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Hydrology of carbonate rock terranes — A review: With special reference to the United States

Limestone and other carbonate rocks are characterized by many unusual features and extreme conditions, either involving the hydrologic system within them or wrought by hydrologic conditions on them or through them. Perhaps there could be little agreement as to what is typical or average for the many features of carbonate rocks, as indicated by the following conditions: bare rock and thin soils are common, but so are thick soils; very highly permeable limestones are common, but so are poorly permeable ones; and rugged karst topographic features with underlying solution caverns are common, but so are flat, nearly featureless topographic conditions. Some conditions of carbonate terranes are suitable to man's needs and interests, such as the use of some permeable aquifers for water supply and the exploitation of caves for tourist attractions. On the other hand, many problems may exist, including: permeability too low for adequate water supply or so high that the aquifer retains too little water for use during periods of fair weather, soils too thin for growing of crops and for adequate filtration of wastes near the ground surface, instability of the ground for buildings and foundations in sinkhole areas, and unusually rugged topography. Some of the many variable conditions are readily observable, but others can be determined only by careful geologic and hydrologic studies. The need for knowing the specific geologic and hydrologic conditions at various places in limestone terranes, as well as the variations in hydrologic conditions with changing conditions and time, has resulted in many published reports on local areas and on special topical problems of limestone hydrology. Many of these reports have been used to advantage by the present writers in preparing this paper. The concept that secondary permeability is developed by circulation of water through openings with the accompanying enlargement of these openings by solution is now universally accepted in limestone terranes. Emphasis is placed on the hydrogeologic framework, or structural setting, in relation to the ease or difficulty of water to move from a source of recharge, through a part of the limestone, to a discharge area. Parts of the limestone favored by circulating ground water tend to develop solution openings, commonly in the upper part of the zone of saturation; as base level is lowered (sea level or perennial stream level), the related water table lowers in the limestone leaving air-filled caverns above the present zone of saturation in sinkhole areas. Reconstruction of the geologic and hydrologic history of a limestone area aids in determining the extent of development and the positions of fossil and present permeability. References are made to the hydrology of many limestone regions, especially those of the United States.

Journal of Hydrology

Hydrology of subsurface waste disposal, National Reactor Testing Station, Idaho: Annual progress report for 1964

The principal purpose of the past research program on geohydrology at the NRTS has been to acquire information on the physical and geochemical environment of the station. This requires a knowledge of the composition and structure of the earth materials underlying the plain, the inventory of the water resources, the dynamics of natural and man-produced changes in the hydrologic regimen, details of the hydrologic cycle, and relevant geochemical processes. The Geological Survey in the course of its early studies by Nace and others (IDO 22033-34-USGS) obtained, compiled, and analyzed a considerable amount of basic geologic and hydrologic information on these subjects. These basic goals were expanded and carried forward to guide the continuing research work. Jones (IDO 22042-USGS) emphasized the use of borehole geophysics and specialized down-hole techniques. Olmsted (IDO 22043-USGS) made a preliminary appraisal of the nature and distribution of the quality of ground water beneath the Station. Their work has been continued and elaborated upon by Morris and others (IDO 22044-USGS, 46-USGS) and the present report with greater emphasis on the regional geology and hydrology. This involved some procurement of needed information but, for the most part, involved a continued evaluation and refinement of data and results that had been acquired in the past. The Geological Survey also encouraged a more comprehensive study of the regional geologic structure including the use of aeromagnetic, gravity, and seismic geophysical techniques and cosponsored a seminar on it in 1964. Along with this investigation and study of the regional geology and of hydrologic principles operative in the basalt environment, and made possible because of it, research continues on the-hydrologic aspects of the disposal of low-level aqueous waste to the environment.

Idaho

Fluctuations in artesian pressure produced by passing railroad‐trains as shown in a well on Long Island, New York

Perhaps one of the chief interests of ground‐water hydrologists is the study of water‐level fluctuations. Since the beginning of the science of hydrology attempts have been made to interpret these phenomena and determine their significance. On the basis of actual observations and “with special reference to Long Island, New York,” Veatch [see 1 of “References” at end of paper] in 1906 considered in some detail several different causes of water‐level fluctuations. He placed the known causes under two general headings, natural and human. However, considering proximate rather than ultimate causes a further classification might be, and indeed often is, made with regard to the conditions under which the fluctuations are produced by a given agency, natural or human. Thus we speak of ”water‐table conditions“ and ”artesian conditions,“ realizing, however, that the distinction between the two is not always definite. The phenomena peculiar to artesian conditions are usually the result merely of the imperviousness of the confining beds relative to the particular aquifer under consideration. Indeed, it is recognized that perhaps even the most dense clay is not absolutely impervious to the flow of water, given a difference in head, sufficient to produce the flow, though it may be beyond the precision of the means now employed to detect the flow of water through such impervious strata.

