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Relevance of individual and environmental drivers of movement of Golden Eagles

An animal's movement is expected to be governed by an interplay between goals determined by its internal state and energetic costs associated with navigating through the external environment. Understanding this ecological process is challenging when an animal moves in two dimensions and even more difficult for birds that move in a third dimension. To understand the dynamic interaction between the internal state of an animal and the variable external environment, we evaluated hypotheses explaining association of different covariates of movement and the trade‐offs birds face as they make behavioural decisions in a fluctuating landscape. We used ~870 000 GPS telemetry data points collected from 68 Golden Eagles Aquila chrysaetos to test demographic, diel, topographic and meteorological hypotheses to determine (1) the probability that these birds would be in motion and (2), once in motion, their flight speed. A complex and sometimes interacting set of potential internal and external factors determined movement behaviour. There was good evidence that reproductive state, manifested as age, sex and seasonal effects, had a significant influence on the probability of being in motion and, to a lesser extent, on speed of motion. Likewise, movement responses to the external environment were often unexpectedly strong. These responses, to northness of slope, strength of orographic updraft and intensity of solar radiation, were regionally and temporally variable. In contrast to previous work showing the role of a single environmental factor in determining movement decisions, our analyses support the hypothesis that multiple factors simultaneously interact to influence animal movement. In particular they highlighted how movement is influenced by the interaction between the individual's internal reproductive state and the external environment, and that, of the environmental factors, topographic influences are often more relevant than meteorological influences in determining patterns of flight behaviour. Further disentangling of how these internal and externals states jointly affect movement will provide additional insights into the energetic costs of movement and benefits associated with achieving process‐driven goals.

California

After a century: Revised Paleogene coal stratigraphy, correlation, and deposition, Powder River Basin, Wyoming and Montana

The stratigraphy, correlation, mapping, and depositional history of coal-bearing strata in the Paleogene Fort Union and Wasatch Formations in the Powder River Basin were mainly based on measurement and description of outcrops during the early 20th century. Subsequently, the quality and quantity of data improved with (1) exploration and development of oil, gas, and coal during the middle 20th century and (2) the onset of coalbed methane (CBM) development during the late 20th and early 21st centuries that resulted in the drilling of more than 26,000 closely spaced wells with accompanying geophysical logs. The closeness of the data control points, which average 0.5 mi (805 m) apart, made for better accuracy in the subsurface delineation and correlation of coal beds that greatly facilitated the construction of regional stratigraphic cross sections and the assessment of resources. The drillhole data show that coal beds previously mapped as merged coal zones, such as the Wyodak coal zone in the Wyoming part of the Powder River Basin, gradually thinned into several discontinuous beds and sequentially split into as many as 7 hierarchical orders westward and northward. The thinning and splitting of coal beds in these directions were accompanied by as much as a ten-fold increase in the thicknesses of sandstone-dominated intervals within the Wyodak coal zone. This probably resulted from thrust loading by the eastern front of the Bighorn uplift accompanied by vertical displacement along lineaments that caused subsidence of the western axial part of the Powder River Basin during Laramide deformation in Late Cretaceous and early Tertiary time. Accommodation space was thereby created for synsedimentary alluvial infilling that controlled thickening, thinning, splitting, pinching out, and areal distribution of coal beds. Equally important was differential subsidence between this main accommodation space and adjoining areas, which influenced the overlapping, for example, of the Dietz coal zone in Montana, over the Wyodak coal zone in Wyoming. Correlation in a circular track of the Wyodak coal zone in the southern part of the basin also demonstrates overlapping with lower coal zones. Recognition of this stratigraphic relationship has led to revision of the correlations and nomenclature of coal beds because of inconsistency within these zones as well as those below and above them, which have long been subjects of controversy. Also, it significantly changes the traditional coal bed-to-bed correlations, and estimates of coal and coalbed methane resources of these coal zones due to thinning and pinching out of beds. More notably, thickness isopach, orientation, and distribution of the merged Wyodak coal bodies in the south-southeast part of the basin suggest that differential movement of lineament zones active during the Cretaceous was not a major influence on coal accumulation during the Paleocene. Improved knowledge of alluvial depositional environments as influenced by external and internal paleotectonic conditions within the Powder River Basin permits more accurate correlation, mapping, and resource estimation of the Fort Union and Wasatch coal beds. The result is a better understanding of the sedimentology of the basin infill deposits in relation to peat bog accumulation.

