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At least 613 records · Page 34Linked to original sources

Diet of the Antillean manatee (Trichechus manatus manatus) in Belize, Central America

Belize contains important habitat for Antillean manatees (Trichechus manatus manatus) and provides refuge for the highest known population density of this subspecies. As these animals face impending threats, knowledge of their dietary habits can be used to interpret resource utilization. The contents of 13 mouth, 6 digestive tract (stomach, duodenum and colon), and 124 fecal samples were microscopically examined using a modified point technique detection protocol to identify key plant species consumed by manatees at two important aggregation sites in Belize: Southern Lagoon and the Drowned Cayes. Overall, 15 different items were identified in samples from manatees in Belize. Five species of seagrasses (Halodule wrightii, Thalassia testudinum, Ruppia maritima, Syringodium filiforme, and Halophila sp.) made up the highest percentage of items. The red mangrove (Rhizophora mangle), was also identified as an important food item. Algae (Ulva sp., Chara sp., Lyngbya sp.) and invertebrates (sponges and diatoms) were also consumed. Variation in the percentage of seagrasses, other vascular plants, and algae consumption was analyzed as a 4-factor analysis of variance (ANOVA) with main effects and interactions for locality, sex, size classification, and season. While sex and season did not influence diet composition, differences for locality and size classification were observed. These results suggest that analysis of diet composition of Antillean manatees may help to determine critical habitat and use of associated food resources which, in turn can be used to aid conservation efforts in Belize.

Journal of the Marine Biological Association of th

Ecology and biology of paddlefish in North America: historical perspectives, management approaches, and research priorities

Paddlefish ( Polyodon spathula , Polyodontidae)are large, mostly-riverine fish that once were abundant in medium- to large-sized river systems throughout much of the central United States. Concern for paddlefish populations has grown from a regional fisheries issue to one of national importance for the United States. In 1989, the U.S. Fish and Wildlife Service (USFWS) was petitioned to list paddlefish as a federally threatened species under the Endangered Species Act. The petition was not granted, primarily because of a lack of empirical data on paddlefish population size, age structure, growth, or harvest rates across the present 22-state range. Nonetheless, concern for paddlefish populations prompted the USFWS to recommend that paddlefish be protected through the Convention on International Trade in Endangered Species of Wild Fauna and Flora (CITES). The addition of paddlefish to Appendix II of CITES, which was approved in March 1992, provides a mechanism to curtail illegal trade in paddlefish and their parts and supports a variety of conservation plans. Paddlefish populations have been negatively affected by overharvest, river modifications, and pollution, but the paddlefish still occupies much of its historic range and most extant populations seem to be stable. Although many facets of paddlefish biology and ecology are well understood, the lack of information on larval and juvenile ecology, mechanisms that determine recruitment, population size and vital rates, interjurisdictional movements, and the effects of anthropogenic activities present significant obstacles for managing paddlefish populations. Questions about the size and structure of local populations, and how such populations are affected by navigation traffic, dams, and pollution are regarded as medium priority areas for future research. The availability of suitable spawning habitat and overall reproductive success in impounded rivers are unknown and represent critical areas for future research. Research on reproductive and recruitment success in impounded rivers have significant implications for managing paddlefish, as rivers are modified further for human use.

Reviews in Fish Biology and Fisheries

Alien invasions in aquatic ecosystems: Toward an understanding of brook trout invasions and potential impacts on inland cutthroat trout in western North America

Experience from case studies of biological invasions in aquatic ecosystems has motivated a set of proposed empirical “rules” for understanding patterns of invasion and impacts on native species. Further evidence is needed to better understand these patterns, and perhaps contribute to a useful predictive theory of invasions. We reviewed the case of brook trout ( Salvelinus fontinalis )invasions in the western United States and their impacts on native cutthroat trout ( Oncorhynchus clarki ). Unlike many biological invasions, a considerable body of empirical research on brook trout and cutthroat trout is available. We reviewed life histories of each species, brook trout invasions, their impacts on cutthroat trout, and patterns and causes of segregation between brook trout and cutthroat trout. We considered four stages of the invasion process: transport, establishment, spread, and impacts to native species. Most of the research we found focused on impacts. Interspecific interactions, especially competition, were commonly investigated and cited as impacts of brook trout. In many cases it is not clear if brook trout invasions have a measurable impact. Studies of species distributions in the field and a variety of experiments suggest invasion success of brook trout is associated with environmental factors, including temperature, landscape structure, habitat size, stream flow, and human influences. Research on earlier stages of brook trout invasions (transport, establishment, and spread) is relatively limited, but has provided promising insights. Management alternatives for controlling brook trout invasions are limited, and actions to control brook trout focus on direct removal, which is variably successful and can have adverse effects on native species. The management applicability of research has been confounded by the complexity of the problem and by a focus on understanding processes at smaller scales, but not on predicting patterns at larger scales. In the short-term, an improved predictive understanding of brook trout invasions could prove to be most useful, even if processes are incompletely understood. A stronger connection between research and management is needed to identify more effective alternatives for controlling brook trout invasions and for identifying management priorities.

