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At least 451 records · Page 25Linked to original sources

End-of-winter snow depth variability on glaciers in Alaska

A quantitative understanding of snow thickness and snow water equivalent (SWE) on glaciers is essential to a wide range of scientific and resource management topics. However, robust SWE estimates are observationally challenging, in part because SWE can vary abruptly over short distances in complex terrain due to interactions between topography and meteorological processes. In spring 2013, we measured snow accumulation on several glaciers around the Gulf of Alaska using both ground- and helicopter-based ground-penetrating radar surveys, complemented by extensive ground truth observations. We found that SWE can be highly variable (40% difference) over short spatial scales (tens to hundreds of meters), especially in the ablation zone where the underlying ice surfaces are typically rough. Elevation provides the dominant basin-scale influence on SWE, with gradients ranging from 115 to 400 mm/100 m. Regionally, total accumulation and the accumulation gradient are strongly controlled by a glacier's distance from the coastal moisture source. Multiple linear regressions, used to calculate distributed SWE fields, show that robust results require adequate sampling of the true distribution of multiple terrain parameters. Final SWE estimates (comparable to winter balances) show reasonable agreement with both the Parameter-elevation Relationships on Independent Slopes Model climate data set (9–36% difference) and the U.S. Geological Survey Alaska Benchmark Glaciers (6–36% difference). All the glaciers in our study exhibit substantial sensitivity to changing snow-rain fractions, regardless of their location in a coastal or continental climate. While process-based SWE projections remain elusive, the collection of ground-penetrating radar (GPR)-derived data sets provides a greatly enhanced perspective on the spatial distribution of SWE and will pave the way for future work that may eventually allow such projections.

Alaska

Survival of lake trout eggs on reputed spawning grounds in Lakes Huron and Superior: In situ incubation, 1987-1988

Lake trout reproduce widely in Lake Superior but little in Lake Huron. We examined whether survival of lake trout eggs and fry in either lake was reduced by physical disturbances and swim-up mortality. Eggs were collected from feral lake trout in Lake Superior and placed in 108 plastic incubators. A total of 48 incubators was set at Partridge Island Reef in southern Lake Superior, 48 were set at Port Austin Reef in southern Lake Huron, and 12 were held as controls inflowing well water at a laboratory. Survival-to-hatching of these eggs at Partridge Island Reef (18%) was significantly different from that at Port Austin Reef (43%) and significantly different in the laboratory (88%) from that at either reef (P < 0.05). During egg-fry incubation from 28 October 1987 to 5 May 1988, 11&ndash;18 cm of sediment accumulated in sediment traps placed on the reefs but < 1 cm of sediment was present on each reef in May 1988. Analysis showed that 44% of the eggs at Port Austin Reef and 28% of those at Partridge Island Reef were buried and killed by sediments. During the first week after deployment, mean wave energy was 90% higher at Partridge Island Reef and significantly different from that at Port Austin Reef. Wave energy may be a habitat condition that makes Partridge Island Reef less suitable than Port Austin Reef for incubation of lake trout eggs. Fry from eggs incubated at all three sites experienced no swim-up mortality. We conclude that in 1987&ndash;88 habitat conditions required for survival of lake trout eggs were more suitable at Port Austin Reef than at Partridge Island Reef.

Journal of Great Lakes Research

The geology, botany and chemistry of selected peat-forming environments from temperate and tropical latitudes

Peat has been studied in several geologic settings: (1) glaciated terrain in cold temperate Maine and Minnesota, U.S.A.; (2) an island in the Atlantic Ocean off the coast of Maine, where sea level is rising; (3) the warm temperate U.S. Atlantic and Gulf Coastal Plains, where sea level has changed often; and (4) the tropical coast of Sarawak, Malaysia, and the tropical delta of the Batang Hari River, Sumatra, Indonesia. Most of these deposits are domed (ombrotrophic or partly ombrotrophic) bogs in which peat accumulation continued above the surface of the surrounding soil. However, the bogs of the U.S. Atlantic and Gulf Coastal Plains are comparatively not as domed, and many have almost level surfaces. In some bogs, aquatic or semi-aquatic plant materials accumulated, replaced water in the depressions, and formed a surface on which marsh or swamp vegetation could subsequently live, die, and accumulate. In others, the plant materials accumulated initially on level silt or sand surfaces supporting marshes or swamps. As the peat dome formed, plants growing on it changed from luxuriant ones near the base of the dome, where nutrients were brought into the bog by surface and ground water, to stunted ones at the top of the dome, where the raised bogs are fed by nutrient-poor precipitation. The physical and chemical changes that take place in the sequence of environments from the pond stage of deposit development, through the grassy marsh stage, through the forested swamp stage, and finally through the heath dome stage can be measured in terms of acidity and ash, volatile matter, carbon, hydrogen, nitrogen, sulfur and oxygen contents, as well as in the kind and distribution of trace elements. The organic and inorganic contents of the deposits relate to geomorphology, and geomorphology relates to their settings. As models of coal formation, some domed peat deposits may help in solving problems of distribution and character of ancient coal beds. But clearly not all peat deposits are precursors of coal. Most Holocene peat deposits are subject to destruction by erosion, fire and decomposition through microbial and chemical oxidation before burial. The best environments for coal precursors have biomass accumulation, a continuously rising water table within the mass, and minimum influx of clay and silt until preservation by burial. The most suitable settings for future economic coal deposits are domed bogs that accumulate thick, widespread peat having low ash and low sulfur contents. The ombrotrophic peat deposits of tropical Sarawak and Sumatra are thick and extensive, contain low-ash and low-sulfur peat, and have high heating values. They are considered to be the best tropical coal analogs because of their extent and chances of preservation; the base of the peat is below adjacent river levels, and chemical and structural conditions are favorable for accumulation.