New York

Advances in carbonate exploration and reservoir analysis

Carbonate reservoirs contain an increasingly important percentage of the world’s hydrocarbon reserves. This volume presents key recent advances in carbonate exploration and reservoir analysis. As well as a comprehensive overview of the trends in carbonate over the years, the volume focuses on four key areas: (1) emerging plays and techniques with special reference to lacustrine plays in syn-rift basins and development of super-giant heavy oil plays (2) improved reservoir characterization with examples from the Middle East and Europe and case studies of how outcrop analogues can provide key data for input to geological models (3) impact of fractures and faults in carbonates contributors highlight the need for integrated structural and diagenetic approaches in order to understand how fractures evolve as fluid-flow conduits (4) advances in geomodelling of carbonate reservoirs several papers discuss the application of new and innovative geomodelling and geostatistical techniques to carbonate reservoirs.

Book

Volcanic unrest and hazard communication in Long Valley Volcanic Region, California

The onset of volcanic unrest in Long Valley Caldera, California, in 1980 and the subsequent fluctuations in unrest levels through May 2016 illustrate: (1) the evolving relations between scientists monitoring the unrest and studying the underlying tectonic/magmatic processes and their implications for geologic hazards, and (2) the challenges in communicating the significance of the hazards to the public and civil authorities in a mountain resort setting. Circumstances special to this case include (1) the sensitivity of an isolated resort area to media hype of potential high-impact volcanic and earthquake hazards and its impact on potential recreational visitors and the local economy, (2) a small permanent population (~8000), which facilitates face-to-face communication between scientists monitoring the hazard, civil authorities, and the public, and (3) the relatively frequent turnover of people in positions of civil authority, which requires a continuing education effort on the nature of caldera unrest and related hazards. Because of delays associated with communication protocols between the State and Federal governments during the onset of unrest, local civil authorities and the public first learned that the U.S. Geological Survey was about to release a notice of potential volcanic hazards associated with earthquake activity and 25-cm uplift of the resurgent dome in the center of the caldera through an article in the Los Angeles Times published in May 1982. The immediate reaction was outrage and denial. Gradual acceptance that the hazard was real required over a decade of frequent meetings between scientists and civil authorities together with public presentations underscored by frequently felt earthquakes and the onset of magmatic CO 2 emissions in 1990 following a 11-month long earthquake swarm beneath Mammoth Mountain on the southwest rim of the caldera. Four fatalities, one on 24 May 1998 and three on 6 April 2006, underscored the hazard posed by the CO 2 emissions. Initial response plans developed by county and state agencies in response to the volcanic unrest began with “The Mono County Volcano Contingency Plan” and “Plan Caldera” by the California Office of Emergency Services in 1982–84. They subsequently became integrated in the regularly updated County Emergency Operation Plan. The alert level system employed by the USGS also evolved from the three-level “Notice-Watch-Warning” system of the early 1980s through a five level color-code to the current “Normal-Advisory-Watch-Warning” ground-based system in conjunction with the international 4-level aviation color-code for volcanic ash hazards. Field trips led by the scientists proved to be a particularly effective means of acquainting local residents and officials with the geologically active environment in which they reside. Relative caldera quiescence from 2000 through 2011 required continued efforts to remind an evolving population that the hazards posed by the 1980–2000 unrest persisted. Renewed uplift of the resurgent dome from 2011 to 2014 was accompanied by an increase in low-level earthquake activity in the caldera and beneath Mammoth Mountain and continues through May 2016. As unrest levels continue to wax and wane, so will the communication challenges.