western United States

Geochronology of the proterozoic basement of southwesternmost North America, and the origin and evolution of the Mojave crustal province

The Proterozoic Baldwin gneiss in the central Transverse Ranges of southern California, a part of the Mojave crustal province, is composed of quartzofeldspathic gneiss and schist, augen and granitic gneiss, trondhjemite gneiss, and minor quartzite, amphibolite, metagabbro, and metapyroxenite. Sensitive high resolution ion microprobe (SHRIMP) data indicate that augen and granitic gneisses comprise a magmatic arc intrusive suite emplaced between 1783 ± 12 and 1675 ± 19 Ma, adjacent to or through thinned Archean crust. High U/Th rims on zircons in most samples suggest an early metamorphic event at ∼1741 Ma, but peak amphibolite facies metamorphism and penetrative, west vergent deformation occurred after 1675 Ma. The Baldwin gneiss is part of a regional allochthon emplaced by west vergent deformation over a Proterozoic shelf-slope sequence (Joshua Tree terrane). We hypothesize that emplacement of this regional allochthon occurred during a late Early or Middle Proterozoic arc-continent collision along the western margin of Laurentia.

Tectonics

Deformation across the Pacific-North America plate boundary near San Francisco, California

We have detected a narrow zone of compression between the Coast Ranges and the Great Valley, and we have estimated slip rates for the San Andreas, Rodgers Creek, and Green Valley faults just north of San Francisco. These results are based on an analysis of campaign and continuous Global Positioning System (GPS) data collected between 1992 and 2000 in central California. The zone of compression between the Coast Ranges and the Great Valley is 25 km wide. The observations clearly show 3.8±1.5 mm yr −1 of shortening over this narrow zone. The strike slip components are best fit by a model with 20.8±1.9 mm yr −1 slip on the San Andreas fault, 10.3±2.6 mm yr −1 on the Rodgers Creek fault, and 8.1±2.1 mm yr −1 on the Green Valley fault. The Pacific-Sierra Nevada-Great Valley motion totals 39.2±3.8 mm yr −1 across a zone that is 120 km wide (at the latitude of San Francisco). Standard deviations are one σ. The geodetic results suggest a higher than geologic rate for the Green Valley fault. The geodetic results also suggest an inconsistency between geologic estimates of the San Andreas rate and seismologic estimates of the depth of locking on the San Andreas fault. The only convergence observed is in the narrow zone along the border between the Great Valley and the Coast Ranges.

California

The mighty Susquehanna—extreme floods in Eastern North America during the past two millennia

The hazards posed by infrequent major floods to communities along the Susquehanna River and the ecological health of Chesapeake Bay remain largely unconstrained due to the short length of streamgage records. Here we develop a history of high‐flow events on the Susquehanna River during the late Holocene from flood deposits contained in MD99‐2209, a sediment core recovered in 26 m of water from Chesapeake Bay near Annapolis, Maryland, United States. We identify coarse‐grained deposits left by Hurricane Agnes (1972) and the Great Flood of 1936, as well as during three intervals that predate instrumental flood records (~1800–1500, 1300–1100, and 400–0 CE). Comparison to sedimentary proxy data (pollen and ostracode Mg/Ca ratios) from the same core site indicates that prehistoric flooding on the Susquehanna often accompanied cooler‐than‐usual winter/spring temperatures near Chesapeake Bay—typical of negative phases of the North Atlantic Oscillation and conditions thought to foster hurricane landfalls along the East Coast.

Massachusetts

Holocene depositional history inferred from single-grain luminescence ages in southern California, North America

Significant sediment flux and deposition in a sedimentary system are influenced by climate changes, tectonics, lithology, and the sedimentary system's internal dynamics. Identifying the timing of depositional periods from stratigraphic records is a first step to critically evaluate the controls of sediment flux and deposition. Here, we show that ages of single-grain K-feldspar luminescence subpopulations may provide information on the timing of previous major depositional periods. We analyzed 754 K-feldspar single-grains from 17 samples from the surface to ∼9 m-depth in a trench located downstream of the Mission Creek catchment. Single-grain luminescence subpopulation ages significantly overlap at least eight times since ∼12.0 ka indicating a common depositional history. These depositional periods correspond reasonably well with the Holocene intervals of wetter than average climate conditions based on hydroclimatic proxies from nearby locations. Our findings imply a first-order climatic control on sediment depositional history in southern California on a millennial timescale.

