from ca. 14.8-11.8 ka. This regression culminated in a lowstand to 40 m below modern ca. 12.5 ka, before a rapid rise to levels above modern ca. 11.5 ka. Lake level was typically lower than present throughout the Holocene, with pronounced lowstands 15-20 m below the modern level ca. 10-9, 7.0, 6.5-4.5, 3.5, 3.0-2.5, 2.0, and 1.5 ka. High lake levels near or above the modern lake occurred ca. 8.5-8.0, 7.0-6.5, 4.5-3.5, 2.5, and 0.7 ka. This lake-level history is more similar to records from Pyramid Lake, Nevada, and Owens Lake, California, than to those from Lake Bonneville, Utah. Copyright ?? 2009 The Geological Society of America.

Special Paper of the Geological Society of America

Enhanced terrestrial runoff during Oceanic Anoxic Event 2 on the North Carolina Coastal Plain, USA

A global increase in the strength of the hydrologic cycle drove an increase in the flux of terrigenous sediments into the ocean during the Cenomanian–Turonian Oceanic Anoxic Event 2 (OAE2) and was an important mechanism driving nutrient enrichment and thus organic carbon burial. This global change is primarily known from isotopic records, but global average data do not tell us anything about changes at any particular location. Reconstructions of local terrigenous flux can help us understand the role of regional shifts in precipitation in driving these global trends. The proto-North Atlantic basin was one of the epicenters of enhanced organic carbon burial during OAE2, so constraining terrigenous flux is particularly important in this region; however, few local records exist. Here, we present two new OAE2 records from the Atlantic Coastal Plain of North Carolina, USA, recognized with calcareous nannoplankton biostratigraphy and organic carbon isotopes. We use carbon / "> / nitrogen ratios to constrain the relative contribution of marine and terrestrial organic matter; in both cores we find an elevated contribution from vascular plants beginning just before OAE2 and continuing through the event, indicating a locally strengthened hydrologic cycle. Terrigenous flux decreased during the brief change in carbon isotope values known as the Plenus carbon isotope excursion; it then increased and remained elevated through the latter part of OAE2. Total organic carbon (TOC) values reveal relatively low organic carbon burial in the inner shelf, in contrast to black shales known from the open ocean. Organic carbon content on the shelf appears to increase in the offshore direction, highlighting the need for cores from the middle and outer shelf.

North Carolina

CEOS visualization environment (COVE) tool for intercalibration of satellite instruments

Increasingly, data from multiple instruments are used to gain a more complete understanding of land surface processes at a variety of scales. Intercalibration, comparison, and coordination of satellite instrument coverage areas is a critical effort of international and domestic space agencies and organizations. The Committee on Earth Observation Satellites Visualization Environment (COVE) is a suite of browser-based applications that leverage Google Earth to display past, present, and future satellite instrument coverage areas and coincident calibration opportunities. This forecasting and ground coverage analysis and visualization capability greatly benefits the remote sensing calibration community in preparation for multisatellite ground calibration campaigns or individual satellite calibration studies. COVE has been developed for use by a broad international community to improve the efficiency and efficacy of such calibration planning efforts, whether those efforts require past, present, or future predictions. This paper provides a brief overview of the COVE tool, its validation, accuracies, and limitations with emphasis on the applicability of this visualization tool for supporting ground field campaigns and intercalibration of satellite instruments.

IEEE Transactions on Geoscience and Remote Sensing

Value of the electrical log for estimating ground‐water supplies and the quality of the ground water

This paper gives a brief summary of studies of the value of the electrical log for estimating ground‐water supplies and the quality of the water in them made in Texas by the United States Geological Survey and cooperating parties. The electrical log has been found to be especially valuable in the Coastal Plain Region of Texas where the rocks consist mostly of a succession of clays or shales or sandy clays or shales lnterbedded with sands or sandstones. In that region the electrical log has been found to be more useful than the driller's log for correlating the principal water‐bearing horizons over wide areas. The log by itself is not an indicator of the permeability of the water‐bearing beds, nor a safe guide as to the quality of the water in them, but if it is studied in connection with other data, it is sure to tell an interesting and instructive story. Thus far in Texas no extensive studies have been made of the value of the electrical log in limestone aquifers or in sand or sandstone aquifers associated with limestone.

