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Groundwater-quality and select quality-control data from the National Water-Quality Assessment Project, January through December 2015, and previously unpublished data from 2013 to 2014

Groundwater-quality data were collected from 502 wells as part of the National Water-Quality Assessment Project of the U.S. Geological Survey National Water-Quality Program and are included in this report. Most of the wells (500) were sampled from January through December 2015, and 2 of them were sampled in 2013. The data were collected from five types of well networks: principal aquifer study networks, which are used to assess the quality of groundwater used for public water supply; land-use study networks, which are used to assess land-use effects on shallow groundwater quality; major aquifer study networks, which are used to assess the quality of groundwater used for domestic supply; enhanced trends networks, which are used to evaluate the time scales during which groundwater quality changes; and vertical flow-path study networks, which are used to evaluate changes in groundwater quality from shallow to deeper depths. Groundwater samples were analyzed for a large number of water-quality indicators and constituents, including major ions, nutrients, trace elements, volatile organic compounds, pesticides, radionuclides, and some constituents of special interest (arsenic speciation, chromium [VI], and perchlorate). These groundwater-quality data, along with data from quality-control samples, are tabulated in this report and in an associated data release. Some data from environmental samples collected in 2013 and quality-control samples collected in 2014 also are included in the associated data release; these data are associated with networks described in this report and have not been published previously.

Data Series↗

What can seismology say about hotspots?

Seismological methods offer the highest-resolution views of the structure of the mantle. Since deep mantle plumes were proposed to explain melting anomalies (“hotspots”), increasingly powerful seismologic studies have sought to detect them, but so far without definitive success. This paper summarizes the relevant seismological methods and results for Earth scientists who are not seismologists.

Special Papers of the Geological Society of Americ↗

Location-only and use-availability data: analysis methods converge

This Special Feature arose from a session on a topic of the same name that took place during The Wildlife Society meeting in Kona, Hawaii, from 5 to 10 November, 2011. The purpose of that session and this Special Feature is to compare methods for predictive modelling of species geographical distributions and the modelling of habitat (resource) selection by animals. The predictive modelling of species geographical distributions and the modelling of habitat selection based on the environmental conditions at sites where animals are known to occur are essentially the same problem. Presence-only and used-available data both consist of a sample of locations with known presence of a species or an individual. A separate sample of locations from a study area, with unknown presence (pseudo-absence), is also assumed to exist. The probability or relative probability of presence of a species or individual is modelled and estimated across a certain time implicitly defined by the sampling mechanism, for example, by the time period during which museum specimens or radiotelemetry data were collected. A number of modelling methods have appeared in the literature over the last couple of decades. Many of these methods were made feasible by the availability of geographical information systems (GIS), global positioning system (GPS) radiotelemetry and public online data access initiatives (e.g. global biodiversity information facility). The papers in this Special Feature are intended to present the state of the methodological art in their subject area, with particular attention paid to contrasting the advantages and disadvantages of alternative methods of analysis for data.

Journal of Animal Ecology↗

Ecological islands: Conserving biodiversity hotspots in a changing climate

For decades, botanists have recognized that rare plants are clustered into ecological “islands”: small and isolated habitat patches produced by landscape features such as sinkholes and bedrock outcrops. Insular ecosystems often provide unusually stressful microhabitats for plant growth (eg because of thin soils, high temperatures, extreme pH, or limited nutrients) to which rare species are specially adapted. Climate-driven shifts to these stressors may undermine the competitive advantage of stress-adapted species, allowing them to be displaced by competitors, or may overwhelm their coping strategies altogether. Special features of insular ecosystems—such as extreme habitat fragmentation and association with unusual landscape features—may also affect their climate sensitivity and adaptive capacity. To predict and manage these changes, a simple conceptual framework is presented based on a synthesis of over 300 site-level studies. Using this framework, conservation efforts can leverage existing ecological knowledge to anticipate changes in particular microhabitats and design targeted strategies for conserving rare species.

