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Radioactive anomaly and mineralogy of the lower part of the Tabuk Formation, Al Qassim area, Kingdom of Saudi Arabia

A radioactive anomaly about 10 km long was detected by an airborne survey of the Tabuk Formation, about 75 km west-northwest of Buraydah in northeastern Saudi Arabia. The gamma-spectrometer anomaly is 6 to 10 times higher than background over the adjacent Precambrian shield area and indicates anomalous concentrations of thorium-bearing minerals. Radioactive detrital minerals identified are zircon, monazite, xenotime, huttonite, and sphene. These minerals account for the anomaly; uranium and potassium-bearing minerals contribute only slightly to the overall spectrometer response. Several varieties of zircon have different morphologies, inclusions, and degree of freshness. Colorless, possibly relatively young grains showing a bright orange fluorescence, and radiation-damaged probably relatively older zircons without any fluorescence, suggest recycling during more than one erosion cycle and at least two different sources for the sediments of the Tabuk Formation. The antipathetic association of allanite and monazite further supports the thesis of more than one source for the sediments of the Tabuk Formation.

Al Qassim area

Digital data sets that describe aquifer characteristics of the Elk City Aquifer in western Oklahoma

ARC/INFO export and nonproprietary format files This diskette contains digitized aquifer boundaries and maps of hydraulic conductivity, recharge, and ground-water level elevation contours for the Elk City aquifer in western Oklahoma. The aquifer covers an area of approximately 193,000 acres and supplies ground water for irrigation, domestic, and industrial purposes in Beckham, Custer, Roger Mills, and Washita Counties along the divide between the Washita and Red River basins. The Elk City aquifer consists of the Elk City Sandstone and overlying terrace deposits, made up of clay, silt, sand and gravel, and dune sands in the eastern part and sand and gravel of the Ogallala Formation (or High Plains aquifer) in the western part of the aquifer. The Elk City aquifer is unconfined and composed of very friable sandstone, lightly cemented with clay, calcite, gypsum, or iron oxide. Most of the grains are fine-sized quartz but the grain size ranges from clay to cobble in the aquifer. The Doxey Shale underlies the Elk City aquifer and acts as a confining unit, restricting the downward movement of ground water. All of the data sets were digitized and created from information and maps in a ground-water modeling thesis and report of the Elk City aquifer. The maps digitized were published at a scale of 1:63,360. Ground-water flow models are numerical representations that simplify and aggregate natural systems. Models are not unique; different combinations of aquifer characteristics may produce similar results. Therefore, values of hydraulic conductivity and recharge used in the model and presented in this data set are not precise, but are within a reasonable range when compared to independently collected data.

Oklahoma

Digital data sets that describe aquifer characteristics of the Enid isolated terrace aquifer in northwestern Oklahoma

ARC/INFO export and nonproprietary format files The data sets in this report include digitized aquifer boundaries and maps of hydraulic conductivity, recharge, and ground-water level elevation contours for the Enid isolated terrace aquifer in northwestern Oklahoma. The Enid isolated terrace aquifer covers approximately 82 square miles and supplies water for irrigation, domestic, municipal, and industrial use for the City of Enid and western Garfield County. The Quaternary-age Enid isolated terrace aquifer is composed of terrace deposits that consist of discontinuous layers of clay, sandy clay, sand, and gravel. The aquifer is unconfined and is bounded by the underlying Permian-age Hennessey Group on the east and the Cedar Hills Sandstone Formation of the Permian-age El Reno Group on the west. The Cedar Hills Sandstone Formation fills a channel beneath the thickest section of the Enid isolated terrace aquifer in the midwestern part of the aquifer. All of the data sets were digitized and created from information and maps in a ground-water modeling thesis and report of the Enid isolated terrace aquifer. The maps digitized were published at a scale of 1:62,500. Ground-water flow models are numerical representations that simplify and aggregate natural systems. Models are not unique; different combinations of aquifer characteristics may produce similar results. Therefore, values of hydraulic conductivity and recharge used in the model and presented in this data set are not precise, but are within a reasonable range when compared to independently collected data.