California

Linking dissolved organic matter composition to landscape properties in wetlands across the United States of America

Wetlands are integral to the global carbon cycle, serving as both a source and a sink for organic carbon. Their potential for carbon storage will likely change in the coming decades in response to higher temperatures and variable precipitation patterns. We characterized the dissolved organic carbon (DOC) and dissolved organic matter (DOM) composition from 12 different wetland sites across the USA spanning gradients in climate, landcover, sampling depth, and hydroperiod for comparison to DOM in other inland waters. Using absorption spectroscopy, parallel factor analysis modeling, and ultra-high resolution mass spectroscopy, we identified differences in DOM sourcing and processing by geographic site. Wetland DOM composition was driven primarily by differences in landcover where forested sites contained greater aromatic and oxygenated DOM content compared to grassland/herbaceous sites which were more aliphatic and enriched in N and S molecular formulae. Furthermore, surface and porewater DOM was also influenced by properties such as soil type, organic matter content, and precipitation. Surface water DOM was relatively enriched in oxygenated higher molecular weight formulae representing HUP High O/C compounds than porewaters, whose DOM composition suggests abiotic sulfurization from dissolved inorganic sulfide. Finally, we identified a group of persistent molecular formulae (3,489) present across all sites and sampling depths (i.e., the signature of wetland DOM) that are likely important for riverine-to-coastal DOM transport. As anthropogenic disturbances continue to impact temperate wetlands, this study highlights drivers of DOM composition fundamental for understanding how wetland organic carbon will change, and thus its role in biogeochemical cycling.

Global Biogeochemical Cycles

Constraining the permeability and outer-rise hydration at the Central America margin

Subduction zones are important drivers of Earth's geochemical evolution; the presence of water within the subduction system has substantial implications for geohazards, including the style of seismicity and the volume of magma generated at arc volcanoes. We utilize estimates of pore fluid distributions in the outer-rise region of the Central American margin imaged using controlled-source electro-magnetic surveys and novel two-dimensional forward models simulating poro-elastic deformation of slab bending to constrain the background permeability structure of the Cocos Plate and within outer-rise fault damage zones. The model results suggest that a relatively low background permeability structure is required to match the observed porosity at depths greater than 3 km (less than ~10 −21 m 2 . Similarly, increasing the permeability within the damage zones of outer-rise faults by more than a factor of 10 also over-predicts observed porosity distributions at depths greater than 3 km. However, the simulations consistently underpredict pore fluid distributions between depths of 1–3 km, which may reflect nonlinear elastic or anelastic deformation processes not included in the simulations or inherent uncertainty in the conversion of resistivity measurements to porosity distributions. The best-fitting depth-permeability relationship is relatively low, which has important implications for the timing of pore fluid release down-dip of the trench, as it restricts shallow fluid release, likely leading to higher pore fluid pressures, more widespread hydraulic fracturing, and deeper release of pore fluid along the plate interface.

Journal of Geophysical Research, Solid Earth

Identifying coseismic subsidence in tidal-wetland stratigraphic sequences at the Cascadia subduction zone of western North America

Tidal-wetland stratigraphy reveals that great plate boundary earthquakes have caused hundreds of kilometers of coast to subside at the Cascadia subduction zone. However, determining earthquake recurrence intervals and mapping the coastal extent of past great earthquake ruptures in this region are complicated by the effects of many sedimentologic, hydrographic, and oceanographic processes that occur on the coasts of tectonically passive as well as active continental margins. Tidal-wetland stratigraphy at many Cascadia estuaries differs little from that at similar sites on passive-margin coasts where stratigraphic sequences form through nonseismic processes unrelated to coseismic land level changes. Methods developed through study of similar stratigraphic sequences in Europe provide a framework for investigating the Cascadia estuarine record. Five kinds of criteria must be evaluated when inferring regional coastal subsidence due to great plate boundary earthquakes: the suddenness and amount of submergence, the lateral extent of submerged tidal-wetland soils, the coincidence of submergence with tsunami deposits, and the degree of synchroneity of submergence events at widely spaced sites. Evaluation of such criteria at the Cascadia subduction zone indicates regional coastal subsidence during at least two great earthquakes. Evidence for a coseismic origin remains equivocal, however, for the many peat-mud contacts in Cascadia stratigraphic sequences that lack (1) contrasts in lithology or fossils indicative of more than half a meter of submergence, (2) well-studied tsunami deposits, or (3) precise ages needed for regional correlation. Paleoecologic studies of fossil assemblages are particularly important in estimating the size of sudden sea level changes recorded by abrupt peat-mud contacts and in helping to distinguish erosional and gradually formed contacts from coseismic contacts. Reconstruction of a history of great earthquakes for the Cascadia subduction zone will require rigorous application of the above criteria and many detailed investigations.