Frontiers in Ecology and the Environment↗

Benthic boundary layer processes in the Lower Florida Keys

This special issue of Geo-Marine Letters, "Benthic Boundary Layer Processes in the Lower Florida Keys," includes 12 papers that present preliminary results from the Key West Campaign. The Dry Tortugas and Marquesas Keys test sites were selected by a group of 115 scientists and technicians to study benthic boundary layer processes in a carbonate environment controlled by bioturbation and biogeochemical processes. Major activities included remote sediment classification; high-frequency acoustic scattering experiments; sediment sampling for radiological, geotechnical, biological, biogeochemical, physical, and geoacoustic studies; and hydrodynamic studies using an instrumented tetrapod. All these data are being used to improve our understanding of the effects of environmental processes on sediment structure and behavior.

Florida↗

Assessing the impacts of future climate conditions on the effectiveness of winter cover crops in reducing nitrate loads into the Chesapeake Bay Watershed using SWAT model

Winter cover crops (WCCs) have been widely implemented in the Coastal Plain of the Chesapeake Bay watershed (CBW) due to their high effectiveness at reducing nitrate loads. However, future climate conditions (FCCs) are expected to exacerbate water quality degradation in the CBW by increasing nitrate loads from agriculture. Accordingly, the question remains whether WCCs are sufficient to mitigate increased nutrient loads caused by FCCs. In this study, we assessed the impacts of FCCs on WCC nitrate reduction efficiency on the Coastal Plain of the CBW using Soil and Water Assessment Tool (SWAT) model. Three FCC scenarios (2085 – 2098) were prepared using General Circulation Models (GCMs), considering three Intergovernmnental Panel on Climate Change (IPCC) Special Report on Emissions Scenarios (SRES) greenhouse gas emission scenarios. We also developed six representative WCC implementation scenarios based on the most commonly used planting dates and species of WCCs in this region. Simulation results showed that WCC biomass increased by ~ 58 % under FCC scenarios, due to climate conditions conducive to the WCC growth. Prior to implementing WCCs, annual nitrate loads increased by ~ 43 % under FCC scenarios compared to the baseline scenario (2001 – 2014). When WCCs were planted, annual nitrate loads were substantially reduced by ~ 48 % and WCC nitrate reduction efficiency water ~ 5 % higher under FCC scenarios relative to the baseline. The increase rate of WCC nitrate reduction efficiency varied by FCC scenarios and WCC planting methods. As CO2 concentration was higher and winters were warmer under FCC scenarios, WCCs had greater biomass and therefore showed higher nitrate reduction efficiency. In response to FCC scenarios, the performance of less effective WCC practices (e.g., barley, wheat, and late planting) under the baseline indicated ~ 14 % higher increase rate of nitrate reduction efficiency compared to ones with better effectiveness under the baseline (e.g., rye and early planting), due to warmer temperatures. According to simulation results, WCCs were effective to mitigate nitrate loads accelerated by FCCs and therefore the role of WCCs in mitigating nitrate loads is even more important in the given FCCs.

Chesapeake Bay↗

Theory, modelling and calibration of passive samplers used in water monitoring: Chapter 7

This chapter discusses contaminant uptake by a passive sampling device (PSD) that consists of a central sorption phase, surrounded by a membrane. A variety of models has been used over the past few years to better understand the kinetics of contaminant transfer to passive samplers. These models are essential for understanding how the amounts of absorbed contaminants relate to ambient concentrations, as well as for the design and evaluation of calibration experiments. Models differ in the number of phases and simplifying assumptions that are taken into consideration, such as the existence of (pseudo-) steady-state conditions, the presence or absence of linear concentration gradients within the membrane phase, the way in which transport within the WBL is modeled and whether or not the aqueous concentration is constant during the sampler exposure. The chapter introduces the basic concepts and models used in the literature on passive samplers for the special case of triolein-containing semipermeable membrane devices (SPMDs). These can easily be extended to samplers with more or with less sorption phases. It also discusses the transport of chemicals through the various phases constituting PSDs. the implications of these models for designing and evaluating calibration studies have been discussed.