Oklahoma

Environmental influences on major waterfowl diseases

The decline of North American waterfowl resources since the 1960s is well-known to this audience and need not be detailed to establish that population numbers for several key waterfowl species are at or near their lowest levels since records have been kept. Loss of habitat is an accepted major cause for the decline of waterfowl numbers and the wildlife conservation community is responding with initiatives to prevent further loss of existing wetland acreage, restoration for degraded wetlands and creation of new wetlands. Numerous joint ventures focusing on key waterfowl habitat requirements are being developed under the North American Waterfowl Plan. The importance of habitat loss also is reflected in many of the presentations at this conference on wetland conservation, including one special session devoted solely to that topic. A basic premise of the focus on wetlands is that restoration of waterfowl populations is habitat dependent. This is a tenable thesis if other factors suppressing waterfowl numbers are dealt with and the habitat base being enhanced sustains waterfowl rather than contributes to their death. My presentation addresses disease as a factor suppressing waterfowl numbers and the relation of habitat quantity and quality with waterfowl disease.

Transactions of the North American Wildlife and Na

Feeding ecology and development of juvenile black ducks in Maine

Data from 41 juvenile Black Ducks ( Anas rubripes ) collected in the Penobscot River valley of Maine from June through August 1974-76 were used to estimate the proportion of aquatic invertebrates in the prefledging diet and the allometric growth rates of the tarsi, flight muscles, and alimentary system. The proportion of aquatic invertebrates in the diet of downy and partially feathered juveniles averaged 88 and 91% of dry weight, but decreased to 43% for fully feathered young. The most important invertebrate food organisms for juvenile Black Ducks were asellid isopods, molluscs, nymphs of Ephemeroptera and Odonata, and larvae of Coleoptera, Trichoptera, and Diptera. A high proportion of invertebrates was consumed during the period of fastest absolute and relative growth. Estimation of allometric growth rates with the power formula (Y = a·$X_{b}$) showed that (1) the legs were relatively large at hatching and developed slowly; (2) the flight muscles, which were relatively small at hatching, grew slowly until the 4-week period preceding fledging, when they increased as the 4.75 power of body weight; and (3) growth of the liver and gizzard was approximately proportional to body weight. The data support Ricklefs' thesis that delayed functional maturity of the wings permits an increase in the overall growth rate of waterfowl.

The Auk

[Book review] American sportsmen and the origins of conservation

The relationship of this book to ornithology is so indirect that the work barely merits a review on these pages. In a rather subtle way, however, the book may have a considerable effect on at least one aspect of ornithology, that involving scientific collecting. In essence, the volume is an entry in the hunting versus antihunting controversy, by a historian who is a sportsman. A challenge to antihunting preservationists, the premise is that sportsmen (those who hunt and fish for pleasure rather than for food or profit), and not preservationists, were the founders of conservation concepts in the United States. The implied conclusion is that modern hunting and fishing are valid, conservation- oriented activities. The proof of the thesis depends on demonstrating that those persons who led the conservation movement were in fact sportsmen, as defined, rather than fitting any other categorization, and that only those who fit the definition were effective. The method is to detail both the sporting proclivities and conservation efforts of leaders in the movement and to ignore or belittle other activities of those persons and other persons not considered sportsmen. Although effective in making a point, the technique suffers from the difficulties inherent in any one-character classification.

The Auk

Manganese nodules

The existence of manganese (Mn) nodules (Figure 1) has been known since the late 1800s when they were collected during the Challenger expedition of 1873–1876. However, it was not until after WWII that nodules were further studied in detail for their ability to adsorb metals from seawater. Many of the early studies did not distinguish Mn nodules from Mn crusts. Economic interest in Mn nodules began in the late 1950s and early 1960s when John Mero finished his Ph.D. thesis on this subject, which was published in the journal Economic Geology (Mero, 1962) and later as a book (Mero, 1965). By the mid-1970s, large consortia had formed to search for and mine Mn nodules that occur between the Clarion and Clipperton fracture zones (CCZ) in the NE Pacific (Figure 2). This is still the area considered of greatest economic potential in the global ocean because of high nickel (Ni), copper (Cu), and Mn contents and the dense distribution of nodules in the area. While the mining of nodules was fully expected to begin in the late 1970s or early 1980s, this never occurred due to a downturn in the price of metals on the global market. Since then, many research cruises have been undertaken to study the CCZ nodules, and now 15 contracts for exploration sites have been given or are pending by the International Seabed Authority (ISA). Many books and science journal articles have been published summarizing the early work (e.g., Baturin, 1988; Halbach et al., 1988), and research has continued to the present day (e.g., ISA, 1999; ISA, 2010). Although the initial attraction for nodules was their high Ni, Cu, and Mn contents, subsequent work has shown that nodules host large quantities of other critical metals needed for high-tech, green-tech, and energy applications (Hein et al., 2013; Hein and Koschinsky, 2014).