Journal of Geophysical Research B: Solid Earth

Antiquity of man in America indicated by radiometric dates on the Yuha burial site

MUCH evidence suggests that man was present in the Western Hemisphere before 12,000 yr ago, but the case has remained less than conclusive 1 . In some situations, the geological age of the site is reasonably well established but the association or nature of the artefacts is questionable 2,3 . In other cases, museum specimens of human bones dated by radiocarbon analysis of collagen lack desirable information concerning site location, geology, and stratigraphy even though the accuracy of their absolute ages seems valid 4–6 . We report here the results of radiometric dates of the Yuha burial site from Imperial County, California, for which the geology and stratigraphy have been documented and reported in detail.

Nature

Extremely acid Permian lakes and ground waters in North America

Evaporites hosted by red beds (red shales and sandstones), some 275-265 million years old, extend over a large area of the North American mid- continent. They were deposited in non-marine saline lakes, pans and mud- flats, settings that are typically assumed to have been alkaline. Here we use laser Raman microprobe analyses of fluid inclusions trapped in halites from these Permian deposits to argue for the existence of highly acidic (pH < 1) lakes and ground waters. These extremely acidic systems may have extended over an area of 200,000 km2. Modern analogues of such systems may be natural acid lake and groundwater systems (pH ~2-4) in southern Australia. Both the ancient and modern acid systems are characterized by closed drainage, arid climate, low acid-neutralizing capacity, and the oxidation of minerals such as pyrite to generate acidity. The discovery of widespread ancient acid lake and groundwater systems demands a re-evaluation of reconstructions of surface conditions of the past, and further investigations of the geochemistry and ecology of acid systems in general.

Nature

Hotspot of accelerated sea-level rise on the Atlantic coast of North America

Climate warming does not force sea-level rise (SLR) at the same rate everywhere. Rather, there are spatial variations of SLR superimposed on a global average rise. These variations are forced by dynamic processes, arising from circulation and variations in temperature and/or salinity, and by static equilibrium processes, arising from mass redistributions changing gravity and the Earth's rotation and shape. These sea-level variations form unique spatial patterns, yet there are very few observations verifying predicted patterns or fingerprints. Here, we present evidence of recently accelerated SLR in a unique 1,000-km-long hotspot on the highly populated North American Atlantic coast north of Cape Hatteras and show that it is consistent with a modelled fingerprint of dynamic SLR. Between 1950&ndash;1979 and 1980&ndash;2009, SLR rate increases in this northeast hotspot were ~ 3&ndash;4 times higher than the global average. Modelled dynamic plus steric SLR by 2100 at New York City ranges with Intergovernmental Panel on Climate Change scenario from 36 to 51 cm (ref. 3); lower emission scenarios project 24&ndash;36 cm (ref. 7). Extrapolations from data herein range from 20 to 29 cm. SLR superimposed on storm surge, wave run-up and set-up will increase the vulnerability of coastal cities to flooding, and beaches and wetlands to deterioration.

Atlantic Coast, Cape Cod, Cape Hatteras, North Ame

Cross-species transmission potential between wild pigs, livestock, poultry, wildlife, and humans: Implications for disease risk management in North America

Cross-species disease transmission between wildlife, domestic animals and humans is an increasing threat to public and veterinary health. Wild pigs are increasingly a potential veterinary and public health threat. Here we investigate 84 pathogens and the host species most at risk for transmission with wild pigs using a network approach. We assess the risk to agricultural and human health by evaluating the status of these pathogens and the co-occurrence of wild pigs, agriculture and humans. We identified 34 (87%) OIE listed swine pathogens that cause clinical disease in livestock, poultry, wildlife, and humans. On average 73% of bacterial, 39% of viral, and 63% of parasitic pathogens caused clinical disease in other species. Non-porcine livestock in the family Bovidae shared the most pathogens with swine (82%). Only 49% of currently listed OIE domestic swine diseases had published wild pig surveillance studies. The co-occurrence of wild pigs and farms increased annually at a rate of 1.2% with as much as 57% of all farms and 77% of all agricultural animals co-occurring with wild pigs. The increasing co-occurrence of wild pigs with livestock and humans along with the large number of pathogens shared is a growing risk for cross-species transmission.