Book chapter↗

Stable isotope evolution and paleolimnology of ancient Lake Creede

The lacustrine carbonate and travertine (tufa) deposits of ancient Lake Creede preserve a remarkable record of the isotopic evolution of the lake. That record indicates that the δ18O of the lake water, and by analogy its salinity, evolved through evaporation. Limited and less reliable data on hydrous minerals and fluid inclusions in early diagenetic carbonates indicate that the δD of the lake waters also evolved through evaporation. The isotope data place restrictions on models of the physical limnology of the lake and its evolution. The closed-basin Lake Creede formed shortly after collapse of the 26.9 Ma Creede caldera. Throughout most of its history it occupied the northern three quarters of the moat between the resurgent dome and wall of the caldera. The Creede Formation was deposited in the basin, dominantly as lacustrine sediments. Travertine mounds interfinger with Creede Formation sediments along the inner and outer margins of the lake basin. An estimated one-half of the original thickness of the Creede Formation has been lost mainly to erosion although scattered remnants of the upper portion remain on the caldera walls. Two diamond core holes (CCM-1 and CCM-2) sampled the uneroded portion of the Creede Formation as part of the U.S. Continental Drilling Program. Volcaniclastic material, including tuff units deposited directly into the lake and ash washed in from the watershed, compose the main lithologies of the Creede Formation. These volcaniclastic strata were produced by episodic ring-fracture volcanism. Lacustrine carbonates make up about 15% of the section sampled by drill core. They occur as 1 mm to 2 cm low-Mg calcite laminae alternating with siliciclastic laminae in scattered intervals throughout the preserved section. The carbonate laminae are accumulations of 5–20 µm crystallites (microsparites) and brine shrimp fecal pellets (peloids) composed mainly of microsparite particles. Low-Mg calcite also occurs as an early diagenetic replacement of gypsum or ikaite (CaCO3 ·6H2O) crystals grown displacively in the muds and silts near the water-sediment interface (rice grains). Other studies indicate that aragonite was the original CaCO3 precipitate forming the microsparite and peloidal laminae and that it converted to calcite during burial diagenesis. Samples from CCM-2 and nearby outcrop do not appear to have undergone significant isotope exchange during recrystallization. Samples from CCM-1 and nearby outcrop, however, appear to have undergone extensive oxygen isotope exchange with meteoric water-dominated fluids possibly during a local 17.6 Ma hydrothermal event. The δ18O-δ13C data set produced by microsampling of individual carbonate lamellae and rice grains is exceptional in several aspects and provides important clues concerning the evolution of limnologic structure of the lake and its chemical and isotopic composition. Travertine and ikaite pseudomorphs in travertine deposits extend the record an additional 330 m above the collar of CCM-2. The δ18O values on CCM-2 samples range from 10.4‰ to 37.3‰ and δ13C values range from –10.8‰ to 9.6‰. The data fall into two distinct groups, a covariant group and an invariant group. The covariant group shows a strong negative covariance and a large range of δ18O and δ13C values. The negative covariance is opposite that normally reported for lacustrine carbonates. The large range of δ18O and δ13C values requires that the carbonates precipitated from waters have a large range of temperature and carbon and oxygen isotopic composition. The invariant group has a narrow range of large δ18O values (35‰ ± 2‰) and a wide range of δ13C values (–10.8‰ to 9.6‰), indicating precipitation from waters with a narrow range of temperature and δ18O but a wide range in δ13C of aqueous carbon. The ranges