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At least 595 records · Page 33Linked to original sources

Rupture branching structure of the 2014 Mw 6.0 South Napa, California earthquake inferred from explosion-generated fault-zone trapped waves

We present evidence for multiple fault branches of the West Napa fault zone (WNFZ) based on fault‐zone trapped waves (FZTWs) generated by two explosions that were detonated within the main surface rupture zone produced by the 24 August 2014 Mw 6.0 South Napa earthquake. The FZTWs were recorded by a 15‐kilometer‐long dense (100 m spacing) linear seismic array consisting of 155 4.5‐hertz three‐component seismometers that were deployed across the surface ruptures and adjacent faults in Napa Valley in the summer of 2016. The two explosions were located ∼3.5 km north and ∼5 km south of the 2016 recording array. Prominent FZTWs, with large amplitudes and long wavetrains following the P and S waves, are observed on the seismograms. We analyzed FZTW waveforms in both time and frequency domains to characterize the branching structure of subsurface rupture zones along the WNFZ. The 2014 surface rupture zone was ∼12 km in length along the main trace of the WNFZ, which appears to form an ∼400–600‐meter‐wide low‐velocity waveguide to depths in excess of 5–7 km. Seismic velocities within the main rupture are reduced by 40%–50% relative to the surrounding‐rock velocities. Within 1.5 km of the main trace of the WNFZ, there are at least two subordinate fault traces that formed 3‐ to 6‐kilometer‐long surface breaks during the 2014 mainshock. Our modeling suggests that these subordinate fault traces are also low‐velocity waveguides that connect with the main rupture at depths of ∼2–3 km⁠ , forming a flower structure. FZTWs were also recorded at seismic stations across the Carneros fault (CF), which is ∼1 km west of the WNFZ; this suggests that the CF connects with the WNFZ at shallow depths, even though the CF did not experience surface rupture during the 2014 Mw 6.0 mainshock. 3D finite‐difference simulations of recorded FZTWs imply a branching structure along multiple fault strands associated with the WNFZ.

California

Crustal structure of the southern Calaveras fault zone, central California, from seismic refraction investigations

A magnitude 5.7 earthquake on 6 August 1979, within the Calaveras fault zone, near Coyote Lake of west-central California, motivated a seismic-refraction investigation in this area. A northwest-southeast profile along the fault, as well as two fan profiles across the fault were recorded to examine the velocity structure of this region. The analysis of the data reveals a complicated upper crustal velocity structure with strong lateral variations in all directions. The near-surface layers consist of recent sediments with seismic P -wave velocities of 2.6 to 3.2 km/sec. These are underlain by rocks of the Great Valley Sequence which have an average velocity of 4.5 km/sec. The Great Valley Sequence is present along the whole profile; depths range from 4.3 to 4.8 km in the northwest near Anderson Lake and in the southeast of the profile line near Hollister. In the middle of the profile near Coyote Lake, however, this layer thins and we find a laterally limited higher velocity layer (5.1 km/sec) between depths of 2.8 to 4.8 km. The high-velocity zone, which coincides with a gravity high, also correlates spatially with the hypocentral area of the 6 August earthquake and its aftershocks and may therefore represent an asperity on the fault. Velocities within the fault zone were determined from the fan profiles. Near Anderson Lake, a pronounced delay of first arrivals on the fan records indicates a vertical 1- to 2-km-wide near-surface, low-velocity zone along the fault. Near Coyote Lake, the delays observed in the fan records correlate with two subsurface en-echelon fault planes which have been previously identified from lineations in the seismicity pattern. The structure of the lower crust is similar to the neighboring Diablo Range: a 8- to 9-km-thick upper crustal layer with a seismic velocity of 5.7 to 6.3 km/sec is underlain by a 3-km-thick layer with velocity 6.8 km/sec. In accordance with previous studies of the Diablo Range, there are indications of a pronounced lower crustal low-velocity zone between a depth of 17 and 23 km. The presence of this low-velocity zone suggests that higher velocity (igneous?) rocks of the middle crust have been thrust over sedimentary rocks.

