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Design and maintenance of a network for collecting high-resolution suspended-sediment data at remote locations on rivers, with examples from the Colorado River

Management of sand and finer sediment in fluvial settings has become increasingly important for reasons ranging from endangered-species habitat to transport of sediment-associated contaminants. In all rivers, some fraction of the suspended load is transported as washload, and some as suspended bed material. Typically, the washload is composed of silt-and-clay-size sediment, and the suspended bed material is composed of sand-size sediment. In most rivers, as a result of changes in the upstream supply of silt and clay, large, systematic changes in the concentration of the washload occur over time, independent of changes in water discharge. Recent work has shown that large, systematic, discharge-independent changes in the concentration of the suspended bed material are also present in many rivers. In bedrock canyon rivers, such as the Colorado River in Grand Canyon National Park, changes in the upstream tributary supply of sand may cause large changes in the grain-size distribution of the bed sand, resulting in changes in both the concentration and grain-size distribution of the sand in suspension. Large discharge-independent changes in suspended-sand concentration coupled to discharge-independent changes in the grain-size distribution of the suspended sand are not unique to bedrock canyon rivers, but also occur in large alluvial rivers, such as the Mississippi River. These systematic changes in either suspended-silt-and-clay concentration or suspended-sand concentration may not be detectable by using conventional equal-discharge- or equal-width-increment measurements, which may be too infrequently collected relative to the time scale over which these changes in the sediment load are occurring. Furthermore, because large discharge-independent changes in both suspended-silt-and-clay and suspended-sand concentration are possible in many rivers, methods using water discharge as a proxy for suspended-sediment concentration (such as sediment rating curves) may not produce sufficiently accurate estimates of sediment loads. Finally, conventional suspended-sediment measurements are both labor and cost intensive and may not be possible at the resolution required to resolve discharge-independent changes in suspended-sediment concentration, especially in more remote locations. For these reasons, the U.S. Geological Survey has pursued the use of surrogate technologies (such as acoustic and laser diffraction) for providing higher-resolution measurements of suspended-sediment concentration and grain size than are possible by using conventional suspended-sediment measurements alone. These factors prompted the U.S. Geological Survey's Grand Canyon Monitoring and Research Center to design and construct a network to automatically measure suspended-sediment transport at 15-minute intervals by using acoustic and laser-diffraction surrogate technologies at remote locations along the Colorado River within Marble and Grand Canyons in Grand Canyon National Park. Because of the remoteness of the Colorado River in this reach, this network also included the design of a broadband satellite-telemetry system to communicate with the instruments deployed at each station in this network. Although the sediment-transport monitoring network described in this report was developed for the Colorado River in Grand Canyon National Park, the design of this network can easily be adapted for use on other rivers, no matter how remote. In the Colorado River case-study example described in this report, suspended-sediment concentration and grain size are measured at five remote stations. At each of these stations, surrogate measurements of suspended-sediment concentration and grain size are made at 15-minute intervals using an array of different single-frequency acoustic-Doppler side-looking profilers. Laser-diffraction instruments are also used at two of these stations to measure both suspended-sediment concentrations and grain-size distributions. Cross-section calibrations of these instruments have been constructed and verified by using either equal-discharge-increment (EDI) or equal-width-increment (EWI) measurements of the velocity-weighted suspended-sediment concentration and grain-size distribution. The suspended-silt-and-clay concentration parts of these calibration relations have also included information from EDI- or EWI-calibrated samples collected by automatic pump samplers. Three of the monitoring stations are equipped with two-way satellite broadband telemetry systems that operate once a day to remotely monitor and program the instruments and download data. Data from these stations are typically downloaded twice per month; data from stations without satellite-telemetry systems are downloaded during site visits, which occur every 2 months or semiannually, depending on the remoteness of the site. Upon downloading and processing, suspended-silt-and-clay concentration, suspended-sand concentration, and suspended-sand median grain size are posted on the World Wide Web. Satellite telemetry in combination with the high-resolution sediment surrogate measurements can generate near-real-time suspended-sediment-concentration and grain-size data (limited only by the time required to download the instruments and process the data). The approach for measuring suspended-sediment concentration and grain size using this monitoring network is more practical, and can be done at a much lower cost and with higher temporal resolution, than any other method.