International Journal of Coal Geology

Response of fish assemblages to restoration of rapids habitat in a Great Lakes connecting channel

Rapids habitats are critical spawning and nursery grounds for multiple Laurentian Great Lakes fishes of ecological importance such as lake sturgeon, walleye, and salmonids. However, river modifications have destroyed important rapids habitat in connecting channels by modifying flow profiles and removing large quantities of cobble and gravel that are preferred spawning substrates of several fish species. The conversion of rapids habitat to slow moving waters has altered fish assemblages and decreased the spawning success of lithophilic species. The St. Marys River is a Great Lakes connecting channel in which the majority of rapids habitat has been lost. However, rapids habitat was restored at the Little Rapids in 2016 to recover important spawning habitat in this river. During the restoration, flow and substrate were recovered to rapids habitat. We sampled the fish community (pre- and post-restoration), focusing on age-0 fishes in order to characterize the response of the fish assemblage to the restoration, particularly for species of importance (e.g. lake whitefish, walleye, Atlantic salmon). Following restoration, we observed a 40% increase in age-0 fish catch per unit effort , increased presence of rare species, and a shift in assemblage structure of age-0 fishes (higher relative abundance of Salmonidae, Cottidae, and Gasterosteidae). We also observed a “transition” period in 2017, in which the assemblage was markedly different from the pre- and post-restoration assemblages and was dominated by Catostomidae. Responses from target species were mixed, with increased Atlantic salmon abundance, first documented presence of walleye and no presence of lake sturgeon or Coregoninae.

Michigan, Ontario

Thermal detectability of subsurface water ice on Mars: A comparative analysis for the Subsurface Water Ice Mapping (SWIM) Project

We have developed a new global map of shallow ground ice distribution, SWIM23, based on Mars Global Surveyor Thermal Emission Spectrometer data and made systematic comparisons between this new map and two similar, previously developed data products. We have explored the origin of differences between the three ice maps by detailing technical and procedural differences in their development, by making global pixel-by-pixel comparisons, and by carrying out a series of one-dimensional thermal simulations to explore fundamental physical limitations of thermal ice-detection techniques. These efforts and the production of a composite thermal ice-consistency map supported integration of multiple geophysical data products relevant to ice detection in the upper meter of the Martian regolith into the larger Mars Subsurface Water Ice Mapping project. Our work also highlights fundamental physical limitations to thermal ice detection as a technique, particularly the rapid fall-off in ice detection sensitivity at depths >30 cm, which produces maximum uncertainty in the presence and depth of ice within regions preferred for potential human landing sites. A future Mars orbiter mission designed to detect ice and support crewed landing site selection in the midlatitude region should give payload priority to an instrument capable of probing the 1–5 m depth range (i.e., a high-frequency radar), over a next-generation thermal spectrometer, which is unlikely to offer clarity on ice table depths or lateral continuity of the ice table in the locations of highest interest.