Scientific Reports

Patterns and processes of pathogen exposure in gray wolves across North America

The presence of many pathogens varies in a predictable manner with latitude, with infections decreasing from the equator towards the poles. We investigated the geographic trends of pathogens infecting a widely distributed carnivore: the gray wolf ( Canis lupus ). Specifically, we investigated which variables best explain and predict geographic trends in seroprevalence across North American wolf populations and the implications of the underlying mechanisms. We compiled a large serological dataset of nearly 2000 wolves from 17 study areas, spanning 80° longitude and 50° latitude. Generalized linear mixed models were constructed to predict the probability of seropositivity of four important pathogens: canine adenovirus, herpesvirus, parvovirus, and distemper virus—and two parasites: Neospora caninum and Toxoplasma gondii . Canine adenovirus and herpesvirus were the most widely distributed pathogens, whereas N. caninum was relatively uncommon. Canine parvovirus and distemper had high annual variation, with western populations experiencing more frequent outbreaks than eastern populations. Seroprevalence of all infections increased as wolves aged, and denser wolf populations had a greater risk of exposure. Probability of exposure was positively correlated with human density, suggesting that dogs and synanthropic animals may be important pathogen reservoirs. Pathogen exposure did not appear to follow a latitudinal gradient, with the exception of N. caninum . Instead, clustered study areas were more similar: wolves from the Great Lakes region had lower odds of exposure to the viruses, but higher odds of exposure to N. caninum and T. gondii ; the opposite was true for wolves from the central Rocky Mountains. Overall, mechanistic predictors were more informative of seroprevalence trends than latitude and longitude. Individual host characteristics as well as inherent features of ecosystems determined pathogen exposure risk on a large scale. This work emphasizes the importance of biogeographic wildlife surveillance, and we expound upon avenues of future research of cross-species transmission, spillover, and spatial variation in pathogen infection.

Alaska, Alberta, Arizona, British Columbia, Michig

Factors influencing larval coregonine spatial distribution in Lake Geneva (Europe) and Lake Superior (North America) during a single season near known spawning sites

Survival rate of the larval stage is an important driver of fish recruitment. To understand mechanisms regulating larval survival it is important to understand the relative importance of abiotic and biotic factors that shape larval spatial distributions. We studied larval Coregonus distributions in surface waters (surface to 1 m) by repeatedly sampling study sites in two lakes that varied greatly in trophic state and regional climate. We evaluated the importance of bathymetric depth, Julian Day, edible zooplankton densities (EZ, ind. L −1 ) and wind vectors on larval spatial distributions using generalized additive modeling. In both systems, larval counts declined in a negative exponential fashion with bathymetric depth, indicating shallow depths are critical nursery habitat. The north-south wind vectors and Julian Day (which was positively correlated with surface temperature) influenced larval distributions in Lake Geneva with larval counts related to both variables linearly, whereas the east-west wind vector and EZ were unimportant. Highest larval counts were during an offshore south wind and declined slightly with Julian Day. In Lake Superior, bathymetric depth and the east-west wind vector influenced larval distributions and were unrelated to EZ, Julian Day, and the north-south wind vector. Larval counts were highest when onshore southwest winds preceded sampling. Differences in how wind affected larval distribution (offshore vs. onshore) might be related to larval size with Lake Superior larvae considerably smaller (average length 12.9 mm vs. 15.9 mm); thus, more apt to be subjected to advection. Within coastal waters, Julian Day and wind vectors influence distributions, but their importance seemingly varies lake-to-lake.

Minnesota

Measurement of flow under ice covers in North America

A substantial proportion of natural streams in the United States and Canada are affected by ice cover during the winter. To substantiate the currently used procedures for measuring streamflow during the winter, the U.S. Geological Survey (USGS) and Water Survey of Canada (WSC) began independent, coordinated programs for research and development related to the measurement of streamflow under an ice cover. Detailed measurements of vertical velocity profiles under ice covers in field settings were collected by each agency in accordance with standardized guidelines. The data were then compiled into a joint database. This paper presents a description of the two measurement programs, describes the structure and format of the joint database, and provides preliminary summaries of the data. Ongoing research efforts by the USGS and WSC are described briefly to give examples of the use of the joint database.

Journal of Hydraulic Engineering