California

Crustal structure of Oaxaca, Mexico, from seismic refraction measurements

Seismic refraction and gravity data have been analyzed to obtain a model of the compressional-wave velocity structure of the ocean-to-continent transition in the State of Oaxaca in southwestern Mexico. Crustal thickness on the continent at the latitude 18°N is 45 ± 4 km, based on reflected phases from the Moho discontinuity. The crust has been modeled with three layers, with velocities of 4.3 to 4.6, 5.0 to 5.7, and 6.85 to 7.0 km/sec, each with positive velocity gradient. The crust thins to 10 km at the coast near Pinotepa Nacional, where Precambrian metamorphic rocks are exposed 45 km from the mid-America trench. Offshore, the oceanic structure consists of an 8-km-thick crust with a normal crustal velocity structure (Spudich and Orcutt, 1980). The apparent dip of the subducting plate beneath western Mexico is 10°. On the oceanic side, strong reflections suggest a minimum depth of 35 km for the lithosphere-asthenosphere boundary. The asthenosphere has a seismic velocity of 7.6 km/sec, and a thin lid in which the velocity is 8.6 km/sec.

Oaxaca

Structure of the Blytheville arch in the New Madrid seismic zone

Seismic-reflection profiles across part of the New Madrid seismic zone in northeastern Arkansas and southeastern Missouri show a faulted and structurally complex zone, originally known as Charlie’s ridge but herein renamed Blytheville arch, which is about 10 to 15 km wide and about 110 km long. Several exploratory drill holes in the arch penetrate Upper and possibly Middle Cambrian formations directly below Cretaceous rocks, whereas drill holes off the arch penetrate the Cambrian and Ordovician Knox and Arbuckle Groups equivalents and possibly younger Paleozoic rocks below the Cretaceous; therefore, the pre-Cretaceous rocks in the arch are structurally high. Most earthquakes in the northeast-trending segment of the New Madrid seismic zone along the axis of the Reelfoot rift occur along the arch. Focal mechanisms of earthquakes in the trend show right-lateral, strike-slip movement. Epicenters in the northeastern part of the seismic trend between Caruthersville, MO, and Blytheville, AR, are spatially less dispersed than those to the southwest between Blytheville and Marked Tree, AR. Most of the hypocenters to the northeast cluster between 6 to 12 km deep, whereas those to the southwest range from near the surface to about 15 km deep. Earthquakes in the northeast part of the seismic trend are concentrated along a fault zone under the arch, whereas those to the southwest are more dispersed under the arch. A seismic trend that extends south-southwest from near Charleston, MO, projects to the northwest side of the ridge near Blytheville, where the seismicity changes character and the southeast boundary of the arch trends more easterly. The relationship between the structural boundaries of the arch and the seismicity may establish the extent of part of New Madrid seismicity and improve the basis for seismic hazard assessment.

Arkansas, Kentucky, Missouri, Tennessee

Proterozoic structure, Cambrian rifting, and younger faulting as revealed by a regional seismic reflection network in the southern Illinois Basin

Four high-quality seismic reflection profiles through the southern Illinois Basin, totaling 245 km in length, provide an excellent regional subsurface stratigraphic and structural framework for evaluation of seismic risk, hydrocarbon occurrence, and other regional geologic studies. These data provide extensive subsurface information on the geometry of the intersection of the Cambrian Reelfoot and Rough Creek rifts, on extensive Proterozoic reflection sequences, and on structures (including the Fluorspar Area Fault Complex and Hicks Dome) that underlie a transitional area between the well-defined New Madrid seismic zone (to the southwest) and a more diffuse area of seismicity in the southern Illinois Basin. Our principal interpretations from these data are listed here in order of geologic age, from oldest to youngest: Prominent Proterozoic layering, possibly equivalent to Proterozoic (∼1 Ga) Middle Run Formation clastic strata and underlying (1.3–1.5 Ga) volcanic rocks of the East Continent rift basin, has been strongly deformed, probably as part of the Grenville foreland fold and thrust belt. A well-defined angular unconformity is seen in many places between Proterozoic and Cambrian strata; a post-Grenville Proterozoic sequence is also apparent locally, directly beneath the base of the Cambrian. We infer a major reversal in Cambrian rift polarity (accommodation zone) in the Rough Creek Graben in western Kentucky. Seismic facies analysis suggests the presence of basin-floor fan complexes at and near the base of the Cambrian interval and within parts of a Proterozoic post-Grenville sequence in several parts of the Rough Creek Graben. There is an abrupt pinchout of the Mount Simon Sandstone against crystalline basement beneath the Dale Dome (near the Texaco no. 1 Cuppy well, Hamilton County) in southeastern Illinois, and a more gradual Mount Simon pinchout to the southeast. Where crossed by the seismic reflection line in southeast Illinois, some faults in the Wabash Valley Fault System produce discrete offset in Ordovician and younger strata only; one of the Wabash Valley faults cuts the top of the Precambrian on this seismic profile. The data show clear evidence of late Paleozoic reverse faulting along both boundaries of the Rough Creek Graben in western Kentucky, although significant unreactivated Cambrian rift-bounding faults are also preserved. Chaotic reflection patterns in the lower and middle Paleozoic strata near Hicks Dome, southern Illinois, are related to a combination of intrusive brecciation, intense faulting, and alteration of carbonate strata by acidic mineralizing fluids, all of which occurred in the Permian. Late Paleozoic(?) reverse faulting is interpreted on one flank of the Rock Creek Graben, southern Illinois. Permian and Mesozoic(?) extensional faulting is clearly imaged in the Fluorspar Area Fault Complex; neotectonic studies suggest that these structures were reactivated in the Quaternary.