Arizona;Nevada;Utah↗

An evaluation of borehole flowmeters used to measure horizontal ground-water flow in limestones of Indiana, Kentucky, and Tennessee, 1999

Three borehole flowmeters and hydrophysical logging were used to measure ground-water flow in carbonate bedrock at sites in southeastern Indiana and on the west-central border of Kentucky and Tennessee. The three flowmeters make point measurements of the direction and magnitude of horizontal flow, and hydrophysical logging measures the magnitude of horizontal flowover an interval. The directional flowmeters evaluated include a horizontal heat-pulse flowmeter, an acoustic Doppler velocimeter, and a colloidal borescope flowmeter. Each method was used to measure flow in selected zones where previous geophysical logging had indicated water-producing beds, bedding planes, or other permeable features that made conditions favorable for horizontal-flow measurements. Background geophysical logging indicated that ground-water production from the Indiana test wells was characterized by inflow from a single, 20-foot-thick limestone bed. The Kentucky/Tennessee test wells produced water from one or more bedding planes where geophysical logs indicated the bedding planes had been enlarged by dissolution. Two of the three test wells at the latter site contained measurable vertical flow between two or more bedding planes under ambient hydraulic head conditions. Field measurements and data analyses for each flow-measurement technique were completed by a developer of the technology or by a contractor with extensive experience in the application of that specific technology. Comparison of the horizontal-flow measurements indicated that the three point-measurement techniques rarely measured the same velocities and flow directions at the same measurement stations. Repeat measurements at selected depth stations also failed to consistently reproduce either flow direction, flow magnitude, or both. At a few test stations, two of the techniques provided similar flow magnitude or direction but usually not both. Some of this variability may be attributed to naturally occurring changes in hydraulic conditions during the 1-month study period in August and September 1999. The actual velocities and flow directions are unknown; therefore, it is uncertain which technique provided the most accurate measurements of horizontal flow in the boreholes and which measurements were most representative of flow in the aquifers. The horizontal heat-pulse flowmeter consistently yielded flow magnitudes considerably less than those provided by the acoustic Doppler velocimeter and colloidal borescope. The design of the horizontal heat-pulse flowmeter compensates for the local acceleration of ground-water velocity in the open borehole. The magnitude of the velocities estimated from the hydrophysical logging were comparable to those of the horizontal heat-pulse flowmeter, presumably because the hydrophysical logging also effectively compensates for the effect of the borehole on the flow field and averages velocity over a length of borehole rather than at a point. The acoustic Doppler velocimeter and colloidal borescope have discrete sampling points that allow for measuring preferential flow velocities that can be substantially higher than the average velocity through a length of borehole. The acoustic Doppler velocimeter and colloidal borescope also measure flow at the center of the borehole where the acceleration of the flow field should be greatest. Of the three techniques capable of measuring direction and magnitude of horizontal flow, only the acoustic Doppler velocimeter measured vertical flow. The acoustic Doppler velocimeter consistently measured downward velocity in all test wells. This apparent downward flow was attributed, in part, to particles falling through the water column as a result of mechanical disturbance during logging. Hydrophysical logging yielded estimates of vertical flow in the Kentucky/Tennessee test wells. In two of the test wells, the hydrophysical logging involved deliberate isolation of water-producing bedding planes with a packer to ensure that small horizontal flow could be quantified without the presence of vertical flow. The presence of vertical flow in the Kentucky/Tennessee test wells may preclude the definitive measurement of horizontal flow without the use of effective packer devices. None of the point-measurement techniques used a packer, but each technique used baffle devices to help suppress the vertical flow. The effectiveness of these baffle devices is not known; therefore, the effect of vertical flow on the measurements cannot be quantified. The general lack of agreement among the point-measurement techniques in this study highlights the difficulty of using measurements at a single depth point in a borehole to characterize the average horizontal flow in a heterogeneous aquifer. The effective measurement of horizontal flow may depend on the precise depth at which measurements are made, and the measurements at a given depth may vary over time as hydraulic head conditions change. The various measurements also demonstrate that the magnitude and possibly the direction of horizontal flow are affected by the presence of the open borehole. Although there is a lack of agreement among the measurement techniques, these results could mean that effective characterization of horizontal flow in heterogeneous aquifers might be possible if data from many depth stations and from repeat measurements can be averaged over an extended time period. Complications related to vertical flow in the borehole highlights the importance of using background logging methods like vertical flowmeters or hydrophysical logging to characterize the borehole environment before horizontal-flow measurements are attempted. If vertical flow is present, a packer device may be needed to acquire definitive measurements of horizontal flow. Because hydrophysical logging provides a complete depth profile of the borehole, a strength of this technique is in identifying horizontal- and vertical-flow zones in a well. Hydrophysical logging may be most applicable as a screening method. Horizontal- flow zones identified with the hydrophysical logging then could be evaluated with one of the point-measurement techniques for quantifying preferential flow zones and flow directions. Additional research is needed to determine how measurements of flow in boreholes relate to flow in bedrock aquifers. The flowmeters may need to be evaluated under controlled laboratory conditions to determine which of the methods accurately measure ground-water velocities and flow directions. Additional research also is needed to investigate variations in flow direction with time, daily changes in velocity, velocity corrections for fractured bedrock aquifers and unconsolidated aquifers, and directional differences in individual wells for hydraulically separated flow zones.