Planetary Science Journal

Isotope variations in a Sierra Nevada snowpack and their relation to meltwater

Isotopic variations in melting snow are poorly understood. We made weekly measurements at the Central Sierra Snow Laboratory, California, of snow temperature, density, water equivalent and liquid water volume to examine how physical changes within the snowpackgovern meltwater δ 18 O. Snowpack samples were extracted at 0.1 m intervals from ground level to the top of the snowpack profile between December 1991 and April 1992. Approximately 800 mm of precipitation fell during the study period with δ 18 O values between −21.35 and −4.25‰. Corresponding snowpack δ 18 O ranged from −22.25 to −6.25‰. The coefficient of variation of δ 18 O in snowpack levels decreased from −0.37 to −0.07 from winter to spring, indicating isotopic snowpack homogenization. Meltwater δ 18 O ranged from −15.30 to −8.05‰, with variations of up to 2.95‰ observed within a single snowmeltepisode, highlighting the need for frequent sampling. Early snowmelt originated in the lower snowpack with higher δ 18 O through ground heat flux and rainfall. After the snowpack became isothermal, infiltrating snowmelt displaced the higher δ 18 O liquid in the lower snowpack through a piston flow process. Fractionation analysis using a two-component mixing model on the isothermal snowpack indicated that δ 18 O in the initial and final half of major snowmelt was 1.30‰ lower and 1.45‰ higher, respectively, than the value from simple mixing. Mean snowpack δ 18 O on individual profiling days showed a steady increase from −15.15 to −12.05‰ due to removal of lower δ 18 O snowmelt and addition of higher δ 18 O rainfall. Results suggest that direct sampling of snowmelt and snow cores should be undertaken to quantify tracer input compositions adequately. The snowmelt sequence also suggests that regimes of early lower δ 18 O and later higher δ 18 O melt may be modeled and used in catchment tracing studies.

Journal of Hydrology

Use of ground-penetrating radar and continuous seismic-reflection profiling on surface-water bodies in environmental and engineering studies

Ground‐penetrating radar (GPR) and continuous seismic‐reflection profiling (CSP) on shallow rivers, lakes, and ponds are efficient and economical ways of obtaining subsurface hydrologic and geologic information for environmental and engineering studies. These methods are similar in that they produce continuous subsurface profiles, are easy to use in some applications, and the records can occasionally be straightforward to interpret. They are dissimilar in that GPR cannot penetrate electrically conductive water or subsurface sediments, and CSP usually cannot operate in water less than 5 feet (ft.) deep. GPR records collected on a lake in New Hampshire have been interpreted to estimate the depth to bedrock and to evaluate the grain‐size characteristics of the underlying stratified drift at the lakeshore boundary. In a pond in Massachusetts, CSP and GPR were used to determine depth to bedrock and the grain‐size characteristics of the subbottom materials in part of the pond. Water‐column multiple reflections, depth and conductivity of water and subsurface materials, and diffractions degraded the quality of the GPR records. CSP records collected in the Connecticut River near Hartford, Connecticut were used to estimate the depth of till and bedrock interfaces and to evaluate grain‐size characteristics of subsurface materials. Interpreted CSP records also can indicate bedding planes within consolidated rock units. Water‐column multiple reflections and very shallow water degraded the quality of the CSP records. GPR and CSP methods have been used to delineate infilled scour holes near bridge piers. Scour holes that were filled with up to 8 ft. of loose sand were mapped during engineering scour studies near a bridge in Connecticut. Because GPR and CSP operate on different physical principles, the two geophysical methods complement each other. Depending on the required depth of penetration and the degree of resolution needed, one or both of these methods can be used to acquire accurate and reliable subsurface hydrologic and geologic information critical to environmental and engineering studies.

Journal of Environmental & Engineering Geophysics

Survival of northern pintails banded during winter in North America, 1950-88

From 1950 through 1988, the continental breeding population of northern pintails ( Anas acuta ) varied from 2.0 million to 9.9 million. Because pintails have high fidelity to certain wintering grounds along coasts and large bodies of water, management on these wintering areas may increase population size if changes in winter survival rate are related to changes in population size. I used band-recovery data to estimate survival rates for winter-banded pintails and to test for sex-specific, temporal, and geographic variation in survival rates. Survival rate estimates varied between 0.632 and 0.806 for males, and 0.421 and 0.769 for females. Males had higher ( P < 0.0001) average annual survival rates than females. Limited geographic variation occurred in estimates of average annual survival rates for males, and no variation occurred for females. Males had lower average annual survival rates in the Imperial Valley than in central California ( P = 0.007) or in the Gulf Coast ( P = 0.092). Little annual variation was found within time periods. However, longer-term variation was found in survival rate estimates for males and females. Males had higher ( P = 0.054) average annual survival rates in the Pacific Flyway during 1959-61, a period of drought, breeding-population decline, and restrictive hunting regulations, than during 1950-58, a period with a higher breeding population and liberal regulations. The increase in wintering population size in the Pacific Flyway during the 1970's was associated with a higher average annual survival rate for females in the Pacific Flyway than during the 1950's. Results from the Pacific Flyway suggested that an interaction may exist between population size and the effect of harvest regulations on survival of males. Changes in harvest regulations appeared to have a greater effect at lower population levels.