Texas

Glaciers of Antarctica

Of all the world's continents Antarctica is the coldest, the highest, and the least known. It is one and a half times the size of the United States, and on it lies 91 percent (30,109,800 km 3 ) of the estimated volume of all the ice on Earth. Because so little is known about Antarctic glaciers compared with what is known about glaciers in populated countries, satellite imagery represents a great leap forward in the provision of basic data. From the coast of Antarctica to about 81?south latitude, there are 2,514 Landsat nominal scene centers (the fixed geographic position of the intersection of orbital paths and latitudinal rows). If there were cloud-free images for all these geographic centers, only about 520 Landsat images would be needed to provide complete coverage. Because of cloud cover, however, only about 70 percent of the Landsat imaging area, or 55 percent of the continent, is covered by good quality Landsat images. To date, only about 20 percent of Antarctica has been mapped at scales of 1:250,000 or larger, but these maps do include about half of the coastline. The area of Antarctica that could be planimetrically mapped at a scale of 1:250,000 would be tripled if the available Landsat images were used in image map production. This chapter contains brief descriptions and interpretations of features seen in 62 carefully selected Landsat images or image mosaics. Images were chosen on the basis of quality and interest; for this reason they are far from evenly spaced around the continent. Space limitations allow less than 15 percent of the Landsat imaging area of Antarctica to be shown in the illustrations reproduced in this chapter. Unfortunately, a wealth of glaciological and other features of compelling interest is present in the many hundreds of images that could not be included. To help show some important features beyond the limit of Landsat coverage, and as an aid to the interpretation of certain features seen in the images, 38 oblique aerial photographs have been included. Again, these represent only a small fraction of the large number of aerial photographs now available in various national collections. The chapter is divided into five geographic sections. The first is the Transantarctic Mountains in the Ross Sea area. Some very large outlet glaciers flow from the East Antarctic ice sheet through the Transantarctic Mountains to the Ross Ice Shelf. Byrd Glacier, one of the largest in the world, drains an area of more than 1,000,000 km 2 . Next, images from the Indian Ocean sector are discussed. These include the Lambert Glacier- Amery Ice Shelf system, so large that about 25 images must be mosaicked to cover its complex system of tributary glaciers. Shirase Glacier, a tidal outlet glacier in the sector, flows at a speed of 2.5 km a -l . About 200 km inland and 200 km west of Shirase Glacier lie the Queen Fabiola ("Yamato") Mountains, whose extensive exposures of `blue ice' lay claim to being the world's most important meteorite-collecting locality, with more than 4,700 meteorite fragments discovered since 1969. The Atlantic Ocean sector is fringed by ice shelves into which flow large ice streams like Jutulstraumen, Stancomb-Wills, Slessor, and Recovery Glaciers. Filchner and Ronne Ice Shelves together cover an area two-thirds the size of Texas. From the western margin of the Ronne Ice Shelf, the north-trending arc of the Antarctic Peninsula, with its fjord and alpine landscape and fringing ice shelves, stretches towards South America. The Pacific Ocean sector begins with the Ellsworth Mountains, which include the highest peaks (Vinson Massif at 4,897 m) in Antarctica. The area between the Ellsworth Mountains and the eastern margin of the Ross Ice Shelf is fringed with small ice shelves and some major outlet glaciers. One of these, Pine Island Glacier, was found from comparing 1973 and 1975 images to have an average ice-front velocity of 2.4 km a -1 . This part of Antarctica contains many dormant volcanoes; the summits of servers, such as Mount Takahe with its 8-km-wide summit caldera, protrude through the West Antarctic ice sheet.