Book chapter

Methods for geochemical analysis

The laboratories for analytical chemistry within the Geologic Division of the U.S. Geological Survey are administered by the Office of Mineral Resources. The laboratory analysts provide analytical support to those programs of the Geologic Division that require chemical information and conduct basic research in analytical and geochemical areas vital to the furtherance of Division program goals. Laboratories for research and geochemical analysis are maintained at the three major centers in Reston, Virginia, Denver, Colorado, and Menlo Park, California. The Division has an expertise in a broad spectrum of analytical techniques, and the analytical research is designed to advance the state of the art of existing techniques and to develop new methods of analysis in response to special problems in geochemical analysis. The geochemical research and analytical results are applied to the solution of fundamental geochemical problems relating to the origin of mineral deposits and fossil fuels, as well as to studies relating to the distribution of elements in varied geologic systems, the mechanisms by which they are transported, and their impact on the environment.

Bulletin

Survey of chemical contaminants in the Hanalei River, Kaua'i, Hawai'i, 2001

The Hanalei River on the island of Kaua'i in Hawai'i was designated an American Heritage River in 1998, providing special attention to natural resource protection, economic revitalization, and historic and cultural preservation. Agricultural, urban, and tourism-related activities are potential sources of contamination within the Hanalei River watershed. The objective of this study was to measure certain persistent organic chemicals and elements in the Hanalei River. During a relatively low-flow period in December of 2001, samples of native Akupa sleeper fish ( Eleotris sandwicensis ), freshwater Asian clam ( Corbicula fluminea ), giant mud crab ( Scylla serrata ), surface water, and stream bed sediment were collected from a lower estuarine reach of the river near its mouth at Hanalei Bay and from an upper reach at the Hanalei National Wildlife Refuge. Samples were analyzed for residues of urban and agricultural chemicals including organochlorine pesticides, polychlorinated biphenyls, polycyclic aromatic hydrocarbons, and elements (including mercury, lead, cadmium, arsenic, and selenium). Organic contaminants were extracted from the samples with solvent, enriched, and then analyzed by gas chromatographic analysis with electron capture or mass spectrometric detection. Samples were acid-digested for semi-quantitative analysis for elements by inductively-coupled plasma-mass spectrometry and for quantitative analysis by atomic absorption spectrophotometry. Concentrations of organochlorine pesticides, polycyclic aromatic hydrocarbons, and polychlorinated biphenyls in biota, surface water, and bed sediment sampled from the Hanalei River ranged from nondetectable to very low levels. Polychlorinated biphenyls were below detection in all samples. Dieldrin, the only compound detected in the water samples, was present at very low concentrations of 1-2 nanograms per liter. Akupa sleeper fish and giant mud crabs from the lower reach ranged from 1 to 5 nanograms per gram (wet weight) dieldrin and from less than 0.3 to 2.1 nanograms per gram total chlordane. Concentrations of individual polycyclic aromatic hydrocarbons in the lower reach bed sediments ranged from less than 1 to 190 nanograms per gram (dry weight). Relative concentrations (patterns) of the polycyclic aromatic hydrocarbons in one portion of a sediment sample indicated combustion sources. Concentrations of elements in the surface water, biota, and sediment samples were below toxicity thresholds of ecological concern. In summary, concentrations of the organic contaminants and elements targeted by this study of the Hanalei River in 2001 were below U.S. Environmental Protection Agency probable adverse effects levels for aquatic organisms.