Illinois, Indiana, Kentucky, Missouri

Population inertia and its sensitivity to changes in vital rates and population structure

Because the (st)age structure of a population may rarely be stable, studies of transient population dynamics and population momentum are becoming ever more popular. Yet, studies of "population momentum" are restricted in the sense that they describe the inertia of population size resulting from a demographic transition to the stationary population growth rate. Although rarely mentioned, inertia in population size is a general phenomenon and can be produced by any demographic transition or perturbation. Because population size is of central importance in demography, conservation, and management, formulas relating the sensitivity of population inertia to changes in underlying vital rates and population structure could provide much-needed insight into the dynamics of populations with unstable (st)age structure. Here, we derive such formulas, which are readily computable, and provide examples of their potential use in studies of life history and applied arenas of population study. ?? 2007 by the Ecological Society of America.

Ecology

Structured decision making as a conceptual framework to identify thresholds for conservation and management

Thresholds and their relevance to conservation have become a major topic of discussion in the ecological literature. Unfortunately, in many cases the lack of a clear conceptual framework for thinking about thresholds may have led to confusion in attempts to apply the concept of thresholds to conservation decisions. Here, we advocate a framework for thinking about thresholds in terms of a structured decision making process. The purpose of this framework is to promote a logical and transparent process for making informed decisions for conservation. Specification of such a framework leads naturally to consideration of definitions and roles of different kinds of thresholds in the process. We distinguish among three categories of thresholds. Ecological thresholds are values of system state variables at which small changes bring about substantial changes in system dynamics. Utility thresholds are components of management objectives (determined by human values) and are values of state or performance variables at which small changes yield substantial changes in the value of the management outcome. Decision thresholds are values of system state variables at which small changes prompt changes in management actions in order to reach specified management objectives. The approach that we present focuses directly on the objectives of management, with an aim to providing decisions that are optimal with respect to those objectives. This approach clearly distinguishes the components of the decision process that are inherently subjective (management objectives, potential management actions) from those that are more objective (system models, estimates of system state). Optimization based on these components then leads to decision matrices specifying optimal actions to be taken at various values of system state variables. Values of state variables separating different actions in such matrices are viewed as decision thresholds. Utility thresholds are included in the objectives component, and ecological thresholds may be embedded in models projecting consequences of management actions. Decision thresholds are determined by the above-listed components of a structured decision process. These components may themselves vary over time, inducing variation in the decision thresholds inherited from them. These dynamic decision thresholds can then be determined using adaptive management. We provide numerical examples (that are based on patch occupancy models) of structured decision processes that include all three kinds of thresholds. ?? 2009 by the Ecological Society of America.

Ecological Applications

Climate-induced changes in lake ecosystem structure inferred from coupled neo- and paleoecological approaches

Over the 20th century, surface water temperatures have increased in many lake ecosystems around the world, but long-term trends in the vertical thermal structure of lakes remain unclear, despite the strong control that thermal stratification exerts on the biological response of lakes to climate change. Here we used both neo- and paleoecological approaches to develop a fossil-based inference model for lake mixing depths and thereby refine understanding of lake thermal structure change. We focused on three common planktonic diatom taxa, the distributions of which previous research suggests might be affected by mixing depth. Comparative lake surveys and growth rate experiments revealed that these species respond to lake thermal structure when nitrogen is sufficient, with species optima ranging from shallower to deeper mixing depths. The diatom-based mixing depth model was applied to sedimentary diatom profiles extending back to 1750 AD in two lakes with moderate nitrate concentrations but differing climate settings. Thermal reconstructions were consistent with expected changes, with shallower mixing depths inferred for an alpine lake where treeline has advanced, and deeper mixing depths inferred for a boreal lake where wind strength has increased. The inference model developed here provides a new tool to expand and refine understanding of climate-induced changes in lake ecosystems.