of isotope values for microsparite and peloid samples are virtually identical; two-thirds are in the covariant group. By contrast, the values for almost all rice grain samples are in the invariant group. The range in δ18O for all samples reflects precipitation from waters having varying proportions of deep, cold evaporated lake water and shallow, warmer meteoric water. The range for δ13C reflects varying proportions of organic carbon and carbon of volcanic or atmospheric origin, probably dominantly volcanic, in the aqueous carbon. Changes in the detailed carbon-oxygen isotope systematics with stratigraphic position define three periods of isotopic evolution of Lake Creede. Period I is represented by the lowest ~200 m of Creede Formation core in CCM-2. Analyses of individual microsparite and peloidal carbonate laminae within single thin sections of samples from that interval are tightly grouped. The data set as a whole shows a negative covariance. Rice grains are not found in this interval. Period II is represented by the succeeding 120 m of core in CCM-2. In that interval, δ13C-δ18O values for individual microsparite and peloidal carbonate laminae within single thin sections show strong negative covariance, and the set of values for the entire interval also shows strong negative covariance. Rice grains occur near the top of the interval. Period III is represented by the upper 225 m of CCM-2 core. In this interval, rice grains are abundant and δ13C-δ18O values for microsparite and peloidal laminae as well as rice grains fall in the invariant group. During Period I the lake was well mixed and the oxygen isotopic composition of the lake in the productive zone was only slightly influenced by short-term (e.g., annual) variations in the water budget of the lake. In Period II the lake was stratified, possibly with annual overturn. The productive zone included the mixolimnion and the isotopic composition of the microsparites and peloids reflected mixtures of shallow surface (meteoric) water containing volcanic or atmospheric CO2 (epilimnion) and cold underlying waters, the oxygen isotopic compositions of which had evolved through evaporation and were dominated by CO2 produced by the oxidation of organic matter (hypolimnion). During Period III the lake remained stratified. The productive zone was in the hypolimnion, probably due to a thinning of the epilimnion resulting from an increase in the surface area of the lake or a decrease in input waters reflecting a climate change. An upsection increase in values of δ18O for the heaviest samples during Periods I and II indicates evaporative concentration of 18O and, by analogy, salinity in the hypolimnion. The δD-δ18O evolution of the lake is inferred on theoretical evaporation trends, comparison to Mono Lake, and measurement of the δD in fluid inclusions in a calcite pseudomorph after ikaite. The δD-δ18O composition of the lake water followed a curved path that eventually hooked over at a nearly constant δ18O value for the lake of 2‰ ± 2‰ Travertine (tufa) mounds formed along the inner and outer margins of the lake in a zone of mixing of warm, volcanic CO2-bearing, meteoric waters and lake water. Ikaite crystals formed on the mounds from unmixed saline lake water, probably below the thermocline. As the position of the thermocline deepened, likely following the spring runoff, the ikaite was replaced by calcite and the resulting “pearls” were covered with travertine deposited from mixed meteoric and lake waters. The upsection increase in δ18O values of the carbonates, the long period of invariance of large δ18OH2O values, the presence of brine shrimp fecal pellets, and the inferred hooked δD-δ18O path are consistent with evidence from other studies that Lake Creede obtained significant salinity rather early in its history and certainly by the time the lake became permanently stratified.