Scientific Investigations Report

Statistical inference for capture-recapture experiments

This monograph presents a detailed, practical exposition on the design, analysis, and interpretation of capture-recapture studies. The Lincoln-Petersen model (Chapter 2) and the closed population models (Chapter 3) are presented only briefly because these models have been covered in detail elsewhere. The Jolly- Seber open population model, which is central to the monograph, is covered in detail in Chapter 4. In Chapter 5 we consider the "enumeration" or "calendar of captures" approach, which is widely used by mammalogists and other vertebrate ecologists. We strongly recommend that it be abandoned in favor of analyses based on the Jolly-Seber model. We consider 2 restricted versions of the Jolly-Seber model. We believe the first of these, which allows losses (mortality or emigration) but not additions (births or immigration), is likely to be useful in practice. Another series of restrictive models requires the assumptions of a constant survival rate or a constant survival rate and a constant capture rate for the duration of the study. Detailed examples are given that illustrate the usefulness of these restrictions. There often can be a substantial gain in precision over Jolly-Seber estimates. In Chapter 5 we also consider 2 generalizations of the Jolly-Seber model. The temporary trap response model allows newly marked animals to have different survival and capture rates for 1 period. The other generalization is the cohort Jolly-Seber model. Ideally all animals would be marked as young, and age effects considered by using the Jolly-Seber model on each cohort separately. In Chapter 6 we present a detailed description of an age-dependent Jolly-Seber model, which can be used when 2 or more identifiable age classes are marked. In Chapter 7 we present a detailed description of the "robust" design. Under this design each primary period contains several secondary sampling periods. We propose an estimation procedure based on closed and open population models that allows for heterogeneity and trap response of capture rates (hence the name robust design). We begin by considering just 1 age class and then extend to 2 age classes. When there are 2 age classes it is possible to distinguish immigrants and births. In Chapter 8 we give a detailed discussion of the design of capture-recapture studies. First, capture-recapture is compared to other possible sampling procedures. Next, the design of capture-recapture studies to minimize assumption violations is considered. Finally, we consider the precision of parameter estimates and present figures on proportional standard errors for a variety of initial parameter values to aid the biologist about to plan a study. A new program, JOLLY, has been written to accompany the material on the Jolly-Seber model (Chapter 4) and its extensions (Chapter 5). Another new program, JOLLYAGE, has been written for a special case of the age-dependent model (Chapter 6) where there are only 2 age classes. In Chapter 9 a brief description of the different versions of the 2 programs is given. Chapter 10 gives a brief description of some alternative approaches that were not considered in this monograph. We believe that an excellent overall view of capture- recapture models may be obtained by reading the monograph by White et al. (1982) emphasizing closed models and then reading this monograph where we concentrate on open models. The important recent monograph by Burnham et al. (1987) could then be read if there were interest in the comparison of different populations.

Book

Water quality, hydrology, and simulated response to changes in phosphorus loading of Butternut Lake, Price and Ashland Counties, Wisconsin, with special emphasis on the effects of internal phosphorus loading in a polymictic lake

Butternut Lake is a 393-hectare, eutrophic to hypereutrophic lake in northcentral Wisconsin. After only minor improvements in water quality were observed following several actions taken to reduce the nutrient inputs to the lake, a detailed study was conducted from 2002 to 2007 by the U.S. Geological Survey to better understand how the lake functions. The goals of this study were to describe the water quality and hydrology of the lake, quantify external and internal sources of phosphorus, and determine the effects of past and future changes in phosphorus inputs on the water quality of the lake. Since the early 1970s, the water quality of Butternut Lake has changed little in response to nutrient reductions from the watershed. The largest changes were in near-surface total phosphorus concentrations: August concentrations decreased from about 0.09 milligrams per liter (mg/L) to about 0.05 mg/L, but average summer concentrations decreased only from about 0.055—0.060 mg/L to about 0.045 mg/L. Since the early 1970s, only small changes were observed in chlorophyll a concentrations and water clarity (Secchi depths). All major water and phosphorus sources, including the internal release of phosphorus from the sediments (internal loading), were measured directly, and minor sources were estimated to construct detailed water and phosphorus budgets for the lake during monitoring years (MY) 2003 and 2004. During these years, Butternut Creek, Spiller Creek, direct precipitation, small tributaries and near-lake drainage area, and ground water contributed about 62, 20, 8, 7, and 3 percent of the inflow, respectively. The average annual load of phosphorus to the lake was 2,540 kilograms (kg), of which 1,590 kg came from external sources (63 percent) and 945 kg came from the sediments in the lake (37 percent). Of the total external sources, Butternut Creek, Spiller Creek, small tributaries and near-lake drainage area, septic systems, precipitation, and ground water contributed about 63, 23, 9, 3, 1, and 1 percent, respectively. Because of the high internal phosphorus loading, the eutrophication models used in this study were unable to simulate the observed water-quality characteristics in the lake without incorporating this source of phosphorus. However, when internal loading of phosphorus was added to the BATHTUB model, it accurately simulated the average water-quality characteristics measured in MY 2003 and 2004. Model simulations demonstrated a relatively linear response between in-lake total phosphorus concentrations and external phosphorus loading; however, the changes in concentrations were smaller than the changes in external phosphorus loadings (about 25—40 percent of the change in phosphorus loading). Changes in chlorophyll a concentrations, the percentage of days with algal blooms, and Secchi depths were nonlinear and had a greater response to reductions in phosphorus loading than to increases in phosphorus loading. A 50-percent reduction in external phosphorus loading caused an 18-percent decrease in chlorophyll a concentrations, a 41-percent decrease in the percentage of days with algal blooms, and a 12-percent increase in Secchi depth. When the additional internal phosphorus loading was removed from model simulations, all of these constituents showed a much greater response to changes in external phosphorus loading. Because of Butternut Lake's morphometry, it is polymictic, which means it mixes frequently and does not develop stable thermal stratification throughout the summer. This characteristic makes it more vulnerable than dimictic lakes, which mix in spring and fall and develop stable thermal stratification during summer, to the high internal phosphorus loading that has resulted from historically high, nonnatural, external phosphorus loading. In polymictic lakes, the phosphorus released from the sediments is mixed into the upper part of the lake throughout summer. Once Butternut Lake became hypereutrophic (very productive), it became very difficult to alter its trophic state through reductions in external phosphorus loading because the high internal loading does not respond quickly to reductions in external nutrient loading. For Butternut Lake to become significantly less productive (change to a borderline mesotrophic/eutrophic state) a combined approach to reduce or eliminate internal phosphorus loading and reduce the external phosphorus loading by about 50 percent is needed.