Book chapter

The type specimens of Hekstra's owl

Twenty-four new subspecies of New World owls of the genus Otus were named in a paper by Hekstra (1982b) issued 17 December 1982. These same new names also appeared in Hekstra's (1982a) unpublished thesis. The holotypes of the new taxa are in 10 different collections, most of which are in the United States. Incorrect information was published with regard to museum designation, museum number, and collecting locality of many of the holotypes. I here list the holotypes with their correct specimen label data. The species names are here presented in the sequence proposed by Marshall & King (1988). The subspecies are generally arranged from north to south. The type localities given are standardized, and the spellings are corrected where required. Abbreviations for museum designations are given under acknowledgments. The numbers following the names refer to the pages where the descriptions were given (Hekstra 1982b). Several of the scientific names proposed were spelled incorrectly and these have been emended in accord with Article 31c and Appendix D of the International Code (International Commission on Zoological Nomenclature 1985). Taxonomic comments are appended for a small number of Hekstra's proposed taxa. The remaining forms he named require further study.

Report

An economical educational seismic system

There is a considerable interest in seismology from the nonprofessional or amateur standpoint. The operation of a seismic system can be satisfying and educational, especially when you have built and operated the system yourself. A long-period indoor-type sensor and recording system that works extremely well has been developed in the James Madison University Physics Deparment. The system can be built quite economically, and any educational institution that cannot commit themselves to a professional installation need not be without first-hand seismic information. The system design approach has been selected by college students working a project or senior thesis, several elementary and secondary science teachers, as well as the more ambitious tinkerer or hobbyist at home

Earthquake Information Bulletin (USGS)

Analysis of the sea otter ( Enhydra lutris ) reproductive tract: A methods manual

Reproduction in the female sea otter, Enhydra lutris, was relatively unstudied until Sinha et al. (1966) examined 140 reproductive tracts collected 1955-62 and used their findings to describe sea otter reproductive anatomy and biology. Two years later Sinha and Conaway (1968) published a more detailed paper on the ovary of the sea otter. These descriptive papers have been used as the basis for all subsequent studies of sea otter reproductive tracts. During biological collections of sea otters in the 1960s and 70s a large number of female carcasses became available to wildlife biologists. Using Sinha’s research, Schneider (1973) analyzed 1,482 female reproductive tracts to determine the timing of reproduction, gestation period, age of sexual maturity, fetal sex ratio and growth rate of otters in the Aleutian Islands. A similar study was conducted by Bodkin et al. (1993) on a sample of 177 females collected after the 1989 Exxon Valdez oil spill. Recently (von Biela 2007) examined 134 reproductive tracts obtained from beachcast and harvested otters across the three Alaskan population stocks as part of a Master’s thesis. As with most life history data, comparisons among and within populations that differ in status relative to equilibrium densities provide useful data with which to test hypotheses about the cause and effects of changes in demographic rates such as reproductive rate. However, in order to make such comparisons, methods used in different periods must be comparable. The purpose of this manual is to explicitly describe how to collect and analyze sea otter reproductive tracts for the determination of reproductive rate, pregnancy rate, percentage of mature females, and timing of reproduction so that the data will be directly comparable to that collected in the past. The techniques presented in this manual have been used to study sea otter populations over the last 50 years, and maintaining such consistency is essential to comparisons in the future. This manual is based on the methods of previous researchers and draws heavily on the published and unpublished works of James Bodkin, Karl Kenyon, Calvin Lensink, Daniel Mulcahy, Karl Schneider, and Akhouri Sinha. Most invaluable to the production of this manual were the direct communications with Karl Schneider and Dan Mulcahy. In each instance, researchers have communicated with each other to attain comparable methods. Recognizing that researchers in the future may not have this luxury, this guide has been produced to preserve the technique. In addition to using this manual, researchers should consult with colleagues experienced in the analysis of mammalian reproductive tracts, preferably specific to sea otters. Individuals are encouraged to contact V. von Biela with any questions. Sea otter reproductive tracts have most commonly come from either intentional sampling through harvests (Sinah et al. 1966, Schneider 1975) or unintentional large scale mortalities (e.g. the 1989 Exxon Valdez oil spill) (Bodkin et al. 1993). Carcasses and reproductive tracts can also be obtained through the collection of fresh beach cast carcasses. Analysis of reproductive tracts should consider the source of carcasses as samples representing either the “living” or “dead” sea otter population, as they may differ in reproductive parameters. In most cases the reproductive tracts are fixed in formalin or frozen (minimum of –20˚C) immediately after collection; both methods are acceptable for later analysis of the tissue. Immediate fixation is preferred as it is a necessary step in analysis. Uteri and ovaries are then examined to determine the current and past reproductive history of each individual. This manual also includes an example datasheet (Appendix A) and glossary (Appendix B).