Colorado↗

Wetlands under global change

Wetlands are among the ecosystem types most threatened by global change, including both climate change and other anthropogenic factors such as sea level rise, urban development, deforestation, agricultural land use, drainage, levees, tidal flow restrictions, pollution, eutrophication, and fires. Wetlands not only store disproportionate amounts of carbon compared to other terrestrial ecosystems, but they lie at the terrestrial-aquatic interface crucial to understanding landscape and global scale biogeochemical cycles. In this chapter, we focus on the major global change factors affecting wetlands and the responses of different wetland types to those global change factors. Special attention is given to direct responses to increasing atmospheric carbon dioxide levels. Because of their hydrological connections and placement at the terrestrial-aquatic interface, the conservation of wetlands involves accounting for uncertainties related to interacting stressors. While the past decades have seen many important experimental and observational studies of wetland responses to global change factors, large uncertainties remain, especially within tropical regions where even the basic extent of wetland ecosystems is not well documented.

Book chapter↗

The Driftwood anticline

Recent interest in the anticlines near the headwaters of the Utukok River has prompted the issuance of two special reports. This, the first of the two reports, deals with the Driftwood anticlines, the second will consider the Awuna anticline and the western part of the Carbon Creek anticline. At present, only trimetrogon photography is available in this area. This limits the accuracy and completeness of the photographic studies. Vertical photos were flown this summer but they will probably not be available for study before the November meeting. At such time as they are retrieved a more thorough photo investigation will be made.

Alaska↗

Palaeoseismology of the Vilariça segment of the Manteigas-Bragança fault in northeastern Portugal

The Manteigas-Bragança fault is a major, 250-km-long, NNE-striking, sinistral strike-slip structure in northern Portugal. This fault has no historical seismicity for large earthquakes, although it may have generated moderate (M5+) earthquakes in 1751 and 1858. Evidence of continued left horizontal displacement is shown by the presence of Cenozoic pull-apart basins as well as late Quaternary stream deflections. To investigate its recent slip history, a number of trenches were excavated at three sites along the Vilariça segment, north and south of the Douro River. At one site at Vale Meão winery, the occurrence of at least two and probably three events in the past 14.5 ka was determined, suggesting an average return period of about 5–7 ka. All three events appear to have occurred as a cluster in the interval between 14.5 and 11 ka, or shortly thereafter, suggesting a return period of less than 2 ka between events within the cluster. In the same area, a small offset rill suggests 2–2.5 m of slip in the most recent event and about 6.1 m after incision below a c . 16 ka alluvial fill event along the Douro River. At another site along the Vilariça River alluvial plain, NE of the Vale Meão site, several trenches were excavated in late Pleistocene and Holocene alluvium, and exposed the fault displacing channel deposits dated to between 18 and 23 ka. In a succession of closely spaced parallel cuts and trenches, the channel riser was traced into and across the fault to resolve c . 6.5 m of displacement after 18 ka and c . 9 m of slip after c . 23 ka. These observations yield a slip rate of 0.3–0.5 mm/a, which is consistent with earlier estimates. Combining the information on timing at Vale Meão winery and displacement at Vilariça argues for earthquakes in the M7+ range, with coseismic displacements of 2–3 m. This demonstrates that there are potential seismic sources in Portugal that are not associated with the 1755 Lisbon earthquake or the Tagus Valley, and, although rare, large events on the Vilariça fault could be quite destructive for the region. This work provides an analogue for the study of active faulting in intracontinental settings and supports the view that earthquakes within intracontinental settings tend to cluster in time. In addition, this study highlights the usefulness and application of multiple field, remote sensing and geochronological techniques for seismic hazard mitigation.

Manteigas - Braganca fault↗

Preliminary report on the geology and ground-water supply of the Newark, New Jersey, area

In the Newark area, ground water is used chiefly for industrial cooling, air-conditioning, general processing, and for sanitary purposes. A small amount is used in the manufacture of beverages. Total ground-water pumpage in Newark is estimated at not less than 20,000,000 gallons daily. The Newark area is underlain by formations of Recent, Pleistocene and Triassic age, and the geology and hydrologic properties of these formations are discussed. Attention is called to the important influence of a buried valley in the rock floor beneath the Newark area on the yield of wells located within it. Data on the fluctuation of the water levels and the variation in pumpage are presented, and their significance discussed. The results of a pumping test made during the investigation were inconclusive. The beneficial results of artificially recharging the aquifers in one part of the area are described. The intrusion of salt water into certain parts of the ground-water body is described and graphically portrayed by a map showing the chloride concentration of the ground water in various parts of the City. Insofar as available data permit, the chemical quality of the ground water is discussed and records are given of the ground-water temperatures in various parts of the City. There has been marked lowering of the water table in the eastern part of the area, accompanied by salt water intrusion, indicating that the safe yield of the formations in this part of Newark has probably been exceeded. It is recommended that the study of the ground-water resources of this area be continued, and that artificial recharging of the aquifers be increased over as wide an area as possible.