Wisconsin

Groundwater characterization and effects of pumping in the Death Valley regional groundwater flow system, Nevada and California, with special reference to Devils Hole

Groundwater flow and development were characterized in four groundwater basins of the Death Valley regional flow system in Nevada and California with calibrated, groundwater-flow models. Natural groundwater discharges in the Furnace Creek, Lower Amargosa, and Saratoga Spring areas were defined and distributed consistently with a revised hydrogeologic framework. This simplified hydrogeologic framework was limited to four hydraulically unique, hydrogeologic units: (1) basin fill; (2) carbonate rocks; (3) volcanic rocks; and (4) low-permeability granitic and siliciclastic rocks. Hydrogeologic units and division of carbonate and volcanic rocks between shallow and deep were supported by results from 271 aquifer tests and specific-capacity estimates. Greater than 90 percent of field-estimated transmissivity occurred within 1,600 feet (ft) of the water table. Pumping in the study area from 1960 to 2010 averaged 46,000 acre-feet per year (acre-ft/yr), which is 80 percent of the predevelopment discharge. The central Amargosa Desert and Pahrump Valley were the two primary pumping centers and measurably affected water levels across 900 square miles in 2018. Water levels in Devils Hole were a special focus because endangered Devils Hole pupfish ( Cyprinodon diabolis ) are affected by water-level declines. Pumping 42,100 acre-ft by Cappaert Enterprises, formerly Spring Meadows, Inc., caused a 2.3-ft water-level decline in Devils Hole , which temporarily reduced habitat of Devils Hole pupfish by 85 percent in 1972. If no pumping occurred, water levels in Devils Hole would have risen naturally about 1 ft between 1973 and 2018 from temporal variations in recharge. The 2.6-ft range of measured water-level changes in Devils Hole was simulated with a root-mean-square error of 0.2 ft during the 70-year period of record. Simulated water-level declines from pumping totaled 1.4 ft in 2018, with 25 and 34 percent attributed to pumping by Cappaert Enterprises and the central Amargosa Desert, respectively. Water levels in Devils Hole will decline at rates of 0.1–0.2 ft per decade if pumping from Ash Meadows groundwater basin and the central Amargosa Desert continue at current rates. Effects of future natural water-level fluctuations remain unknown. Ash Meadows and Alkali Flat–Furnace Creek Ranch groundwater basins are hydraulically connected near well AD-4 , about 5 miles south of the town of Amargosa Valley, Nevada. About 40 percent of the discharge from the Furnace Creek area is recharged in the Ash Meadows groundwater basin. Basin fill in the central Amargosa Desert hydraulically connects carbonate rocks east of well AD-4 with saturated carbonate rocks in the Funeral Range. About 7 percent of the 960,000 acre-ft pumped from Ash Meadows and Alkali Flat–Furnace Creek Ranch groundwater basins prior to 2019 was captured discharge from springs and phreatophytes. Greater than 40 percent of the 2,080,000 acre-ft pumped from Pahrump Valley between 1910 and 2019 was capture that primarily discharged from Bennetts and Manse Springs. Simulated advective-flow distances and velocities from underground nuclear tests are within the range of advective transport calculations from tritium data and previous radionuclide transport investigations. Boundary conditions and flow rates from the regional model in this study are plausible for local-scale flow and radionuclide transport models. Simulated 165-year groundwater-flow paths do not extend into pumping areas and effects of regional pumping on advective transport are negligible.