Professional Paper

Macroscopic and microscopic observations of particle-facilitated mercury transport from New Idria and Sulphur Bank mercury mine tailings

Mercury (Hg) release from inoperative Hg mines in the California Coast Range has been documented, but little is known about the release and transport mechanisms. In this study, tailings from Hg mines located in different geologic settings-New Idria (NI), a Si-carbonate Hg deposit, and Sulphur Bank (SB), a hot-spring Hg deposit-were characterized, and particle release from these wastes was studied in column experiments to (1) investigate the mechanisms of Hg release from NI and SB mine wastes, (2) determine the speciation of particle-bound Hg released from the mine wastes, and (3) determine the effect of calcinations on Hg release processes. The physical and chemical properties of tailings and the colloids released from them were determined using chemical analyses, selective chemical extractions, XRD, SEM, TEM, and X-ray absorption spectroscopy techniques. The total Hg concentration in tailings increased with decreasing particle size in NI and SB calcines (roasted ore), but reached a maximum at an intermediate particle size in the SB waste rock (unroasted ore). Hg in the tailings exists predominantly as low-solubility HgS (cinnabar and metacinnabar), with NI calcines having >50% HgS, SB calcines having >89% HgS, and SB waste rock having ???100% HgS. Leaching experiments with a high-ionic-strength solution (0.1 M NaCl) resulted in a rapid but brief release of soluble and particulate Hg. Lowering the ionic strength of the leach solution (0.005 M NaCl) resulted in the release of colloidal Hg from two of the three mine wastes studied (NI calcines and SB waste rock). Colloid-associated Hg accounts for as much as 95% of the Hg released during episodic particle release. Colloids generated from the NI calcines are produced by a breakup and release mechanism and consist of hematite, jarosite/alunite, and Al-Si gel with particle sizes of 10-200 nm. ATEM and XAFS analyses indicate that the majority (???78%) of the mercury is present in the form of HgS. SB calcines also produced HgS colloids. The colloids generated from the SB waste rock were heterogeneous and varied in composition according to the column influent composition. ATEM and XAFS results indicate that Hg is entirely in the HgS form. Data from this study identify colloidal HgS as the dominant transported form of Hg from these mine waste materials.

Environmental Science & Technology

Findings and lessons learned from the assessment of the Mexico-United States transboundary San Pedro and Santa Cruz aquifers: The utility of social science in applied hydrologic research

Study Region This study region encompasses the Transboundary San Pedro and Santa Cruz aquifers which are shared between the states of Sonora (Mexico) and Arizona (US). Special regional considerations include a semi-arid climate, basin-fill aquifers with predominantly montane recharge areas, economic drivers in the mining, trade, and military sectors, groundwater-dependent cities with expanding cones of depression, interbasin groundwater transfers, ground- and surface-water contamination, and protected aquatic and riparian habitats that act as significant migration corridors for hundreds of species, including some that are threatened and endangered. Study Focus We focus on lessons learned from the hydrologic assessment of the Transboundary San Pedro and Santa Cruz aquifers. We conducted the work, in two phases: (1) laying the groundwork and (2) implementation. The “laying the groundwork” phase consisted of binational meetings with stakeholders and key actors (agencies and individuals), and the development of an understanding of the physical, institutional, historical, and socio-political context. This led to signing of the binational Transboundary Aquifer Assessment Program (TAAP) agreement in 2009 and detailed the process for cooperation and coordination in the assessment of shared aquifers. The implementation phase began with an agreement to proceed with the study of four “focus” aquifers (Santa Cruz, San Pedro, Mesilla (Conejos-Médanos in Mexico), and Hueco Bolson (Bolsón del Hueco in Mexico)) and development of associated technical teams. Though we do include a brief discussion of the lessons learned from the physical science portion of the study, the results have been described and published elsewhere. The bulk of the paper instead focuses on the findings and lessons learned from the integration of social-science perspectives into a largely physical-science based program, since there is a growing recognition of the need for this type of approach especially in the management and assessment of transboundary aquifers. New Hydrological Insights for the Region The Sonora-Arizona effort succeeded because both countries were adequately represented, and because of flexibility of skills and ability of teams comprising both university and government scientists. Teams included social and earth scientists. Including the social sciences was critical to research design and implementation, and to addressing the cultural, institutional, and socio-political contexts of transboundary aquifer assessment. Significant components of the continuing implementation phase include strategic planning, data compilation and analysis, cross-border integration of datasets, geophysical and geochemical surveys, and internal, peer, and stakeholder engagement.

Arizona, Sonora