New Jersey↗

Adaptation of Selenastrum capricornutum (Chlorophyceae) to copper

Selenastrum capricornutum Printz, growing in a chemically defined medium, was used as a model for studying adaptation of algae to a toxic metal (copper) ion. Cells exhibited lag‐phase adaptation to 0.8 μM total Cu (10 −12 M free ion concentration) after 20 generations of Cu exposure. Selenastrum adapted to the same concentration when Cu was gradually introduced over an 8‐h period using a specially designed apparatus that provided a transient increase in exposure concentration. Cu adaptation was not attributable to media conditioning by algal exudates. Duration of lag phase was a more sensitive index of copper toxicity to Selenastrum that was growth rate or stationary‐phase cell density under the experimental conditions used. Chemical speciation of the Cu dosing solution influenced the duration of lag phase even when media formulations were identical after dosing. Selenastrum initially exposed to Cu in a CuCl 2 injection solution exhibited a lag phase of 3.9 d, but this was reduced to 1.5 d when a CuEDTA solution was used to achieve the same total Cu and EDTA concentrations. Physical and chemical processes that accelerated the rate of increase in cupric ion concentration generally increased the duration of lag phase.

Environmental Toxicology and Chemistry↗

The imager for Mars Pathfinder experiment

The imager for Mars Pathfinder (IMP), a stereoscopic, multispectral camera, is described in terms of its capabilities for studying the Martian environment. The camera's two eyes, separated by 15.0 cm, provide the camera with range‐finding ability. Each eye illuminates half of a single CCD detector with a field of view of 14.4×14.0° and has 12 selectable filters. The ƒ/18 optics have a large depth of field, and no focussing mechanism is required; a mechanical shutter is avoided by using the frame transfer capability of the 512×512 CCD. The resolving power of the camera, 0.98 mrad/pixel, is approximately the same as the Viking Lander cameras; however, the signal‐to‐noise ratio for IMP greatly exceeds Viking, approaching 350. This feature along with the stable calibration of the filters between 440 and 1000 nm distinguishes IMP from Viking. Specially designed targets are positioned on the Lander; they provide information on the magnetic properties of wind‐blown dust, measure the wind vectors, and provide radiometric standard reflectors for calibration. Also, eight low‐transmission filters are included for imaging the Sun directly at multiple wavelengths, giving IMP the ability to measure dust opacity and potentially the water vapor content. Several experiments beyond the requisite color panorama are described in detail: contour mapping of the local terrain, multispectral imaging of the surrounding rock and soil to study local mineralogy, viewing of three wind socks, measuring atmospheric opacity and water vapor content, and estimating the magnetic properties of wind‐blown dust. This paper is intended to serve as a guide to understanding the scientific integrity of the IMP data that will be returned from Mars starting on July 4, 1997.

Journal of Geophysical Research E: Planets↗

Interlaboratory comparison of testing hydraulic, elastic, and failure properties in compression: Lessons learned

Many geoscientific problems require us to exploit synergies of experimental and numerical approaches, which in turn lead to questions regarding the significance of experimental details for validation of numerical codes. We report results of an interlaboratory comparison regarding experimental determination of mechanical and hydraulic properties of samples from five rock types, three sandstone varieties with porosities ranging from 5% to 20%, a marble, and a granite. The objective of this study was to build confidence in the participating laboratories’ testing approaches and to establish tractable standards for several physical properties of rocks. We addressed the issue of sample-to-sample variability by investigating the variability of basic physical properties of samples of a particular rock type and by performing repeat tests. Compressive strength of the different rock types spans an order of magnitude and shows close agreement between the laboratories. However, differences among stress–strain relations indicate that the external measurement of axial displacement and the determination of system stiffness require special attention, apparently more so than the external load measurement. Furthermore, post-failure behavior seems to exhibit some machine-dependence. The different methods used for the determination of hydraulic permeability, covering six orders of magnitude for the sample suite, yield differences in absolute values and pressure dependence for some rocks but not for others. The origin of the differences in permeability, in no case exceeding an order of magnitude, correlate with the compressive strength and potentially reflect a convolution of end plug–sample interaction, sample-to-sample variability, heterogeneity on sample scale, and/or anisotropy, the last two aspects are notably not accounted for by the applied evaluation procedures. Our study provides an extensive data set apt for “benchmarking” considerations, be it regarding new laboratory equipment or numerical modeling approaches.