Technical Report

Standardized guide to the examination and necropsy of the horseshoe crab using Limulus polyphemus as Limulidae prototype

The Atlantic, or American, horseshoe crab (L imulus polyphemus ) has existed largely unchanged for over 100 million years. Millions of individuals are commonly observed ashore in spring and summer months during spawning events along the entire North American coastline expanding from the East to the Gulf coasts of the United States and Mexico. Other species can be found in the Indian and Pacific Ocean. The massive deposit of eggs in nearshore sand provides a critical source of food for endangered migrating birds, especially the Red Knot ( Calidruis canutus rufa ) in the Delaware Bay. Horseshoe crabs are also an important component of the sea turtle diet. In addition to the ecological importance, horseshoe crabs are used commercially for bait in eel and conch fisheries and for biomedical purposes in the production of Limulus Amebocyte Lysate (LAL) to detect bacterial toxins in injectable drugs and implantable devices. Commercial demands have led to population declines in some regions. Fisheries are regulated by state and the current International Union for Conservation of Nature (IUCN) listing for L. polyphemus is vulnerable. A small number of individuals are housed in public aquaria for educational purposes. With growing interest in animal welfare, the health and stability of populations, and potential stressors that can contribute to decline , it is important to have clear and detailed descriptions of horseshoe crab anatomy and necropsy techniques. The purpose of this guide is to illustrate the normal anatomy and the step-by-step technique for dissection of horseshoe crabs. The contents are largely excerpts of the master’s thesis of artist, Katie (Bergdale) Roorda, which was based on photographs from C. Meteyer documenting the sequence and procedure used for necropsy dissection.

Cooperator Report

Memorial to Jack B. Epstein 1935-2020

Jack Burton Epstein, a career geologist with the U.S. Geological Survey (USGS) passed away in May 2020 at his home in Great Falls, Virginia. His career and contributions to the USGS spanned more than 60 years from his time as a summer field assistant while attending college, through 40 years as a research geologist, and more than 15 years as an emeritus scientist. Jack was born December 27, 1935 in Brooklyn, New York and attended CUNY- Brooklyn College where he received his Bachelor of Science degree in geology in 1956. He earned his Master of Science degree in 1958 from the University of Wyoming, and his doctorate degree in geology in 1970 from The Ohio State University. His master’s thesis was geologic mapping of the Fanny Peak quadrangle, Black Hills of Wyoming and South Dakota, and his Ph. D. dissertation focused on the geology of the Stroudsburg quadrangle and adjacent areas, Pennsylvania and New Jersey.