Ecology

LiDAR: Providing structure

Since the days of MacArthur, three-dimensional (3-D) structural information on the environment has fundamentally transformed scientific understanding of ecological phenomena (MacArthur and MacArthur 1961). Early data on ecosystem structure were painstakingly laborious to collect. However, as reviewed and reported in recent volumes of Frontiers(eg Vierling et al. 2008; Asner et al.2011), advances in light detection and ranging (LiDAR) remote-sensing technology provide quantitative and repeatable measurements of 3-D ecosystem structure that enable novel ecological insights at scales ranging from the plot, to the landscape, to the globe. Indeed, annual publication of studies using LiDAR to interpret ecological phenomena increased 17-fold during the past decade, with over 180 new studies appearing in 2010 (ISI Web of Science search conducted on 23 Mar 2011: [{lidar AND ecol*} OR {lidar AND fores*} OR {lidar AND plant*}]).

Frontiers in Ecology and the Environment

Nearshore energy subsidies support Lake Michigan fishes and invertebrates following major changes in food web structure

Aquatic food webs that incorporate multiple energy channels (e.g. nearshore benthic or pelagic) with varying productivity and turnover rates convey stability to biological communities by providing multiple independent energy sources. Within the Lake Michigan food web, invasive dreissenid mussels have caused rapid changes to food web structure and potentially altered the channels through which consumers acquire energy. We used stable C and N isotopes to determine how Lake Michigan food web structure has changed in the past decade, coincident with the expansion of dreissenid mussels, decreased pelagic phytoplankton production and increased nearshore benthic algal production. Fish and invertebrate samples collected from sites around Lake Michigan were analyzed to determine taxa-specific 13C:12C (delta 13C) and 15N:14N (delta 15N) ratios. Sampling took place during two distinct periods, 2002-2003 and 2010-2012, that spanned the period of dreissenid expansion, and included nearshore, pelagic and profundal fish and invertebrate taxa. Magnitude and direction of the 13C shift indicated significantly greater reliance upon nearshore benthic energy sources among nearly all fish taxa as well as profundal invertebrates. Although the mechanisms underlying this 13C shift likely varied among species, possible causes include the transport of benthic algal production to offshore waters and an increased reliance on nearshore prey items. Delta 15N shifts were more variable and of smaller magnitude across taxa although declines in delta 15N among some pelagic fishes may indicate a shift to alternative prey resources. Lake Michigan fishes and invertebrates appear to have responded to dreissenid induced changes in nutrient and energy pathways by switching from pelagic to alternative nearshore energy subsidies. Although large shifts in energy allocation (i.e. pelagic to nearshore benthic) resulting from invasive species appear to have affected total production at upper trophic levels, changes in trophic structure and utilization of novel energy pathways may help to stabilize food webs following species invasions.

Lake Michigan

Modeling structured population dynamics using data from unmarked individuals

The study of population dynamics requires unbiased, precise estimates of abundance and vital rates that account for the demographic structure inherent in all wildlife and plant populations. Traditionally, these estimates have only been available through approaches that rely on intensive mark–recapture data. We extended recently developed N -mixture models to demonstrate how demographic parameters and abundance can be estimated for structured populations using only stage-structured count data. Our modeling framework can be used to make reliable inferences on abundance as well as recruitment, immigration, stage-specific survival, and detection rates during sampling. We present a range of simulations to illustrate the data requirements, including the number of years and locations necessary for accurate and precise parameter estimates. We apply our modeling framework to a population of northern dusky salamanders ( Desmognathus fuscus ) in the mid-Atlantic region (USA) and find that the population is unexpectedly declining. Our approach represents a valuable advance in the estimation of population dynamics using multistate data from unmarked individuals and should additionally be useful in the development of integrated models that combine data from intensive (e.g., mark–recapture) and extensive (e.g., counts) data sources.