Environmental Earth Sciences↗

Groundwater-quality data in 12 GAMA study units: Results from the 2006–10 initial sampling period and the 2008–13 trend sampling period, California GAMA Priority Basin Project

The Priority Basin Project (PBP) of the Groundwater Ambient Monitoring and Assessment (GAMA) program was developed in response to the Groundwater Quality Monitoring Act of 2001 and is being conducted by the U.S. Geological Survey in cooperation with the California State Water Resources Control Board. From 2004 through 2012, the GAMA-PBP collected samples and assessed the quality of groundwater resources that supply public drinking water in 35 study units across the State. Selected sites in each study unit were sampled again approximately 3 years after initial sampling as part of an assessment of temporal trends in water quality by the GAMA-PBP. Twelve of the study units, initially sampled during 2006–11 (initial sampling period) and sampled a second time during 2008–13 (trend sampling period) to assess temporal trends, are the subject of this report. The initial sampling was designed to provide a spatially unbiased assessment of the quality of untreated groundwater used for public water supplies in the 12 study units. In these study units, 550 sampling sites were selected by using a spatially distributed, randomized, grid-based method to provide spatially unbiased representation of the areas assessed (grid sites, also called “status sites”). After the initial sampling period, 76 of the previously sampled status sites (approximately 10 percent in each study unit) were randomly selected for trend sampling (“trend sites”). The 12 study units sampled both during the initial sampling and during the trend sampling period were distributed among 6 hydrogeologic provinces: Coastal (Northern and Southern), Transverse Ranges and Selected Peninsular Ranges, Klamath, Modoc Plateau and Cascades, and Sierra Nevada Hydrogeologic Provinces. For the purposes of this trend report, the six hydrogeologic provinces were grouped into two hydrogeologic regions based on location: Coastal and Mountain. The groundwater samples were analyzed for a number of synthetic organic constituents (volatile organic compounds, pesticides, and pesticide degradates), constituents of special interest (perchlorate and 1,2,3-trichloropropane), and natural inorganic constituents (nutrients, major and minor ions, and trace elements). Isotopic tracers (tritium, carbon-14, and stable isotopes of hydrogen and oxygen in water) also were measured to help identify processes affecting groundwater quality and the sources and ages of the sampled groundwater. More than 200 constituents and water-quality indicators were measured during the trend sampling period. Quality-control samples (blanks, replicates, matrix-spikes, and surrogate compounds) were collected at about one-third of the trend sites, and the results for these samples were used to evaluate the quality of the data for the groundwater samples. On the basis of detections in laboratory and field blank samples collected by GAMA-PBP study units, including the 12 study units presented here, reporting levels for some groundwater results were adjusted in this report. Differences between replicate samples were mostly within acceptable ranges, indicating low variability in analytical results. Matrix-spike recoveries were largely within the acceptable range (70 to 130 percent). This study did not attempt to evaluate the quality of water delivered to consumers. After withdrawal, groundwater used for drinking water typically is treated, disinfected, and blended with other waters to achieve acceptable water quality. The comparison benchmarks used in this report apply to treated water that is served to the consumer, not to untreated groundwater. To provide some context for the results, however, concentrations of constituents measured in these groundwater samples were compared with benchmarks established by the U.S. Environmental Protection Agency and the State of California. Comparisons between data collected for this study and benchmarks for drinking water are for illustrative purposes only and are not indicative of compliance or non-compliance with those benchmarks. Most organic constituents that were detected in groundwater samples from the trend sites were found at concentrations less than health-based benchmarks. One volatile organic compound—perchloroethene—was detected at a concentration greater than the health-based benchmark in samples from one trend site during the initial and trend sampling periods. Chloroform was detected in at least 10 percent of the samples at trend sites in both sampling periods. Methyl tert -butyl ether was detected in samples from more than 10 percent of the trend sites during the initial sampling period. No pesticide or pesticide degradate was detected in greater than 10 percent of the samples from trend sites or at concentrations greater than their health-based benchmarks during either sampling period. Nutrients were not detected at concentrations greater than their health-based benchmarks during either sampling period. Most detections of major ions and trace elements in samples from trend sites were less than health-based benchmarks during both sampling periods. Arsenic and boron each were detected at concentrations greater than the health-based benchmark in samples from four trend sites during the initial and trend sampling periods. Molybdenum was detected in samples from four trend sites at concentrations greater than the health-based benchmark during both sampling periods. Samples from two of these trend sites had similar molybdenum concentrations, and two had substantially different concentrations during the initial and trend sampling periods. Uranium was detected at a concentration greater than the health-based benchmark only at two trend sites.