North America

Evaluation of remote mapping techniques for earthquake-triggered landslide inventories in an urban subarctic environment: A case study of the 2018 Anchorage, Alaska Earthquake

Earthquake-induced landslide inventories can be generated using field observations but doing so can be challenging if the affected landscape is large or inaccessible after an earthquake. Remote sensing data can be used to help overcome these limitations. The effectiveness of remotely sensed data to produce landslide inventories, however, is dependent on a variety of factors, such as the extent of coverage, timing, and data quality, as well as environmental factors such as atmospheric interference (e.g., clouds, water vapor) or snow and vegetation cover. With these challenges in mind, we use a combination of field observations and remote sensing data from multispectral, light detection and ranging (lidar), and synthetic aperture radar (SAR) sensors to produce a ground failure inventory for the urban areas affected by the 2018 magnitude (M w ) 7.1 Anchorage, Alaska earthquake. The earthquake occurred during late November at high latitude (∼61°N), and the lack of sunlight, persistent cloud cover, and snow cover that occurred after the earthquake made remote mapping challenging for this event. Despite these challenges, 43 landslides were manually mapped and classified using a combination of the datasets mentioned previously. Using this manually compiled inventory, we investigate the individual performance and reliability of three remote sensing techniques in this environment not typically hospitable to remotely sensed mapping. We found that differencing pre- and post-event normalized difference vegetation index maps and lidar worked best for identifying soil slumps and rapid soil flows, but not as well for small soil slides, soil block slides and rock falls. The SAR-based methods did not work well for identifying any landslide types because of high noise levels likely related to snow. Some landslides, especially those that resulted in minor surface displacement, were identifiable only from the field observations. This work highlights the importance of the rapid collection of field observations and provides guidance for future mappers on which techniques, or combination of techniques, will be most effective at remotely mapping landslides in a subarctic and urban environment.

Alaska

Geophysical investigations of geology and structure at the Martis Creek Dam, Truckee, California

A recent evaluation of Martis Creek Dam highlighted the potential for dam failure due to either seepage or an earthquake on nearby faults. In 1972, the U.S. Army Corps of Engineers constructed this earthen dam, located within the Truckee Basin to the north of Lake Tahoe, CA for water storage and flood control. Past attempts to raise the level of the Martis Creek Reservoir to its design level have been aborted due to seepage at locations downstream, along the west dam abutment, and at the base of the spillway. In response to these concerns, the U.S. Geological Survey has undertaken a comprehensive suite of geophysical investigations aimed at understanding the interplay between geologic structure, seepage patterns, and reservoir and groundwater levels. This paper concerns the geologic structure surrounding Martis Creek Dam and emphasizes the importance of a regional-scale understanding to the interpretation of engineering-scale geophysical data. Our studies reveal a thick package of sedimentary deposits interbedded with Plio-Pleistocene volcanic flows; both the deposits and the flows are covered by glacial outwash. Magnetic field data, seismic tomography models, and seismic reflections are used to determine the distribution and chronology of the volcanic flows. Previous estimates of depth to basement (or the thickness of the interbedded deposits) was 100 m. Magnetotelluric soundings suggest that electrically resistive bedrock may be up to 2500 m deep. Both the Polaris Fault, identified outside of the study area using airborne LiDAR, and the previously unnamed Martis Creek Fault, have been mapped through the dam area using ground and airborne geophysics. Finally, as determined by direct-current resistivity imaging, time-domain electromagnetic sounding, and seismic refraction, the paleotopography of the interface between the sedimentary deposits and the overlying glacial outwash plays a principal role both in controlling groundwater flow and in the distribution of the observed seepage.

California

Assessment of a ground water flow model of the Bangkok Basin, Thailand, using carbon-14-based ages and paleohydrology

A study was undertaken to understand the groundwater flow conditions in the Bangkok Basin, Thailand, by comparing 14 C-based and simulated groundwater ages. 14 C measurements were made on about 50 water samples taken from wells throughout the basin. Simulated ages were obtained using 1) backward-pathline tracking based on the well locations, and 2) results from a three-dimensional groundwater flow model. Comparisons of ages at these locations reveal a large difference between 14 C-based ages and ages predicted by the steady-state groundwater flow model. Mainly, 14 C and 13 C analyses indicate that groundwater in the Bangkok area is about 20,000 years old, whereas steady-state flow and transport simulations imply that groundwater in the Bangkok area is 50,000–100,000 years old. One potential reason for the discrepancy between simulated and 14 C-based ages is the assumption in the model of steady-state flow. Groundwater velocities were probably greater in the region before about 10,000 years ago, during the last glacial maximum, because of the lower position of sea level and the absence of the surficial Bangkok Clay. Paleoflow conditions were estimated and then incorporated into a second set of simulations. The new assumption was that current steady-state flow conditions existed for the last 8,000 years but were preceded by steady-state conditions representative of flow during the last glacial maximum. This “transient” paleohydrologic simulation yielded a mean simulated age that more closely agrees with the mean 14 C-based age, especially if the 14 C-based age corrected for diffusion into clay layers. Although the uncertainties in both the simulated and 14 C-based ages are nontrivial, the magnitude of the improved match in the mean age using a paleohydrologic simulation instead of a steady-state simulation suggests that flow conditions in the basin have changed significantly over the last 10,000–20,000 years. Given that the valid age range of 14 C-dating methods and the timing of the last glacial maximum are of similar magnitude, adjustments for paleohydrologic conditions may be required for many such studies.