Montana, Wyoming

Opportunities to enhance seismic demand parameters for future editions of the AS1170.4

Geoscience Australia has recently released its 2018 National Seismic Hazard Assessment (NSHA18). Results from the NSHA18 indicate significantly lower seismic hazard across almost all Australian localities at the 1/500 annual exceedance probability level relative to the factors adopted for the current Australian Standard AS1170.4–2007 (R2018). These new hazard estimates, coupled with larger probability factors (kp) for long return periods, have challenged notions of seismic hazard in Australia in terms of the recurrence of damaging ground motions. As a consequence, the new hazard estimates have raised questions over the appropriateness of the prescribed National Construction Code probability level as used in the AS1170.4 to determine appropriate seismic demands for the design of ordinary-use structures. Therefore, it is suggested that the ground-motion exceedance probability used in the current AS1170.4 be reviewed in light of the recent hazard assessment and the expected performance of modern buildings for rarer ground motions. Whilst adjusting the AS1170.4 exceedance probability level would be a major departure from previous earthquake loading standards, it would bring it into line with other international building codes in similar tectonic environments. Additionally, it would offer opportunities to further modernise how seismic demands are considered in Australian building design. In particular, the authors highlight the following additional opportunities: 1) the use of uniform hazard spectra to replace and simplify the spectral shape factors, which do not deliver uniform hazard across all natural periods; 2) updated site amplification factors to ensure continuity with modern ground-motion models, and; 3) the potential to define design ground motions in terms of uniform collapse risk rather than uniform hazard. Estimation of seismic hazard at any location is an uncertain science. However, as our knowledge improves, our estimates of the hazard will converge more closely to the actual – but unknowable – (time independent) hazard. It is therefore prudent to regularly update the estimates of the seismic demands in our building codes using the best available evidence-based methods and models.

Conference Paper

Inorganic elements in green sea turtles ( Chelonia mydas ): relationships among external and internal tissues

Inorganic elements from anthropogenic sources have entered marine environments worldwide and are detectable in marine organisms, including sea turtles. Threatened and endangered classifications of sea turtles have heretofore made assessments of contaminant concentrations difficult because of regulatory restrictions on obtaining samples using nonlethal techniques. In the present study, claw and skin biopsy samples were examined as potential indicators of internal tissue burdens in green sea turtles (Chelonia mydas). Significant relationships were observed between claw and liver, and claw and muscle concentrations of mercury, nickel, arsenic, and selenium (p < 0.05). Similarly, significant relationships were observed between skin biopsy concentrations and those in liver, kidney, and muscle tissues for mercury, arsenic, selenium, and vanadium (p < 0.05). Concentrations of arsenic, barium, chromium, nickel, strontium, vanadium, and zinc in claws and skin biopsies were substantially elevated when compared with all other tissues, indicating that these highly keratinized tissues may represent sequestration or excretion pathways. Correlations between standard carapace length and cobalt, lead, and manganese concentrations were observed (p < 0.05), indicating that tissue concentrations of these elements may be related to age and size. Results suggest that claws may indeed be useful indicators of mercury and nickel concentrations in liver and muscle tissues, whereas skin biopsy inorganic element concentrations may be better suited as indicators of mercury, selenium, and vanadium concentrations in liver, kidney, and muscle tissues of green sea turtles.

Environmental Toxicology and Chemistry

An inverted metamorphic field gradient in the central Brooks Range, Alaska and implications for exhumation of high-pressure/low-temperature metamorphic rocks

During exhumation of the Brooks Range internal zone, amphibolite-facies rocks were emplaced atop the blueschist/greenschist facies schist belt. The resultant inverted metamorphic field gradient is mappable as a series of isograds encountered as one traverses up structural section. Amphibolite-facies metamorphism occurred at ??? 110 Ma as determined from 40Ar 39Ar analysis of hornblende. This contrasts with 40Ar 39Ar phengite cooling ages from the uderlying schist belt, which are clearly older (by 17-22 m.y.). Fabrics in both the amphibolite-facies rocks and schist belt are characterized by repeated cycles of N-vergent crenulation and transposition that was likely associated with out-of-sequence ductile thrusting in the internal zone of the Brooks Range orogen. Contractional deformation occurred in an overall environment of foreland-directed tectonic transport, broadly synchronous with exhumation of the internal zone, and shortening within the thin-skinned fold and thrust belt. These data are inconsistent with a recently postulated mid-Cretaceous episode of lithospheric extension in northern Alaska. ?? 1994.