California↗

The role of native birds and other wildlife on the emergence of zoonotic diseases

Wildlife can be an important source of transmission of infectious disease to humans. One potential transmission route involves hunting and fishing, both common activities in the United States and worldwide. For example, during 1996, approximately 11 million Americans, about 40 percent of the total population 16 years of age and older, took part in some recreational activity relating to wildlife and fish. Another potential route of infection focuses on urban and suburban environments. These locations are of special concern because of their increasing role as wildlife habitat, the greater interface between humans and wildlife that takes place within those environments, the paucity of knowledge about disease in those wildlife populations, and the general lack of orderly management for wildlife within those environments. In the wild, several trends are contributing to the growing importance of zoonotic diseases. First, the spectrum of infectious diseases affecting wildlife today is greater than at any time during the previous century. Second, the occurrence of infectious diseases has changed, from sporadic, self-limiting outbreaks that generally resulted in minor losses to frequently occurring events that generally result in major losses of wildlife. Third, disease emergence has occurred on a worldwide scale in a broad spectrum of wildlife species and habitats. Given the scope of the problem, current disease surveillance efforts are inadequate. Few state wildlife agencies allocate personnel and resources to address wildlife disease, despite their statutory responsibility for managing nonmigratory wildlife. Some state agencies provide minimal support for regional programs based at universities. At the federal level, the primary surveillance effort is conducted by the National Wildlife Health Center, operated by the U.S. Geological Survey. Outside of government, some veterinary schools, agriculture diagnostic laboratories, and other programs provide additional information on animal diseases, primarily by examining carcasses of dead wildlife submitted for analysis, and individual university-based researchers carry out a variety of studies. Typically, information about the occurrence of disease in free-ranging wildlife is derived from surveys and mortality events in areas where wildlife observations by agencies and the public are frequent enough to detect their occurrence before carcasses are removed by scavengers and predatory animals. The result is that disease occurrence is grossly underreported, heavily biased toward mortality events, and biased toward species of special concern and interest, such as game and endangered species. Therefore, the available information should be viewed as the “proverbial tip of the iceberg” relative to disease activity within wildlife populations.

National Academy of Science.↗

Planetary Aeolian landforms: An introduction to the Fifth Planetary Dunes Workshop Special Issue

Aeolian landforms are widespread in our solar system. Understanding the exact nature and processes of formation of these features are challenging tasks necessitating a strong collaboration between scientists with different skills and scientific backgrounds. This paper describes the special issue for the 5 th International Planetary Dunes Workshop, which includes 15 research papers and three commentaries. Among the 18 papers included in this collection, 16 cover Martian aeolian science and two Titan aeolian science. The papers presented focus on bedform morphology and dynamics via remote sensing data, modelling, analogues studies and laboratory experiments. Here we put the main results of the papers in their appropriate scientific context and discuss potential future lines of research.

JGR Planets↗