Hydrogeology Journal

Use of airborne and terrestrial lidar to detect ground displacement hazards to water systems

We investigate the use of multiepoch airborne and terrestrial lidar to detect and measure ground displacements of sufficient magnitude to damage buried pipelines and other water system facilities that might result, for example, from earthquake or rainfall-induced landslides. Lidar scans are performed at three sites with coincident measurements by total station surveying. Relative horizontal accuracy is evaluated by measurements of lateral dimensions of well defined objects such as buildings and tanks; we find misfits ranging from approximately 5 to 12 cm, which is consistent with previous work. The bias and dispersion of lidar elevation measurements, relative to total station surveying, is assessed at two sites: (1) a power plant site (PP2) with vegetated steeply sloping terrain; and (2) a relatively flat and unvegetated site before and after trenching operations were performed. At PP2, airborne lidar showed minimal elevation bias and a standard deviation of approximately 70 cm, whereas terrestrial lidar did not produce useful results due to beam divergence issues and inadequate sampling of the study region. At the trench site, airborne lidar showed minimal elevation bias and reduced standard deviation relative to PP2 (6-20 cm), whereas terrestrial lidar was nearly unbiased with very low dispersion (4-6 cm). Pre- and posttrench bias-adjusted normalized residuals showed minimal to negligible correlation, but elevation change was affected by relative bias between epochs. The mean of elevation change bias essentially matches the difference in means of pre- and posttrench elevation bias, whereas elevation change standard deviation is sensitive to the dispersion of individual epoch elevations and their correlation coefficient. The observed lidar bias and standard deviations enable reliable detection of damaging ground displacements for some pipelines types (e.g., welded steel) but not all (e.g., concrete with unwelded, mortared joints). ?? ASCE 2009.

Journal of Surveying Engineering

Groundwater-level trends in the U.S. glacial aquifer system, 1964-2013

The glacial aquifer system in the United States is a major source of water supply but previous work on historical groundwater trends across the system is lacking. Trends in annual minimum, mean, and maximum groundwater levels for 205 monitoring wells were analyzed across three regions of the system (East, Central, West Central) for four time periods: 1964-2013, 1974-2013, 1984-2013, and 1994-2013. Trends were computed separately for wells in the glacial aquifer system with low potential for human influence on groundwater levels and ones with high potential influence from activities such as groundwater pumping. Generally there were more wells with significantly increasing groundwater levels (levels closer to ground surface) than wells with significantly decreasing levels. The highest numbers of significant increases for all four time periods were with annual minimum and/or mean levels. There were many more wells with significant increases from 1964 to 2013 than from more recent periods, consistent with low precipitation in the 1960s. Overall there were low numbers of wells with significantly decreasing trends regardless of time period considered; the highest number of these were generally for annual minimum groundwater levels at wells with likely human influence. There were substantial differences in the number of wells with significant groundwater-level trends over time, depending on whether the historical time series are assumed to be independent, have short-term persistence, or have long-term persistence. Mean annual groundwater levels have significant lag-one-year autocorrelation at 26.0% of wells in the East region, 65.4% of wells in the Central region, and 100% of wells in the West Central region. Annual precipitation across the glacial aquifer system, on the other hand, has significant autocorrelation at only 5.5% of stations, about the percentage expected due to chance.

Journal of Hydrology

The lacustrine carbon cycle as illuminated by the waters and sediments of two hydrologically distinct headwater lakes in north-central Minnesota, U.S.A