LITHOS

Context-dependent interactions and the regulation of species richness in freshwater fish

Species richness is regulated by a complex network of scale-dependent processes. This complexity can obscure the influence of limiting species interactions, making it difficult to determine if abiotic or biotic drivers are more predominant regulators of richness. Using integrative modeling of freshwater fish richness from 721 lakes along an 11 o latitudinal gradient, we find negative interactions to be a relatively minor independent predictor of species richness in lakes despite the widespread presence of predators. Instead, interaction effects, when detectable among major functional groups and 231 species pairs, were strong, often positive, but contextually dependent on environment. These results are consistent with the idea that negative interactions internally structure lake communities but do not consistently ‘scale-up’ to regulate richness independently of the environment. The importance of environment for interaction outcomes and its role in the regulation of species richness highlights the potential sensitivity of fish communities to the environmental changes affecting lakes globally.

Nature Communications

Mangrove microbiomes as drivers of ecosystem recovery and restoration success

The microbes found in the rhizosphere, roots, leaves and stem surfaces and within the internal tissues of mangrove vegetation and their environment constitute the microbiome of the ecosystem. The organisms in the microbiome include bacteria, protozoa, fungi, algae, amoebas, and slime molds, which assist in maintaining and restoring mangrove ecosystems. This review explores the role of microbiomes in the maintenance of healthy mangrove ecosystems and in the successful restoration of degraded mangrove ecosystems. Microbes have important roles in several geomicrobiological cycles shaping mangrove ecosystems, including transforming nitrogen, phosphorus, carbon, sulfur and iron in biogeochemical cycles. Mangrove microbiomes contribute to the adaptation of vegetation to the harsh abiotic conditions in coastal areas, enhance nutrient uptake, produce plant-growth-promoting substances, and degrade the mangrove litter and the pollutants that can hinder restoration. Soil microbes function as biofertilizers, biopesticides, and bioremediation agents. The microbial diversity, composition, and functional capacity are important in the restoration of mangroves through their influence on voluntary recruitment following hydrologic restoration, on the establishment success of planted seeds and propagules, and on the survival of transplanted saplings and nursery-raised seedlings. The knowledge of the beneficial attributes of the microbiome can enhance the overall success of mangrove restoration. Identifying future needs, such as microbial inoculant validation, field-scale trials, and integration with hydrological restoration, are essential.

Microorganisms

Food-web structure in canyon and slope-associated fauna revealed by stable isotopes

Food webs and associated trophic linkages among organisms are central themes in ecology that provide insight into the structure and function of ecosystems. In the deep sea, food webs rely on particulate flux raining from surface waters for energy (Klages et al. 2003), except for chemosynthetic communities, which rely on in situ production via chemosynthesis (Van Dover 2007). In general, the deep sea is a food limited environment because only a small percentage of organic carbon produced in surface waters settles to the seafloor (Gage and Tyler 1991, Klages et al. 2003, De La Rocha and Passow 2007). In contrast, relative to more quiescent slope environments, canyons can experience dynamic flow and turbulence. Internal tides can enhance turbulent mixing near the canyon seafloor leading to resuspension of sediments. Channeling of organic matter in deepsea canyons can enhance benthic productivity leading to high biodiversity (Vetter and Dayton 1998, 1999) and trophic complexity (Stefanescu et al. 1994, Cartes and Sorbe 1999). Thus, there may be a decoupling between the benthic-productivity relationships in canyon environments where food limitation may not be a driving factor influencing community structure. However, there have been only a few studies, often limited in depth range and spatial scale, that have examined the trophic pathways of deepsea canyons relative to adjacent slope environments (Duineveld et al. 2001, Fanelli et al. 2009, Cartes et al. 2010, Jeffreys et al. 2011).

OCS Study

International impact research and management

To be sustainable, ecotourism requires the protection of natural environments and processes both from development and operation of the tourism infrastructure, and from the activities of ecotourists within protected areas. This book chapter reviews the international literature on the study of visitor or recreation-related resource impacts with special reference to ecotourism. Four case examples are presented to characterize the geographic scope, focus, and principal findings of this recreation ecology literature and its relevance to ecotourism management. Case examples include the Cairngorms National Nature Reserve, Scotland; the Great Barrier Reef, Australia; the Central American tropics; and wildlife viewing in Kenya?s protected areas. Implications for the management of international protected areas and ecotourism resources are discussed.

Book chapter

The 23rd Pacific Climate Workshop (PACLIM)

The 23rd Pacific Climate Workshop (PACLIM) was held May 13–16, 2007 at the Asilomar Conference Grounds in Pacific Grove, California, in what turned out to be a relatively dry spring on the central California coast. What a change from 2006, which was the sixth wettest year of the 101 years for which records have been kept. The special session at the 2007 gathering was entitled “Abrupt Climate Change: Causes and Ecosystem Responses”, reflecting the increasing evidence for rapid climate shifts in marine and terrestrial environments.