Indiana, Kentucky, Tennessee↗

Water-quality conditions during low flow in the lower Youghiogheny River basin, Pennsylvania, October 5-7, 1998

In October 1998, a chemical synoptic survey was conducted by the U.S. Geological Survey, in cooperation with the U.S. Department of Energy, National Energy Technology Laboratory, in the Lower Youghiogheny River Basin in Pennsylvania to give a snapshot of present (1998) water quality during low-flow conditions. Water samples from 38 sites—12 mainstem sites, 22 tributaries, and 4 mine discharges that discharge directly to the Youghiogheny River—were used to identify sources of contaminants from mining operations. Specific conductance, water temperature, pH, and dissolved oxygen were measured in the field at each site and concentrations of major ions and trace elements were measured in the laboratory.z Unaccounted for gains and losses in streamflow were measured during the study. Unaccounted for losses in streamflow might be attributed to water loss through streambed fractures. Extensive mine tunnels are present in the basin and loss of water to these tunnels seems likely. Unaccounted for gains in streamflow may be from unmeasured tributaries or surface seeps, but most of the gains are suspected to come from artesian flow through fractures in the streambed from underground mine pools. Influent flows of rust-colored water were noted in some river sections. The pH values for all the samples collected during this survey were above 5.8, and most (33 of 38 samples) were above 7.0. Samples from the four mine-discharge sites also had pH values between 6.3 and 6.7. The lowest pH (5.8) was in a tributary, Galley Run. All 38 sampling sites had net alkalinity. The alkalinity load in the Youghiogheny River increased between Connellsville and McKeesport from 35 to 79 tons per day. Above Smithton, the measured alkalinity load in the Lower Youghiogheny River agreed well with the estimated alkalinity load. Below Smithton, measured alkalinity loads in the Lower Youghiogheny River are greater than calculated loads, resulting in unaccounted for gains in alkalinity. These gains are believed to be from seeps in the streambed. Approximately one-third of the load of total alkalinity in the Youghiogheny River at McKeesport is attributed to Sewickley Creek, which contributes 14 tons per day. Sulfate concentrations in the Youghiogheny River steadily increase from 33 milligrams per liter at Connellsville to 77 milligrams per liter near McKeesport. The measured concentrations of sulfate exceeded Pennsylvania water-quality standards at four tributary sites (Galley Run, Hickman Run, Sewickley Creek, and Gillespie Run) and all four mine-discharge sites but not at any main-stem sites. A large increase in sulfate load between West Newton and Sutersville can be attributed almost entirely to the contribution from Sewickley Creek (49 tons per day). Approximately 25 percent of the load measured between Connellsville and McKeesport is unaccounted for. These gains are believed to be from seeps in the streambed from underground mine pools. Similar patterns also were observed for loads of sodium, calcium, and magnesium. Unmeasured inputs from mine drainage are believed to be the source of these loads. Elevated concentrations (above background levels) of chemicals associated with drainage from coal-mining operations were measured in samples from tributaries, especially from Galley Run, Gillespie Run, and Sewickley Creek, and from the mine-discharge sites. The synoptic survey conducted for this study was successful in identifying generalized reaches of the Youghiogheny River where unaccounted for loads of constituents associated with mining activities are entering the river. However, the survey was not able to pinpoint the location of these loads. Remote-sensing techniques, such as thermal infrared imaging by the National Energy Technology Laboratory, could be useful for determining the precise locations of these inputs.