Ecology

Guidelines for a graph-theoretic implementation of structural equation modeling

Structural equation modeling (SEM) is increasingly being chosen by researchers as a framework for gaining scientific insights from the quantitative analyses of data. New ideas and methods emerging from the study of causality, influences from the field of graphical modeling, and advances in statistics are expanding the rigor, capability, and even purpose of SEM. Guidelines for implementing the expanded capabilities of SEM are currently lacking. In this paper we describe new developments in SEM that we believe constitute a third-generation of the methodology. Most characteristic of this new approach is the generalization of the structural equation model as a causal graph. In this generalization, analyses are based on graph theoretic principles rather than analyses of matrices. Also, new devices such as metamodels and causal diagrams, as well as an increased emphasis on queries and probabilistic reasoning, are now included. Estimation under a graph theory framework permits the use of Bayesian or likelihood methods. The guidelines presented start from a declaration of the goals of the analysis. We then discuss how theory frames the modeling process, requirements for causal interpretation, model specification choices, selection of estimation method, model evaluation options, and use of queries, both to summarize retrospective results and for prospective analyses. The illustrative example presented involves monitoring data from wetlands on Mount Desert Island, home of Acadia National Park. Our presentation walks through the decision process involved in developing and evaluating models, as well as drawing inferences from the resulting prediction equations. In addition to evaluating hypotheses about the connections between human activities and biotic responses, we illustrate how the structural equation (SE) model can be queried to understand how interventions might take advantage of an environmental threshold to limit Typha invasions. The guidelines presented provide for an updated definition of the SEM process that subsumes the historical matrix approach under a graph-theory implementation. The implementation is also designed to permit complex specifications and to be compatible with various estimation methods. Finally, they are meant to foster the use of probabilistic reasoning in both retrospective and prospective considerations of the quantitative implications of the results.

Ecosphere

Structural control of ore bodies in the Jefferson City area, Tennessee

The zinc deposits of the Jefferson City area are confined to the lower half of the Kingsport formation of the Knox group of rocks. They are on the southeast flank of a northeast-trending anticline which is partially overridden from the southeast by the Bays Mt. thrust sheet. The beds show low dips. The area is transected by a series of high angle strike-slip faults having relatively small displacement and striking essentially parallel to the dominant northeast structure. Minor cross folds running transversely to the regional structure are numerous. Three sets of fractures trending N. 45-50 degrees W., N. 30-40 degrees E., and N. 60-70 degrees E. are well developed. The ore bodies are irregular but generally have a distinct elongation. The vertical extent may be limited to a single bed or may include several beds, depending upon local structural conditions. All ore bodies are confined to zones of pre-mineral deformation. The linear trends of the ore bodies show a remarkable parallelism to the axes of the cross folds. Ore occurs on any part of the flexures but maximum concentration is on the anticlinal crests and synclinal troughs: the ore attains greatest thickness on the anticlines. Fractures associated with the folding exhibit local ore control. Faults are poor sites for ore, but fracturing and drag folding accompanying faulting produce conditions favorable to ore deposition.

Tennessee

Structural equation model of total phosphorus loads in the Red River of the North Basin, USA and Canada

Attribution of the causes of trends in nutrient loading is often limited to correlation, qualitative reasoning, or references to the work of others. This paper represents efforts to improve causal attribution of water-quality changes. The Red River of the North basin provides a regional test case because of international interest in the reduction of total phosphorus loads and the availability of long-term total phosphorus data and ancillary geospatial data with the potential to explain changes in water quality over time. The objectives of the study are to investigate structural equation modeling methods for application to water-quality problems and to test causal hypotheses related to the drivers of total phosphorus loads over the period 1970 to 2012. Multiple working hypotheses that explain total phosphorus loads and methods for estimating missing ancillary data were developed, and water-quality related challenges to structural equation modeling (including skewed data and scaling issues) were addressed. The model indicates that increased precipitation in season 1 (November–February) or season 2 (March–June) would increase total phosphorus loads in the basin. The effect of agricultural practices on total phosphorus loads was significant, although the effect is about one-third of the effect of season 1 precipitation. The structural equation model representing loads at six sites in the basin shows that climate and agricultural practices explain almost 60% of the annual total phosphorus load in the Red River of the North basin. The modeling process and the unexplained variance highlight the need for better ancillary long-term data for causal assessments.

Red River of the North Basin

Structure of the New England herring gull population

Measurements of the rates of population increase, reproduction, and mortality together with an observed age ratio, were used to analyze the population of the Herring Gull in New England. Data from sporadic censuses prior to this study, aerial censuses by the authors, and National Audubon Society Christmas Bird Count indicated that the New England breeding population has been doubling every 12 to 15 years since the early 1900's. This increase has involved founding new colonies and expanding the breeding range There is evidence that 15 to 30% of the adults do not breed in any given year. Sixty—one productivity measurements on 43 islands from 1963 through 1966, involving almost 13,000 nests, showed that from 0.8 to 1.4 young/breeding pair/year is the usual range of rate of production. The age distribution in the population was determined by classifying Herring Gulls by plumage category on an aerial census of the coast from Tampico, Mexico, to Cape Sable, Nova Scotia. Of the 622,000 gulls observed, 68% were adults, 17% were second— and third—year birds, and 15% were first—year birds. Mortality rates derived from band recovery data were too high to be consistent with the observed rate of population growth, productivity, and age structure. Loss of bands increasing to the rate of about 20%/year 5 years after banding eliminates most of the discrepancy. The age structure and rate of population increase indicate a mortality rate of 4 to 9% for gulls 2 years old or older, compared with the 25 to 30% indicated by band recoveries. The population structure we have developed fits everything we have observed about Herring Gull population dynamics, except mortality based on band recoveries.