California

Managing the effects of endocrine disrupting chemicals in wastewater-impacted streams

A revolution in analytical instrumentation circa 1920 greatly improved the ability to characterize chemical substances. This analytical foundation resulted in an unprecedented explosion in the design and production of synthetic chemicals during and post-World War II. What is now often referred to as the 2nd Chemical Revolution has provided substantial societal benefits; with modern chemical design and manufacturing supporting dramatic advances in medicine, increased food production, and expanding gross domestic products at the national and global scales as well as improved health, longevity, and lifestyle convenience at the individual scale. Presently, the chemical industry is the largest manufacturing sector in the United States (U.S.) and the second largest in Europe and Japan, representing approximately 5% of the Gross Domestic Product (GDP) in each of these countries. At the turn of the 21st century, the chemical industry was estimated to be worth more than $1.6 trillion and to employ over 10 million people, globally. During the first half of the 20th century, the chemical sector expanded rapidly, the chemical industry enjoyed a generally positive status in society, and chemicals were widely appreciated as fundamental to individual and societal quality of life. Starting in the 1960s, however, the environmental costs associated with the chemical industry increasingly became the focus, due in part to the impact of books like “Silent Spring” and “Our Stolen Future” and to a number of highly publicized environmental disasters. Galvanizing chemical industry disasters included the 1976 dioxin leak north of Milan, Italy, the Love Canal evacuations in Niagara, New York beginning in 1978, and the Union Carbide leak in Bhopal, India in 1984. Understanding the environmental impact of synthetic compounds is essential to any informed assessment of net societal benefit, for the simple reason that any chemical substance that is in commercial production or use will eventually find its way to the environment. Not surprisingly given the direct link to profits, manufacturers intensely investigate and routinely document the potential benefits of new chemicals and chemical products. In contrast, the environmental risks associated with chemical production and uses are often investigated less intensely and are poorly communicated. An imbalance in the risk-benefit analysis of any synthetic chemical substance or naturally occurring chemical, which presence and concentration in the environment largely reflects human activities and management, is a particular concern owing to the fundamental link between chemistry and biology. Biological organisms are intrinsically a homeostatic balance of innumerable internal and external chemical interactions and, thus, inherently sensitive to changes in the external chemical environment.

Book chapter

Counting at low concentrations: the statistical challenges of verifying ballast water discharge standards

Discharge from the ballast tanks of ships is one of the primary vectors of nonindigenous species in marine environments. To mitigate this environmental and economic threat, international, national, and state entities are establishing regulations to limit the concentration of living organisms that may be discharged from the ballast tanks of ships. The proposed discharge standards have ranged from zero detectable organisms to <10 organisms/m 3 . If standard sampling methods are used, verifying whether ballast discharge complies with these stringent standards will be challenging due to the inherent stochasticity of sampling. Furthermore, at low concentrations, very large volumes of water must be sampled to find enough organisms to accurately estimate concentration. Despite these challenges, adequate sampling protocols comprise a critical aspect of establishing standards because they help define the actual risk level associated with a standard. A standard that appears very stringent may be effectively lax if it is paired with an inadequate sampling protocol. We describe some of the statistical issues associated with sampling at low concentrations to help regulators understand the uncertainties of sampling as well as to inform the development of sampling protocols that ensure discharge standards are adequately implemented.

Ecological Applications

Using satellite imagery to estimate consumptive water use from irrigated lands in the Milk River Basin, United States and Canada

The U.S. Geological Survey, with the support of the International Joint Commission, and in cooperation with Alberta Environment and Parks, Blackfeet Nation, Environment and Climate Change Canada, and Montana Department of Natural Resources and Conservation, is leading a project that should improve information available to apportion water between Canada and the United States in the St. Mary and Milk River Basins. One component of the water budget, consumptive use of irrigation water (the amount of supplemental water used by crops), can be estimated at 100-meter resolution almost every week using imagery recorded by satellites from 1985 to present (2021) and weather data, when conditions permit. Better estimates of consumptive water use should improve understanding of water availability and use in the basin and should assist with water apportionment procedures.