Geological Society of America Memorials

3-D Modeling of the Duluth Complex from geophysical data

The Mesoproterozoic Duluth Complex in northeastern Minnesota is one of the major plutonic components of the Midcontinent Rift System and hosts a variety of copper-nickel sulfide and platinum-group element deposits. The Duluth Complex is composed of a series of individual mafic and felsic intrusions emplaced 1110-1098 Ma within Paleoproterozoic sedimentary rocks of the Animikie basin and volcanic flows of the Midcontinent Rift. Prior work has included 2-D modeling and qualitative geologic interpretations of gravity and magnetic data (e.g., Chandler, 1990; Chandler and Ferderer, 1989), much of which is still preliminary (V. Chandler, written commun., 2020). Three-dimensional modeling has been limited, with only one 3-D model created using Bouguer gravity data constrained by seismic-reflection interpretations as part of a PhD thesis (Allen, 1994). Given the complex geology of the area, 3-D modeling is useful for providing a complete picture of the variable densities, susceptibilities, and electrical resistivities throughout the Duluth Complex and associated volcanic rocks as well as their depth extent beneath sedimentary cover. Models of these geophysical properties at depth enable more accurate geologic mapping in the subsurface which can lead to an improved understanding of the formation history of the Duluth Complex. In this study, we use aeromagnetic data acquired between 1979-1991 (Chandler, 2007), Bouguer gravity data collected since 1950 (Chandler and Lively, 2019), and magnetotelluric data collected in 2019 to create new 2-D and 3-D geophysical models of the Duluth Complex constrained by seismic reflection, geologic, and rock property data. An inversion of the Bouguer gravity data for thickness of the Duluth Complex using constant densities of 3110 kg/m3 and 2670 kg/m3 for the Duluth Complex and surrounding crustal rocks, respectively, results in thicknesses ranging from ~3-28 km for the Duluth Complex and related intrusions and volcanic rocks (Figure 1A). A 3-D model of the magnetotelluric data reveals low resistivity anomalies at ~5-10 km depth below the northern margin of the Duluth Complex and below the Greenwood Lake intrusion (Figure 1B). We expect to encounter low resistivities at depth associated with the Paleoproterozoic Animikie basin, which makes up the floor of the Duluth Complex, and therefore interpret these anomalies as either the base of the complex or as fragments of Animikie sediments interfingered with igneous intrusive rocks. Finally, 3-D voxel models of density and susceptibility illuminate the subsurface distribution of rock properties below the Duluth Complex which, in combination with resistivity and thickness models, can be used to create a 3-D geologic map of this area.

Minnesota

Geologic map of the Patrick quadrangle, Chesterfield County, South Carolina

The Patrick 7.5 minute quadrangle, located in Chesterfield County, South Carolina, lies entirely within the upper Atlantic Coastal Plain province. Directly to the southeast in the Dovesville quadrangle, the Pliocene Orangeburg Scarp marks the western edge of marine terraces that characterize the upper limit of the middle Atlantic Coastal Plain. The geologic mapping for this quadrangle was done from 2013-2015 by Bradley A. Fitzwater at Old Dominion University as part of a Master’s thesis supervised by G. Richard Whittecar. Christopher S. Swezey (U.S. Geological Survey) and Fitzwater collaborated in the geologic mapping of both the Patrick quadrangle and the adjacent Middendorf quadrangle (Swezey et al., 2021). The geologic mapping was conducted using a lidar base from 2013, whereas this published product shows the geologic data on a USGS topographic map base from 1968. As a result of differences in resolution, the published map may display a few minor discrepancies with respect to alignment of geologic data with topographic and hydrologic features.

South Carolina

I. Thermal evolution of Ganymede and implications for surface features. II. Magnetohydrodynamic constraints on deep zonal flow in the giant planets. III. A fast finite-element algorithm for two-dimensional photoclinometry