Water-Resources Investigations Report↗

Estimated use of water in Lincoln County, Wyoming, 1993

Total water use in Lincoln County, Wyoming in 1993 was estimated to be 405,000 Mgal (million gallons). Water use estimates were divided into nine categories: public supply, self-supplied domestic, commercial, irrigation, livestock, indus ial, mining, thermoelectric power, and hydro- electric power. Public supply water use, estimated to be 2,160 Mgal, primarily was obtained from springs and wells. Shallow ground water wells were the primary source of self-supplied domestic water, estimate to be 1.7 Mgal, and 53 percent of those wells were drilled to a depth of 100 feet or less. Commercial water use, estimated to be 117 Mgal, was obtained from public-supply systems. Surface water supplied an estimated 153,000 Mgal of the total estimated water use of 158,000 Mgal for irrigation in 1993. Sprinkler and flood irrigation technology were used about equally in the northern part of Lincoln County and flood irrigation was the primary technology used in the southern part. Livestock, industrial, and mining were not major water users in Lincoln County in 1993. Livestock water use totaled an estimated 203 Mgal. Industrial water use was estimated to be 120 Mgal from self-supplied water sources and 27 Mgal from public supplied water source Mining water use was an estimated 153 Mgal. Thermoelectric and hydroelectric power generation used surface water sources. Thermoelectric power water use was an estimated 5,900 Mgal. An estimated 238,000 Mgal of water was used to generate hydroelectc power at Fontenelle Reservoir on the Green River.

Water-Resources Investigations Report↗

Remote sensing observations of landslides and ground deformation from the 2004 Niigata Ken Chuetsu earthquake

In recent years, major developments in remote sensing have made it possible to use these technologies to document the effects of earthquakes. Specifically, high-resolution satellite imagery and three-dimensional laser scanning (LIDAR) can provide important observations of earthquake damage that supplement traditional observations from field reconnaissance. The 2004 Niigata Ken Chuetsu earthquake provided an opportunity to use remote sensing to document the distribution of landslides in the epicentral region through the use of high-resolution satellite imagery and to document the detailed three-dimensional geometries of several failures using LIDAR. The satellite imagery was acquired the day after the earthquake, but at very large acquisition angles that resulted in image distortion. Nonetheless, the satellite imagery accurately identified the landslide distribution in the epicentral region, although the total area of landslides was underestimated by about 25% as compared with traditional aerial reconnaissance because of the large acquisition angle for the satellite imagery. Terrestrial LIDAR was used to collect three-dimensional data at several failure sites, including two large rock slides and a railroad tunnel portal affected by ground deformation. The LIDAR data allowed for precise measurement of failure deformations and geometries, and provided digital terrain models that could be archived and used in future analyses. In the future, satellite imagery and LIDAR, as well as other remote sensing technologies, will play an increasing role in documenting and understanding the effects of earthquakes.

Niigata Prefecture↗

The potential of unmanned aerial systems for sea turtle research and conservation: a review and future directions

The use of satellite systems and manned aircraft surveys for remote data collection has been shown to be transformative for sea turtle conservation and research by enabling the collection of data on turtles and their habitats over larger areas than can be achieved by surveys on foot or by boat. Unmanned aerial vehicles (UAVs) or drones are increasingly being adopted to gather data, at previously unprecedented spatial and temporal resolutions in diverse geographic locations. This easily accessible, low-cost tool is improving existing research methods and enabling novel approaches in marine turtle ecology and conservation. Here we review the diverse ways in which incorporating inexpensive UAVs may reduce costs and field time while improving safety and data quality and quantity over existing methods for studies on turtle nesting, at-sea distribution and behaviour surveys, as well as expanding into new avenues such as surveillance against illegal take. Furthermore, we highlight the impact that high-quality aerial imagery captured by UAVs can have for public outreach and engagement. This technology does not come without challenges. We discuss the potential constraints of these systems within the ethical and legal frameworks which researchers must operate and the difficulties that can result with regard to storage and analysis of large amounts of imagery. We then suggest areas where technological development could further expand the utility of UAVs as data-gathering tools; for example, functioning as downloading nodes for data collected by sensors placed on turtles. Development of methods for the use of UAVs in sea turtle research will serve as case studies for use with other marine and terrestrial taxa.