Alberta, Montana, Saskatchewan

Quantitative meta-analysis reveals no association between mercury contamination and body condition in birds

Mercury contamination is a major threat to the global environment, and is still increasing in some regions despite international regulations. The methylated form of mercury is hazardous to biota, yet its sublethal effects are difficult to detect in wildlife. Body condition can vary in response to stressors, but previous studies have shown mixed effects of mercury on body condition in wildlife. Using birds as study organisms, we provide the first quantitative synthesis of the effect of mercury on body condition in animals. In addition, we explored the influence of intrinsic, extrinsic and methodological factors potentially explaining cross-study heterogeneity in results. We considered experimental and correlative studies carried out in adult birds and chicks, and mercury exposure inferred from blood and feathers. Most experimental investigations (90%) showed a significant relationship between mercury concentrations and body condition. Experimental exposure to mercury disrupted nutrient (fat) metabolism, metabolic rates, and food intake, resulting in either positive or negative associations with body condition. Correlative studies also showed either positive or negative associations, of which only 14% were statistically significant. Therefore, the overall effect of mercury concentrations on body condition was null in both experimental (estimate ± SE = 0.262 ± 0.309, 20 effect sizes, five species) and correlative studies (−0.011 ± 0.020, 315 effect sizes, 145 species). The single and interactive effects of age class and tissue type were accounted for in meta-analytic models of the correlative data set, since chicks and adults, as well as blood and feathers, are known to behave differently in terms of mercury accumulation and health effects. Of the 15 moderators tested, only wintering status explained cross-study heterogeneity in the correlative data set: free-ranging wintering birds were more likely to show a negative association between mercury and body condition. However, wintering effect sizes were limited to passerines, further studies should thus confirm this trend in other taxa. Collectively, our results suggest that ( i ) effects of mercury on body condition are weak and mostly detectable under controlled conditions, and ( ii ) body condition indices are unreliable indicators of mercury sublethal effects in the wild. Food availability, feeding rates and other sources of variation that are challenging to quantify likely confound the association between mercury and body condition in natura . Future studies could explore the metabolic effects of mercury further using designs that allow for the estimation and/or manipulation of food intake in both wild and captive birds, especially in under-represented life-history stages such as migration and overwintering.

Biological Reviews

A global perspective on the use, sales, exposure pathways, occurrence, fate and effects of veterinary antibiotics (VAs) in the environment

Veterinary antibiotics (VAs) are widely used in many countries worldwide to treat disease and protect the health of animals. They are also incorporated into animal feed to improve growth rate and feed efficiency. As antibiotics are poorly adsorbed in the gut of the animals, the majority is excreted unchanged in faeces and urine. Given that land application of animal waste as a supplement to fertilizer is often a common practice in many countries, there is a growing international concern about the potential impact of antibiotic residues on the environment. Frequent use of antibiotics has also raised concerns about increased antibiotic resistance of microorganisms. We have attempted in this paper to summarize the latest information available in the literature on the use, sales, exposure pathways, environmental occurrence, fate and effects of veterinary antibiotics in animal agriculture. The review has focused on four important groups of antibiotics (tylosin, tetracycline, sulfonamides and, to a lesser extent, bacitracin) giving a background on their chemical nature, fate processes, occurrence, and effects on plants, soil organisms and bacterial community. Recognising the importance and the growing debate, the issue of antibiotic resistance due to the frequent use of antibiotics in food-producing animals is also briefly covered. The final section highlights some unresolved questions and presents a way forward on issues requiring urgent attention.

Chemosphere

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

Monitoring changes in Landsat thermal features in urban and non-urban interfaces from 1986 to 2023 in two international urban centers: Implications for climate and global issues

Rapid urbanization is reshaping thermal environments worldwide, with the strongest impacts occurring at the interface between urban and non-urban areas. Impervious surfaces, as key indicators of urban expansion, are critical for monitoring urban growth and assessing surface urban heat island (SUHI) effects. Land use and land cover change (LULCC) provides an essential link between urban dynamics and their environmental and societal consequences. Here, we integrated the U.S. Geological Survey (USGS) Climate Global Issues (CGI) Land Cover Product with Landsat thermal time-series to investigate SUHI evolution in two contrasting metropolitan regions: Wuhan, China, and Brasília, Brazil. Using data spanning 1986–2023, we analyzed the relationships between land cover, Landsat-based land surface temperature (LST), and SUHI intensity, and identified persistent thermal hotspots. Results demonstrate that the land cover data utilized increases the accuracy of impervious surface mapping along urban–rural gradients. Average SUHI intensities were 3.4 °C in Wuhan and 3.3 °C in Brasília, with statistically significant warming trends of 0.04 °C/year and 0.01 °C/year, respectively. Maximum temperature proved to be a robust indicator of SUHI intensification, capturing long-term upward trends. Our findings highlight the important role of urban land cover dynamics in shaping temporal SUHI variability and hotspot emergence. This prototype framework demonstrates the scientific and policy value of combining long-term land cover monitoring information with satellite thermal monitoring to quantify and track SUHI at city scale, supporting sustainable urban planning and climate adaptation strategies.

Remote Sensing