The accumulation rates of CaCO 3 and organic carbon (OC) in lake sediments are delicately balanced between production in the epilimnion and destruction in the hypolimnion. The cycling of these two forms of carbon makes a "carbon pump" that greatly affects the biogeochemical cycles of other elements. To further understand these biogeochemical dynamics, the lakes, streams, and wetlands of the Shingobee River headwater area of north-central Minnesota have been subjected to intensive hydrologic and biogeochemical studies. Williams Lake, situated close to the highest point in the regional flow system, is hydrologically closed, with no surface inlet or outlet, and ground water and precipitation as the only sources of water. Shingobee Lake, situated at the lowest point in the regional flow system, has the Shingobee River as an inlet and outlet. The surface waters of both lakes are oversaturated, and the bottom waters undersaturated, with respect to CaCO 3 during the summer. The small amount of CaCO 3 that is precipitated in the epilimnion of Williams Lake during the summer is dissolved in the undersaturated hypolimnion and sediments with the result that no CaCO 3 is incorporated into the profundal surface sediments. Because of the high phytoplankton productivity of Shingobee Lake, sufficient CaCO 3 is produced in the epilimnion that large amounts survive the corrosive hypolimnion and sediments, and an average of 46 wt. % accumulates in surface sediments. Another consequence of higher phytoplankton productivity in Shingobee Lake is that the hypolimnion becomes oxygen deficient within a month after overturn in both the spring and fall. Because of reducing conditions that develop in the hypolimnion of Shingobee Lake, high concentrations of dissolved Fe and Mn accumulate there during summer stratification. Precipitation of Fe and Mn oxyhydroxides during periods of fall and spring overturn results in high concentrations of Fe and Mn in surface sediments. In Williams Lake, high concentrations of Fe and Mn do not build up in the hypolimnion. The concentration of CaCO 3 is about 80 wt. % in lower Holocene sediments of both lakes. The lower Holocene sediments in both lakes also contain high concentrations of Fe and Mn, and the lower Holocene sediments of Shingobee are laminated. The waters of both lakes had identical values of δ 13 C and δ 18 O during the early Holocene, but the waters of Williams Lake "evolved" during the early Holocene, increasing about 10‰ in both δ 13 C and δ 18 O. Deposits of lacustrine marl occur as much as seven meters above the present elevation of Williams Lake, the highest of the two lakes. Taken together, these observations suggest that the lakes were once connected to form a larger lake called Lake Willobee with a hypolimnion that was anoxic, at least seasonally.

Minnesota

Factors determining Pochard nest predation along a wetland gradient

Waterfowl management on breeding grounds focuses on improving nest success, but few studies have compared waterfowl nest success and factors affecting nest survival along a wetland gradient and simultaneously identified nest predators. We monitored nests (n = 195) of common pochards ( Aythya ferina ) in Trebon Basin Biosphere Reserve, Czech Republic, during 1999–2002. Daily nest survival rates (DSRs, logistic-exposure) declined from island (0.985, 95% confidence interval, 0.978–0.991) to overwater (0.962, 0.950–0.971) and terrestrial (0.844, 0.759–0.904) nests. The most parsimonious model for DSRs included habitat class (DSRs: island > overwater > terrestrial) and nest visibility. Nest survival was improved by reduced nest visibility, increased water depth, and increased distance from the nest to habitat edge in littoral habitats. On islands, nest success increased with advancing date and increased distance to open water. A model of constant nest survival best explained the data for terrestrial nests. There were no observer effects on DSRs in any habitat. In 2003, artificial nests ( n = 180; 120 contained a wax-filled egg) were deployed on study plots. The model that best explained variation in DSRs for artificial nests included only 1 variable: habitat class (DSRs: island ≥ overwater > terrestrial). Mammalian predation of artificial nests (by foxes [ Vulpes vulpes ] and martens [ Martes spp.]) was more likely in terrestrial habitats than in littoral habitats or on islands. By contrast, corvids and marsh harriers ( Circus aeruginosus ) prevailed among predators of overwater and island nests. Our data indicate that artificial islands and wide strips of littoral vegetation may represent secure breeding habitats for waterfowl because those habitats allow nests to be placed in areas that are not accessible to, or that are avoided by, mammalian predators. Management actions should be aimed at preserving these habitats. This, along with creation of new artificial islands, could help to enhance breeding productivity of pochards and possibly other waterfowl species inhabiting man-made ponds.

Trebon Basin Biosphere Reserve

Geochemistry and fluxes of gases from hydrothermal features at Newberry Volcano, Oregon, USA