California, Nevada

Eastern rim of the Chesapeake Bay impact crater: Morphology, stratigraphy, and structure

This study reexamines seven reprocessed (increased vertical exaggeration) seismic reflection profiles that cross the eastern rim of the Chesapeake Bay impact crater. The eastern rim is expressed as an arcuate ridge that borders the crater in a fashion typical of the "raised" rim documented in many well preserved complex impact craters. The inner boundary of the eastern rim (rim wall) is formed by a series of raterfacing, steep scarps, 15-60 m high. In combination, these rim-wall scarps represent the footwalls of a system of crater-encircling normal faults, which are downthrown toward the crater. Outboard of the rim wall are several additional normal-fault blocks, whose bounding faults trend approximately parallel to the rim wall. The tops of the outboard fault blocks form two distinct, parallel, flat or gently sloping, terraces. The innermost terrace (Terrace 1) can be identified on each profile, but Terrace 2 is only sporadically present. The terraced fault blocks are composed mainly of nonmarine, poorly to moderately consolidated, siliciclastic sediments, belonging to the Lower Cretaceous Potomac Formation. Though the ridge-forming geometry of the eastern rim gives the appearance of a raised compressional feature, no compelling evidence of compressive forces is evident in the profiles studied. The structural mode, instead, is that of extension, with the clear dominance of normal faulting as the extensional mechanism.

Chesapeake Bay

Characteristics of the fault damage zone From high-resolution seismic imaging along the Palos Verdes Fault, California

The distribution and intensity of fault damage zones provides insight into fault activity and its relationship to fluid flow in the crust. Presently, measures of the in-situ distribution of fault damage remain limited and along-strike studies are rare. This study focuses on an offshore section Palos Verdes Fault damage zone that spans 28 km, near Los Angeles, California. To investigate the previously unresolved shallow (∼400 m below the seafloor) fault damage zone we use densely spaced (∼500 m line separation) newly collected sparker multichannel seismic lines and sub-bottom profiles. The combination of high-resolution acquisition methods and specialized seismic processing workflows provide improved imaging of shallow faulting. We apply a multi-trace similarity technique to identify discontinuities in the seismic data that may be attributed to faults and fractures. This fault detection approach reveals diverse fault damage patterns on adjacent seismic profiles. However, a discernible damage zone pattern emerges by stacking multiple damage detection profiles along strike. We find that peak damage identified in this way corresponds to the active main fault strand, confirmed in this study, and thus the technique may be useful for identifying active fault strands elsewhere. Additionally, we observe that the variable width of the damage zone along strike is controlled by fault obliquity. Furthermore, our observations reveal a correlation between fault damage and seafloor fluid seeps visible in the water column, suggesting that damage plays a role in controlling fluid flow around the fault.

California

Geochemical Exploration Techniques Applicable in the Search for Copper Deposits

Geochemical exploration is an important part of copper-resource evaluation. A large number of geochemical exploration techniques, both proved and untried, are available to the geochemist to use in the search for new copper deposits. Analyses of whole-rock samples have been used in both regional and local geochemical exploration surveys in the search for copper. Analyses of mineral separates, such as biotite, magnetite, and sulfides, have also been used. Analyses of soil samples are widely used in geochemical exploration, especially for localized surveys. It is important to distinguish between residual and transported soil types. Orientation studies should always be conducted prior to a geochemical investigation in a given area in order to determine the best soil horizon and the best size of soil material for sampling in that area. Silty frost boils, caliche, and desert varnish are specialized types of soil samples that might be useful sampling media. Soil gas is a new and potentially valuable geochemical sampling medium, especially in exploring for buried mineral deposits in arid regions. Gaseous products in samples of soil may be related to base-metal deposits and include mercury vapor, sulfur dioxide, hydrogen sulfide, carbon oxysulfide, carbon dioxide, hydrogen, oxygen, nitrogen, the noble gases, the halogens, and many hydrocarbon compounds. Transported materials that have been used in geochemical sampling programs include glacial float boulders, glacial till, esker gravels, stream sediments, stream-sediment concentrates, and lake sediments. Stream-sediment sampling is probably the most widely used and most successful geochemical exploration technique. Hydrogeochemical exploration programs have utilized hot- and cold-spring waters and their precipitates as well as waters from lakes, streams, and wells. Organic gel found in lakes and at stream mouths is an unproved sampling medium. Suspended material and dissolved gases in any type of water may also be useful media. Samples of ice and snow have been used for limited geochemical surveys. Both geobotanical and biogeochemical surveys have been successful in locating copper deposits in many parts of the world. Micro-organisms, including bacteria and algae, are other unproved media that should be studied. Animals can be used in geochemical-prospecting programs. Dogs have been used quite successfully to sniff out hidden and exposed sulfide minerals. Tennite mounds are commonly composed of subsurface material, but have not as yet proved to be useful in locating buried mineral deposits. Animal tissue and waste products are essentially unproved but potentially valuable sampling media. Knowledge of the location of areas where trace-element-associated diseases in animals and man are endemic as well as a better understanding of these diseases, may aid in identifying regions that are enriched in or depleted of various elements, including copper. Results of analyses of gases in the atmosphere are proving valuable in mineral-exploration surveys. Studies involving metallic compounds exhaled by plants into the atmosphere, and of particulate matter suspended in the atmosphere are reviewed these methods may become important in the future. Remote-sensing techniques are useful for making indirect measurements of geochemical responses. Two techniques applicable to geochemical exploration are neutron-activation analysis and gamma-ray spectrometry. Aerial photography is especially useful in vegetation surveys. Radar imagery is an unproved but potentially valuable method for use in studies of vegetation in perpetually clouded regions. With the advent of modern computers, many new techniques, such as correlation analysis, regression analysis, discriminant analysis, factor analysis, cluster analysis, trend-surface analysis, and moving-average analysis can be applied to geochemical data sets. Selective use of these techniques can provide new insights into the interpretatio