Endangered Species Research↗

Landsat data ecosystem case study: Actor perceptions of the use and value of landsat

It is well-known that Earth observation (EO) data plays a critical role in scientific understanding about the global environment. There is also growing support for the use of EO data to provide context-specific insights, with significant implications for their use in decision support systems. Technological development over recent years, including cloud computing infrastructure, machine learning techniques, and rapid expansion of the velocity, volume, and variety of space-borne data sources, offer huge potential to provide solutions to the myriad environmental problems facing society and the planet. The USGS/NASA Landsat Program, the longest continuously gathered source of land surface data, has played a central role in our understanding of environmental change, particularly for its contribution of longitudinal products that offer greater context for present research and decision support activities. The challenge facing the Landsat and EO data community, however, now lies in moving beyond context-specific knowledge generation to translating such knowledge into tangible value for society. Drawing from an open data ecosystem framework and qualitative social science methods, we map the Landsat data ecosystem (LDE) and the relationships linking multiple actors responsible for processing, indexing, analyzing, synthesizing, and translating raw Landsat data into information that is useful, useable, and used by end users in particular social-environmental contexts. Both the role of Big Data and associated technologies are discussed as they relate to the ultimate use of Landsat-derived information products to guide decision-making, and key data ecosystem characteristics that shape the likelihood of these products’ use are highlighted.

Frontiers in Environmental Science↗

Climate change and maple syrup: Producer observations, perceptions, knowledge, and adaptation strategies

Introduction: Climate change is impacting forest-based agricultural systems with implications for producer decision-making and livelihoods. This article presents a case study on the observations, perceptions, knowledge, and adaptation strategies of maple syrup producers in the United States to climate change. Methods: We carried out two semi-structured surveys with maple producers on: (1) climate change and its impacts on the maple system ( n = 106 participants); and (2) responses to climate adaptation scenarios ( n = 98 participants). Additionally, we carried out two focus groups and key informant interviews ( n = 70+) to understand barriers and opportunities for climate adaptation. One of these focus groups and follow up key informant interviews was with tribally affiliated community members with the intention to acknowledge Indigenous Peoples’ voices, history, and relationships to the land. Results: Findings highlight that most of the surveyed producers (89%) have experienced the negative impacts of climate on maple syrup production. While 40% of participants feel concerned regarding the future of the maple system, 39% feel hopeful, with significant differences based on the age of the surveyed producers. The majority of producers have adapted their harvesting practices to climate effects. Producers shared knowledge of multiple adaptation strategies in response to climate scenarios comprised of: (1) stand management practices such as diversification of sap species tapped; (2) harvesting practices such as changing the type and number of taps; (3) sap processing practices focused on the integration of technology such as the use of an evaporator and reverse osmosis; and (4) marketing practices such as innovation of products and marketing different maple syrup characteristics. Responses shared by tribally affiliated producers highlight knowledge of multiple adaptation strategies that focus on long-term ecological management of forests rather than technological solutions. Discussion: Overall, findings emphasize the importance of cooperation and diversification at every level and dimension of the maple system for its long-term resilience.