The work is divided into three independent papers: PAPER I: Thermal evolution models are presented for Ganymede, assuming a mostly differentiated initial state of a water ocean overlying a rock layer. The only heat sources are assumed to be primordial heat (provided by accretion) and the long-lived radiogenic heat sources in the rock component. As Ganymede cools, the ocean thins, and two ice layers develop, one above composed of ice I, and the other below composed of high-pressure polymorphs of ice. Subsolidus convection proceeds separately in each ice layer, its transport of heat calculated using a simple parameterized convection scheme and the most recent data on ice rheology. The model requires that the average entropy of the deep ice layer exceed that of the ice I layer. If the residual ocean separating these layers becomes thin enough, then a Rayleigh-Taylor-like ("diapiric") instability may ensue, driven by the greater entropy of the deeper ice and merging the two ice mantles into a single convective layer. This instability is not predicted by linear analysis but occurs for plausible finite amplitude perturbations associated with large Rayleigh number convection. The resulting warm ice diapirs may lead to a dramatic "heat pulse" at the surface and to fracturing of the lithosphere, and may be directly or indirectly responsible for resurfacing and grooved terrain formation on Ganymede. The timing of this event depends rather sensitively on poorly known rheological parameters but could be consistent with chronologies deduced from estimated cratering rates. Irrespective of the occurrence or importance of the heat pulse, we find that lithospheric fracturing requires rapid stress loading (on a timescale ≾ 10 4 ) years). Such a timescale can be realized by warm ice diapirism, but not directly by gradual global expansion. In the absence of any quantitative and self-consistent model for the resurfacing of Ganymede by liquid water, we favor resurfacing by warm ice flows,which we demonstrate to be physically possible, a plausible consequence of our models, compatible with existing observations, and a hypothesis testable by Galileo. We discuss core formation as an alternative driver for resurfacing, and conclude that it is less attractive. We also consider anew the puzzle of why Callisto differs so greatly from Ganymede, offering several possible explanations. The models presented do not provide a compelling explanation for all aspects of Ganymedean geological evolution, since we have identified several potential problems, most notably the apparently extended period of grooved terrain formation (several hundred million years), which is difficult to reconcile with the heat pulse phenomenon. PAPER II: The observed zonal flows of the giant planets will, if they penetrate below the visible atmosphere, interact significantly with the planetary magnetic field outside the metalized core. The appropriate measure of this interaction is the Chandrasekhar number Q = ( H 2 )/(4πρνα 2 λ) (where H = radial component of the magnetic field, ν = eddy viscosity, λ = magnetic diffusivity, α -1 = lengthscale on which λ varies); at depths where Q ≳ 1 the velocity will be forced to oscillate on a small lengthscale or decay to zero. We estimate the conductivity due to semiconduction in H 2 (Jupiter, Saturn) and ionization in H 2 O (Uranus, Neptune) as a function of depth; the value λ ≃ 10 10 cm 2 s -1 needed for Q = 1 is readily obtained well outside the metallic core (where λ ≃ 10 2 cm 2 s -1 ). These assertions are quantified by a simple model of the equatorial zonal jet in which the flow is assumed uniform on cylinders concentric with the spin axis, and the viscous and magnetic torques on each cylinder are balanced. We solve this "Taylor constraint" simultaneously with the dynamo equation to obtain the velocity and magnetic field in the equatorial plane. With this model we reproduce the widely differing jet widths of Jupiter and Saturn (though not the flow at very high or low latitudes) using ν = 2500 cm 2 s -1 , consistent with the requirement that viscous dissipation not exceed the specific luminosity. A model Uranian jet consistent with the limited Voyager data can also be constructed, with appropriately smaller ν, but only if one assumes a two-layer interior. We tentatively predict a wide Neptunian jet. For Saturn (but not Jupiter or Uranus) the model has a large magnetic Reynolds number where Q = 1 and hence exhibits substantial axisymmetrization of the field in the equatorial plane . This effect may or may not persist at higher latitudes. The one-dimensional model presented is only a first step. Variation of the velocity and magnetic field parallel to the spin axis must be modeled in order to answer several important questions, including: 1) What is the behavior of flows at high latitudes, whose Taylor cylinders are interrupted by the region with Q ≳ 1? 2) To what extent is differential rotation in the envelope responsible for the spin-axisymmetry of Saturn's magnetic field? PAPER III: It is shown that the problem of two-dimensional photoclinometry (PC) -- the reconstruction of a surface z ( x , y ) from a brightness image B( x , y ) -- may be formulated in a natural way in terms of finite elements. The resulting system of equations is underdetermined as a consequence of the lack of boundary conditions for z , but a unique solution may be chosen by minimizing a function S expressing the "roughness" of the surface. An efficient PC algorithm based on this formulation is presented, requiring ~ 10.66 (four-byte) memory locations and ~10 4 floating multiplications/additions per pixel, and incorporating: 1) Minimization of the roughness by the penalty method, which yields the smallest set of equations. 2) Iterative solution of the nonlinear equations by Newton's method. 3) Solution of the linearized equations by an inner iterative cycle of successive over-relaxation, which takes advantage of the extreme sparseness of the system. 4) Multigridding, in which the solutions to the smaller problems obtained by reducing the resolution are used recursively to greatly speed convergence at the higher resolutions, and 5) A rapid noniterative initial estimate of z obtained by exploiting the special symmetry of the equations obtained in the first linearization. The algorithm is extensively demonstrated on 200 by 200 pixel synthetic "images" generated from digital topographic data for northern Utah over a range of phase angles. Rms error in the solution is ~ 22 m, out of ~ 660 m total relief. The error is dominated by "stripes" with the same azimuth as the light source, resulting from use of the roughness criterion in lieu of boundary conditions; the rms error along profiles parallel to the stripes is only ~ 2-8 m, depending on the phase angle. Satisfactory solutions are obtained even in the presence of quantization error, noise, and moderate blur in the image. Applications of the PC algorithm to both remote sensing and photomicrography are sketched; a photoclinometric map of a low-relief Precambrian era fossil is presented as an example of the latter. Prospects for dealing with photometrically inhomogeneous surfaces, and an extension of the method to the analysis of side-looking radar data ("radarclinometry") are also discussed.