We present the chemical and isotopic compositions of gases and fluxes of CO 2 from the hydrothermal features of Newberry Volcano, a large composite volcano located in Oregon's Cascade Range with a summit caldera that hosts two lakes, Paulina and East Lakes. Gas samples were collected from 1982 to 2021 from Paulina Hot Springs (PHS) on the shore of Paulina Lake, East Lake Hot Springs (ELHS) on the shore of East Lake, and Obsidian Flow Gas Seep (OFGS), an area of diffuse gas emissions. Surveys of CO 2 flux were conducted in 2020 at OFGS (1400 m 2 ) and East Lake (4.1 km 2 ). Gases from all three sites were CO 2 -rich (≥79 mol% in dry gas) but showed considerable compositional variability over time due to interaction with ground and surface water. An increase in H 2 S concentrations and decline in CO 2 /H 2 S ratios in ELHS gases coincided with a drop in East Lake water level from 1999 to 2021. ELHS and OFGS gases were high in CH 4 relative to PHS and the δ 13 C of CH 4 values for ELHS gases (−72.2 and − 63.6 ‰) reflected a predominantly biogenic origin. The dominant source of N 2 and Ar in PHS, ELHS, and OFGS samples was likely groundwater. Helium isotopic ratios (6.47 to 8.02 R c /R a ) support a persistent source of magmatic He beneath Newberry caldera and consistently high values measured at OFGS and PHS relative to ELHS suggest distinct fluid flow paths from depth to the surface features. The δ 13 C of CO 2 and CO 2 / 3 He values (−8.9 to −5.35 ‰ and 1.3 × 10 9 to 4.6 × 10 10 , respectively) measured in gases reflect contributions of CO 2 from both mantle and crustal sources. Measured CO 2 fluxes at OFGS and East Lake ranged from 1 to 8808 and < 1 to 364 g m −2 d −1 , respectively. A CO 2 emission rate of 0.5 t d −1 was calculated for OFGS. The CO 2 emission rate estimated for East Lake was 30 t d −1 and when compared to prior estimates, reflects steady-state lake degassing. An enhanced geochemical monitoring plan, including annual sampling of gases at ELHS, OFGS, and PHS for geochemical analysis, installation of a continuous lake-level monitoring station at East Lake, and annual CO 2 flux surveys at OFGS, would provide valuable background data and insights into any precursor volcanic activity. Integrating geochemical data with data from the real-time seismic and GPS network at Newberry Volcano could better resolve and interpret potential changes in its magma-hydrothermal system.

Oregon

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative—2014 annual report

This is the seventh report produced by the U.S. Geological Survey (USGS) for the Wyoming Landscape Conservation Initiative (WLCI) to detail annual activities conducted by the USGS for addressing specific management needs identified by WLCI partners. In FY2014, there were 26 projects, including a new one that was completed, two others that were also completed, and several that entered new phases or directions. The 26 projects fall into several categories: (1) synthesizing and analyzing existing data to identify current conditions on the landscape and using the data to develop models for projecting past and future landscape conditions; (2) monitoring indicators of ecosystem conditions and the effectiveness of on-the-ground habitat projects; (3) conducting research to elucidate the mechanisms underlying wildlife and habitat responses to changing land uses; (4) managing and making accessible the large number of databases, maps, and other products being developed; and (5) coordinating efforts among WLCI partners, helping them use USGS-developed decision-support tools, and integrating WLCI outcomes with future habitat enhancement and research projects. The new (completed) project was the development and publication of a public outreach piece for visitors of Fossil Butte National Monument. The final product was a USGS Fact Sheet that capitalized on previously collected elk-monitoring data to interpret the ecology of the Monument&rsquo;s elk population and the importance of the Monument&rsquo;s habitats to this highly visible wildlife species. One of the completed projects entailed developing and evaluating a synthetic approach to high-resolution satellite imagery for use in effectiveness monitoring, which culminated in a journal article. The other completed project was a coalescing of two similar tasks under data and information management that pertain to Web application development and the development of outreach and graphic products into a single integrated project that focuses on developing and maintaining/upgrading Web applications and other tools for visualizing, mapping, and using geospatial data. Major accomplishments for FY2014 included several publications, including Part B of an energy resources map that (with Part A) depicts coal, wind, oil, gas, oil shale, uranium, and solar energy production in the WLCI region. Two published works associated with sage-grouse included a Wildlife Monograph on prioritizing species&rsquo; habitats across large landscapes, multiple seasons, and novel areas (using sage-grouse in Wyoming as an example), and a USGS Data Series report that includes both the data used in the habitat-prioritization models and the habitat prioritization models developed for sage-grouse. Our Science Team also published a framework for conducting large, collaborative projects that rely on geospatial data, and a paper that describes the efficacy of fusing satellite data collected at various resolutions for measuring and monitoring vegetation changes. These products are all invaluable tools for maximizing the efficiency and effectiveness of managing species of concern, conducting future landscape-scale assessments, and monitoring status and trends of landscape conditions. Other highlights of FY2014 included a renewed effort to gather and analyze wildlife and habitat status and trend data for the WLCI Interagency Monitoring Database (IAMD) to assess long-term trends and cumulative effects associated with land-use and climate changes. Water-monitoring efforts included drilling four new groundwater-monitoring wells in the Green and New Fork River basins near the proposed Normally Pressured Lance Formation energy development, and continued data collection at established water-monitoring sites. Three additional wells were sampled as part of the Wyoming Groundwater Monitoring Network, bringing the total to 19 Network wells sampled in the WLCI region since 2010. Combined, these water-monitoring efforts can help to identify potential changes in water quality or levels that may result from land-use changes. Major terrestrial monitoring accomplishments included processing satellite imagery from 1985&minus;2010 to develop a historical perspective of long-term vegetation changes, which can serve as a basis for monitoring current and future trends in sagebrush steppe. Such data are crucial tools for agencies tasked with sage-grouse management and conservation. The USGS WLCI Science Team also continued monitoring and testing methods for evaluating WLCI habitat treatments designed to promote aspen regeneration and enhance sage-grouse habitat, and to assess how those treatments influence invasive species distributions and ungulate herbivory. Highlights included analyzing field data collected to elucidate the relationships between sage-grouse habitat use and the proximity of energy infrastructure, and using new instruments to measure productivity responses of aspen woodlands to various factors. Numerous FY2014 accomplishments specifically addressed agency needs to manage and conserve Wyoming&rsquo;s wildlife species of concern. A pygmy rabbit habitat model and Wyoming distribution map were completed to identify factors associated with rabbit habitat occupancy. Previous work on sage-grouse population dynamics was expanded to better understand the factors that drive long-term viability of sage-grouse populations and to develop a tool that helps to identify key factors limiting sage-grouse persistence in Wyoming. Field work and data analyses continued for elucidating the relationships between sagebrush songbird abundance and productivity, the intensity of energy development, and community dynamics of nest predators. For the mule deer study, mixed mountain shrublands important to migrating and wintering mule deer were mapped and delivered to WLCI partners. Additionally, the relationships between energy development and crucial winter habitat for mule deer were evaluated, and a new phase of work was implemented to better understand relationships between plant phenology and mule deer migration movements. Finally, initial analyses of data collected to evaluate fish-community composition in relation to habitat quality indicate that water quality, as measured by concentrations of hydrocarbons, water temperature, and others parameters, has been diminished in subwatersheds with higher levels of energy development. Overall, the outcomes and products of these wildlife studies contribute significantly to the information and tools needed for addressing effects of land-use changes on Wyoming&rsquo;s species of concern. Finally, capabilities of the WLCI Web site and the USGS ScienceBase infrastructure were maintained and upgraded to help ensure access to and efficient use of all the WLCI data, products, assessment tools, and outreach materials that have been developed. Of particular note is the completion of three Web applications developed for mapping (1) the 1900&minus;2008 progression of oil and gas development;(2) the predicted distributions of Wyoming&rsquo;s Species of Greatest Conservation Need; and (3) the locations of coal and wind energy production, sage-grouse distribution and core management areas, and alternative routes for transmission lines within the WLCI region. Collectively, these applications tools provide WLCI planners and managers with powerful tools for better understanding the distributions of wildlife species and potential alternatives for energy development.