Frontiers in Forests and Global Change↗

Overhauling ocean spatial planning to improve marine megafauna conservation

Tracking data have led to evidence-based conservation of marine megafauna, but a disconnect remains between the many thousands of individual animals that have been tracked and the use of these data in conservation and management actions. Furthermore, the focus of most conservation efforts is within Exclusive Economic Zones despite the ability of these species to move thousands of kilometres across multiple national jurisdictions. To assist the goal of the United Nations General Assembly’s recent effort to negotiate a global treaty to conserve biodiversity on the high seas, we propose the development of a new frontier in dynamic marine spatial management. We argue that a global approach combining tracked movements of marine megafauna and human activities at-sea, and using existing and emerging technologies (e.g., through new tracking devices and big data approaches) can be applied to deliver near real-time diagnostics on existing risks and threats to mitigate global risks for marine megafauna. With technology developments over the next decade expected to catalyse the potential to survey marine animals and human activities in ever more detail and at global scales, the development of dynamic predictive tools based on near real-time tracking and environmental data will become crucial to address increasing risks. Such global tools for dynamic spatial and temporal management will, however, require extensive synoptic data updates and will be dependent on a shift to a culture of data sharing and open access. We propose a global mechanism to store and make such data available in near real-time, enabling a holistic view of space use by marine megafauna and humans that would significantly accelerate efforts to mitigate impacts and improve conservation and management of marine megafauna.

Frontiers in Marine Science↗

The bat signal: An ultraviolet light lure to increase acoustic detection of bats

Bats are a taxa of high conservation concern and are facing numerous threats including widespread mortality due to White-Nose Syndrome (WNS) in North America. With this decline comes increasing difficulty in monitoring imperiled bat species due to lower detection probabilities of both mist-netting and acoustic surveys. Lure technology shows promise to increase detection while decreasing sampling effort; however, to date research has primarily focused on increasing physical captures during mist-net surveys using sound lures. Because much bat monitoring is now performed using acoustic detection, there is a similar need to increase detection probabilities during acoustic surveys. Ultraviolet (UV) lights anecdotally have been shown to attract insects and thereby attract foraging bats for observational studies and to experimentally provide a food source for WNS-impacted bats before and after hibernation. Therefore, we constructed a field-portable and programmable UV lure device to determine the value of lures for increasing acoustic detection of bats. We tested if the lure device increased both the echolocation passes and feeding activity (feeding buzzes) across a transect of bat detectors. There was an increase in feeding activity around the UV light, with a nuanced, species-specific and positionally dependent effect on echolocation passes received. The UV light lure increased echolocation passes for the eastern red bat ( Lasiurus borealis ), little brown bat ( Myotis lucifugus ), and evening bat ( Nycticeius humeralis ), but decreased passes of the North American hoary bat ( Lasiurus cinereus ). The northern long-eared bat ( Myotis septentrionalis ) showed a negative response within the illuminated area but increased echolocation activity outside the illuminated area during lure treatment and activity was elevated at all positions after the lure was deactivated. Our study demonstrates some potential utility of UV lures in increasing the feeding activity and acoustic detection of bats. Additional research and development of UV lure technology may be beneficial, including alternating on and off periods to improve detection of light-averse species, and improving echolocation call quality along with the increase in received passes.

Virginia↗

A bibliometric profile of the Remote Sensing Open Access Journal published by MDPI between 2009 and 2018