Ecology

Establishment, sex structure and breeding system of an exotic riparian willow, Salix X rubens

Several Eurasian tree willows ( Salix spp.) have become naturalized in riparian areas outside of their native range. Salix x rubens is a Eurasian willow that is conspicuous along streams in the high plains of Colorado. We examined establishment of seedlings and cuttings, the sex structure and the breeding system of S. x rubens . An experiment was conducted on establishment and growth of seedlings and cuttings under a range of hydrologic conditions. Seedlings became established under all conditions except when flooded, although many fewer seedlings became established where soil surface conditions were relatively dry. Cuttings became established under all experimental conditions, but most frequently where soil moisture was highest. The sex structure of S. x rubens was determined along several streams in the Colorado high plains. Of 2175 trees surveyed, >99% (2172) were female. Salix x rubens produce viable seed apparently as a result of hybridization with another Eurasian willow, S. alba var. vitellina . Salix x rubens often reproduces vegetatively, which, combined with low hybrid seedling survival in the field, may explain the unusual sex structure. Salix x rubens will likely continue to spread vegetatively in high plains riparian areas, and the potential for spread through hybridization could increase if males of compatible Salix spp. are planted near extant S. x rubens .

American Midland Naturalist

Multiple scales of patchiness and patch structure: a hierarchical framework for the study of heterogeneity

We develop a hierarchical model of heterogeneity that provides a framework for classifying patch structure across a range of scales. Patches at lower levels in the hierarchy are more simplistic and correspond to the traditional view of patches. At levels approaching the upper bounds of the hierarchy the internal structure becomes more heterogeneous and boundaries more ambiguous. At each level in the hierarchy, patch structure will be influenced by both contrast among patches as well as the degree of aggregation of patches at lower levels in the hierarchy. We apply this model to foraging theory, but it has wider applications as in the study of habitat selection, population dynamics, and habitat fragmentation. It may also be useful in expanding the realm of landscape ecology beyond the current focus on anthropocentric scales.

Oikos

An at-grade stabilization structure impact on runoff and suspended sediment

In recent years, agricultural runoff has received more attention as a major contributor to surface water pollution. This is especially true for the unglaciated area of Wisconsin, given this area's steep topography, which makes it highly susceptible to runoff and soil loss. We evaluated the ability of an at-grade stabilization structure (AGSS), designed as a conservation practice to reduce the amount of overland runoff and suspended sediment transported to the surface waters of an agricultural watershed. Eight years of storm and baseflow data collected by the US Geological Survey&ndash;Wisconsin Water Science Center on a farm in west central Wisconsin were analyzed for changes in precipitation, storm runoff volume, and suspended sediment concentration before and after installation of an AGSS. The agricultural research site was designed as a paired watershed study in which monitoring stations were installed on the perennial streams draining both control and treatment watersheds. Linear mixed effects model analyses were conducted to determine if any statistically significant changes occurred in the water quality parameters before and after the AGSS was installed. Results indicated no significant changes ( p = 0.51) in average event precipitation and runoff volumes before and after installation of the AGSS in either the treatment (NW) or control (SW) watersheds. However, the AGSS did significantly reduce the average suspended sediment concentration in the event runoff water ( p = 0.02) in the NW from 972 to 263 mg L &ndash;1 . In addition, particle size analyses, using light diffraction techniques, were conducted on soil samples taken from within the AGSS and adjacent valley and ridge top to determine if suspended sediments were being retained within the structure. Statistical analysis revealed a significantly ( p < 0.001) larger proportion of clay inside the AGSS (37%) than outside (30%). These results indicate that the AGSS was successful in reducing the amount of suspended sediment transported to nearby surface waters. The cost of an AGSS can range from US$3,500 to US$8,000, depending on size. Thus, these structures provide a cheap and effective means of improving water quality in highly erosive landscapes.

Wisconsin