Wyoming

Mineral Commodity Summaries 2008

Each chapter of the 2008 edition of the U.S. Geological Survey (USGS) Mineral Commodity Summaries (MCS) includes information on events, trends, and issues for each mineral commodity as well as discussions and tabular presentations on domestic industry structure, Government programs, tariffs, 5-year salient statistics, and world production and resources. The MCS is the earliest comprehensive source of 2007 mineral production data for the world. More than 90 individual minerals and materials are covered by two-page synopses. National reserves and reserve base information for most mineral commodities found in this report, including those for the United States, are derived from a variety of sources. The ideal source of such information would be comprehensive evaluations that apply the same criteria to deposits in different geographic areas and report the results by country. In the absence of such evaluations, national reserves and reserve base estimates compiled by countries for selected mineral commodities are a primary source of national reserves and reserve base information. Lacking national assessment information by governments, sources such as academic articles, company reports, common business practice, presentations by company representatives, and trade journal articles, or a combination of these, serve as the basis for national reserves and reserve base information reported in the mineral commodity sections of this publication. A national estimate may be assembled from the following: historically reported reserves and reserve base information carried for years without alteration because no new information is available; historically reported reserves and reserve base reduced by the amount of historical production; and company reported reserves. International minerals availability studies conducted by the U.S. Bureau of Mines, before 1996, and estimates of identified resources by an international collaborative effort (the International Strategic Minerals Inventory) are the basis for some reserves and reserve base estimates. The USGS collects information about the quantity and quality of mineral resources but does not directly measure reserves, and companies or governments do not directly report reserves or reserve base to the USGS. Reassessment of reserves and reserve base is a continuing process and the intensity of this process differs for mineral commodities, countries, and time period. Abbreviations and units of measure, and definitions of selected terms used in the report, are in Appendix A and Appendix B, respectively. A resource/reserve classification for minerals, based on USGS Circular 831 (published with the U.S. Bureau of Mines) is Appendix C, and a directory of USGS minerals information country specialists and their responsibilities is Appendix D. The USGS continually strives to improve the value of its publications to users. Constructive comments and suggestions by readers of the MCS 2008 are welcomed.

Mineral Commodity Summaries