Professional Paper

Predictor importance in habitat suitability models for invasive terrestrial plants

Aim Due to the socioeconomic and environmental damages caused by invasive species, predicting the distribution of invasive plants is fundamental for effectively targeting management efforts. A habitat suitability model (HSM) is a powerful tool to predict potential habitat of invasive species to help guide the early detection of invasive plants. Despite numerous studies of the predictors used in HSMs, there is little consensus about the most appropriate predictors to use in creating ecologically realistic predictions from HSMs. Location The contiguous United States. Methods We explore 220 invasive terrestrial plant species' existing HSMs constructed with consistent modelling algorithms, background generation methods, predictor resolution, and geographic extent, and calculate the relative importance of predictors for each species. We sort predictors into eight groups (topography, temperature, disturbance, atmospheric water, landscape water, substrate, biotic interaction, and radiation) and compare the importance of predictor groups by plant lifeforms and phylogenetic relatedness. Results Human modification and minimum winter temperature were generally the two highest performing individual predictors across the species studied. The highest-performing predictor groups were disturbance, temperature, and atmospheric water. Across lifeforms, there were minimal differences in the influences of predictor groups, although woody plant models exhibited the largest differences in predictor importance when compared with non-woody plant models. Additionally, we found no significant relationship between the importance of predictor groups and phylogenetic relatedness. Main Conclusions This study has implications for informing predictor selection in invasive plant HSMs, leading to more reliable and accurate models of invasive terrestrial plants. Our results emphasize the need to critically select predictors included in HSMs, with special consideration to temperature and disturbance predictors, to accurately predict habitat of invasive plant for detection and response of invasive plant species. With more accurate predictions, managers will be better prepared to address invasive species and reduce their threats to landscapes.

Diversity and Distributions

A surface tow net for collection of parasitic-phase sea lampreys

A STUDY OF MIGRATORY BEHAVIOR of parasitic sea lampreys ( Petromyzon marinus ) in the Great Lakes required a means of capturing lampreys for tagging and releasing in St. Marys River, Lake Huron. Smith and Elliott (1953) fished specially made gill and trap nets for sea lampreys, but stationary nets could not be used in the St. Marys River because of boat traffic, interference with sport fishermen, and fast currents.

Progressive Fish-Culturist

Recent advances in rotational seismology

Rotational seismology is an emerging field of study concerned with all aspects of rotational motions induced by earthquakes, explosions, and ambient vibrations. Two recent monographs (Teisseyre et al. 2006; Teisseyre et al. 2008) and a Bulletin of the Seismological Society of America special issue on Rotational Seismology and Engineering Applications (Lee, Celebi et al. 2009) are useful starting points. Rotational seismology is of interest to a wide range of disciplines, including various branches of seismology, earthquake engineering, and geodesy, as well as to physicists using Earth-based observatories for detecting gravitational waves generated by astronomical sources.