Thesis

Maintaining population persistence in the face of an extremely altered hydrograph: implications for three sensitive fishes in a tributary of the Green River, Utah

The ability of an organism to disperse to suitable habitats, especially in modified and fragmented systems, determines individual fitness and overall population viability. The bluehead sucker (Catostomus discobolus), flannelmouth sucker (Catostomus latipinnis), and roundtail chub (Gila robusta) are three species native to the upper Colorado River Basin that now occupy only 50% of their historic range. Despite these distributional declines, populations of all three species are present in the San Rafael River, a highly regulated tributary of the Green River, Utah, providing an opportunity for research. Our goal was to determine the timing and extent of movement, habitat preferences, and limiting factors, ultimately to guide effective management and recovery of these three species. In 2007-2008, we sampled fish from 25 systematically selected, 300-m reaches in the lower 64 km of the San Rafael River, spaced to capture the range of species, life-stages, and habitat conditions present. We implanted all target species with a passive integrated transponder (PIT) tag, installed a passive PIT tag antennae, and measured key habitat parameters throughout each reach and at the site of native fish capture. We used random forest modeling to identify and rank the most important abiotic and biotic predictor variables, and reveal potential limiting factors in the San Rafael River. While flannelmouth sucker were relatively evenly distributed within our study area, highest densities of roundtail chub and bluehead sucker occurred in isolated, upstream reaches characterized by complex habitat. In addition, our movement and length-frequency data indicate downstream drift of age-0 roundtail chub, and active upstream movement of adult flannelmouth sucker, both from source populations, providing the lower San Rafael River with colonists. Our random forest analysis highlights the importance of pools, riffles, and distance-to-source populations, suggesting that bluehead sucker and roundtail chub are habitat limited in the lower San Rafael River. These results suggest management efforts should focus on diversifying habitat, maintaining in-stream flow, and removing barriers to movement.

Utah

Environmental conditions affecting the efficiency and efficacy of piscicides for use in nonnative fish eradication

Conservation of native fish is a pressing issue for fisheries managers. Conservation efforts often require eliminating threats posed by nonnative fish by eradicating them with piscicides. The piscicides rotenone and antimycin are used for eradication but their application is often inefficient or ineffective. My goal was to increase the efficiency and efficacy of nonnative fish eradication using piscicides. I identified environmental conditions affecting piscicide application, researched methods to overcome these problems, and provided tools that piscicide applicators can use to make piscicide application more efficient and effective. Rotenone and antimycin were exposed to varying levels of sunlight, turbulence, and dissolved organic matter (DOM) to determine the effect these environmental conditions have on piscicides. Bioassay fish were used to determine the toxicity of the piscicides. Sunlight and turbulence affected rotenone and antimycin but DOM did not. Increasing the concentration of chemical can increase the resistance to the effects of these environmental conditions; however, the effects of these conditions are considerable in natural settings. Observations of bioassay fish in stream applications of rotenone were used to develop a statistical model to predict the persistence of the piscicide. The model can be used to predict rotenone persistence in small montane streams and to estimate where rotenone concentrations need to be fortified. I measured the mixing rate of a chemical plume in different channel morphologies and at center or edge applications. Center application had a significantly shorter mixing distance than edge application, but mixing distance was not different among meandering, straight, and riffle/pool morphologies. Application of my findings will increase the efficiency and efficacy of native fish conservation using piscicides.

Thesis