Seismological Research Letters

Ground-water quality data in the coastal Los Angeles Basin study unit, 2006: Results from the California GAMA Program

Ground-water quality in the approximately 860 square-mile Coastal Los Angeles Basin study unit (CLAB) was investigated from June to November of 2006 as part of the Statewide Basin Assessment Project of the Ground-Water Ambient Monitoring and Assessment (GAMA) Program. The GAMA Statewide Basin Assessment was developed in response to the Ground-Water Quality Monitoring Act of 2001, and is being conducted by the U.S. Geological Survey (USGS) in cooperation with the California State Water Resources Control Board (SWRCB). The Coastal Los Angeles Basin study was designed to provide a spatially unbiased assessment of raw ground-water quality within CLAB, as well as a statistically consistent basis for comparing water quality throughout California. Samples were collected from 69 wells in Los Angeles and Orange Counties. Fifty-five of the wells were selected using a spatially distributed, randomized grid-based method to provide statistical representation of the study area (?grid wells?). Fourteen additional wells were selected to evaluate changes in ground-water chemistry or to gain a greater understanding of the ground-water quality within a specific portion of the Coastal Los Angeles Basin study unit ('understanding wells'). Ground-water samples were analyzed for: a large number of synthetic organic constituents [volatile organic compounds (VOCs), gasoline oxygenates and their degradates, pesticides, polar pesticides, and pesticide degradates, pharmaceutical compounds, and potential wastewater-indicators]; constituents of special interest [perchlorate, N-nitrosodimethylamine (NDMA), 1,4-dioxane, and 1,2,3-trichloropropane (1,2,3-TCP)]; inorganic constituents that can occur naturally [nutrients, major and minor ions, and trace elements]; radioactive constituents [gross-alpha and gross-beta radiation, radium isotopes, and radon-222]; and microbial indicators. Naturally occurring isotopes [stable isotopic ratios of hydrogen and oxygen, and activities of tritium and carbon-14] and dissolved noble gases also were measured to help identify the sources and ages of the sampled ground water. Quality-control samples (blanks, replicates, and samples for matrix spikes) were collected at approximately one-fourth of the wells, and the results for these samples were used to evaluate the quality of the data for the ground-water samples. Field blanks rarely contained detectable concentrations of any constituent, suggesting that contamination was not a significant source of bias. Differences between replicate samples were within acceptable ranges, indicating acceptably low variability. Matrix spike recoveries were within acceptable ranges for most compounds. Assessment of the quality-control information resulted in applying ?V? codes to approximately 0.1 percent of the data collected for ground-water samples (meaning a constituent was detected in blanks as well as the corresponding environmental data). This study did not attempt to evaluate the quality of drinking water delivered to consumers; after withdrawal from the ground, water typically is treated, disinfected, and (or) blended with other waters to maintain acceptable drinking-water quality. Regulatory thresholds are applied to the treated drinking water that is served to the consumer, not to raw ground water. However, to provide some context for the results, concentrations of constituents measured in the raw ground water were compared with regulatory and non-regulatory health-based thresholds established by the U.S. Environmental Protection Agency (USEPA), California Department of Public Health (CDPH, formerly California Department of Health Services [CADHS]) and thresholds established for aesthetic concerns (secondary maximum contaminant levels, SMCL-CA) by CDPH. Comparisons between data collected for this study and drinking-water thresholds are for illustrative purposes only, and are not indicative of compliance or non-compliance with those thresholds. VOCs were detected in alm

California

A wind powered, ground-water monitoring installation at a radioactive waste management site in Idaho

In 1971, four wells were drilled just outside a radioactive solid waste storage and disposal facility located on the Idaho National Engineering Laboratory in southeastern Idaho. This facility, the Radioactive Waste Management Complex (RWMC), has been in use since 1952. These wells serve several purposes: to study the geology and hydrology at the RWMC, to determine the potential for radioactive waste migration, and to obtain water samples to determine if waste products are migrating downward into the Snake River Plain aquifer. Special efforts are made to insure that surface contamination does not enter the wells by either water, wind, or contaminated equipment. A submersible pump and a continuous water-level measuring device were installed in each well. Permanent installation of this equipment allowed the well heads to be sealed while providing for collection of data from these wells. The water-level measuring device is a small diameter, differential-pressure, transducer probe. The transducer produces a variable-reluctance signal which is converted to an analog signal and recorded as the depth to water on a strip chart recorder. Windmill-charged storage batteries provide power for the water-level measuring system. This system is reliable, sensitive, and relatively maintenance free.

Idaho