Remote Sensing Open Access Journal (RS OAJ) is an international leading journal in the field of remote sensing science and technology. It was first published in the year 2009 and is currently celebrating tenth year of publications. In this research, a bibliometric analysis of RS OAJ was conducted based on 5588 articles published during the 10-year (2009–2018) time-period. The bibliometric analysis includes a comprehensive set of indicators such as dynamics and trends of publications, journal impact factor, total cites, eigenfactor score, normalized eigenfactor, CiteScore, h-index, h-classic publications, most productive countries (or territories) and institutions, co-authorship collaboration about countries (territories), research themes, citation impact of co-occurrences keywords, intellectual structure, and knowledge commutation. We found that publications of RS OAJ presented an exponential growth in the past ten years. From 2010 to 2017 (for which complete years data were available), the h-index of RS OAJ is 67. From 2009–2018, RS OAJ includes publications from 129 countries (or territories) and 3826 institutions. The leading nations contributing articles, based on 2009–2018 data, and listed based on ranking were: China, United States, Germany, Italy, France, Spain, Canada, England, Australia, Netherlands, Japan, Switzerland and Austria. The leading institutions, also for the same period and listed based on ranking were: Chinese Academy of Sciences, Wuhan University, University of Chinese Academy of Sciences, Beijing Normal University, The university of Maryland, National Aeronautics and Space Administration, National Oceanic and Atmospheric Administration, China University of Geosciences, United States Geological Survey, German Aerospace Centre, University of Twente, and California Institute of Technology. For the year 2017, RS OAJ had an impressive journal impact factor of 3.4060, a CiteScore of 4.03, eigenfactor score of 0.0342, and normalized eigenfactor score of 3.99. In addition, based on 2009–2018, data co-word analysis determined that “remote sensing”, “MODIS”, “Landsat”, “LiDAR” and “NDVI” are the high-frequency of author keywords co-occurrence in RS OAJ. The main themes of RS OAJ are multi-spectral and hyperspectral remote sensing, LiDAR scanning and forestry remote sensing monitoring, MODIS and LAI data applications, Remote sensing applications and Synthetic Aperture Radar (SAR). Through author keywords citation impact analysis, we find the most influential keyword is Unmanned Aerial Vehicle (UAV), followed, forestry, Normalized Difference Vegetation Index (NDVI), terrestrial laser scanning, airborne laser scanning, forestry inventory, urban heat island, monitoring, agriculture, and laser scanning. By analyzing the intellectual structure of RS OAJ, we identify the main reference publications and find that the themes are about Random Forests, MODIS vegetation indices and image analysis, etc. RS OAJ ranks first in cited journals and third in citing, this indicates that RS OAJ has the internal knowledge flow. Our results will bring more benefits to scholars, researchers and graduate students, who hopes to get a quick overview of the RS OAJ. And this article will also be the starting point for communication between scholars and practitioners. Finally, this paper proposed a nuanced h-index (nh-index) to measure productivity and intellectual contribution of authors by considering h-index based on whether the one is first, second, third, or nth author. This nuanced approach to determining h-index of authors is powerful indicator of an academician’s productivity and intellectual contribution.

Remote Sensing↗

Calibrating geosynchronous and polar orbiting satellites: Sharing best practices

Earth remote sensing optical satellite systems are often divided into two categories—geosynchronous and sun-synchronous. Geosynchronous systems essentially rotate with the Earth and continuously observe the same region of the Earth. Sun-synchronous systems are generally in a polar orbit and view differing regions of the Earth at the same local time. Although similar in instrument design, there are enough differences in these two types of missions that often the calibration of the instruments can be substantially different. Thus, respective calibration teams develop independent methods and do not interact regularly or often. Yet, there are numerous areas of overlap and much to learn from one another. To address this issue, a panel of experts from both types of systems was convened to discover common areas of concern, areas where improvements can be made, and recommendations for the future. As a result of the panelist’s efforts, a set of eight recommendations were developed. Those that are related to improvements of current technologies include maintaining sun-synchronous orbits (not allowing orbital decay), standardization of spectral bandpasses, and expanded use of well-developed calibration techniques such as deep convective clouds, pseudo invariant calibration sites, and lunar methodologies. New techniques for expanded calibration capability include using geosynchronous instruments as transfer radiometers, continued development of ground-based prelaunch calibration technologies, expansion of RadCalNet, and development of space-based calibration radiometer systems.

Remote Sensing↗

Detection and monitoring of small-scale diamond and gold mining dredges using synthetic aperture radar on the Kadéï (Sangha) River, Central African Republic

Diamond and gold mining has been practiced by artisanal miners in the Central African Republic (CAR) for decades. The recent introduction of riverine dredges indicates a transition from artisanal/manual digging and sorting techniques to small-scale mining methods. This study implements a remote sensing analysis of Synthetic Aperture Radar (SAR) data to map gold and diamond dredges operating on the Kadéï (Sangha) river in the CAR. Riverine vessels are identified in Sentinel-1 SAR data between 2015 and 2019, and their activity levels are mapped over time. The number of active dredges identified on the river increased over the five years studied, with the largest increase occurring between 2016 and 2017. Detailing a method for mapping and monitoring riverine diamond and gold dredge mining is an important step in keeping up with evolving technologies and new areas of mineral exploitation and in helping address concerns over resource governance in remote and conflict-prone terrain. The use of SAR technology, with its weather-independence, broad coverage, and available wavelength combinations, allows for higher temporal resolution and improved vessel detection in the monitoring of small-scale mining (SSM) dredges.

Remote Sensing↗

Rapid diagnosis of avian influenza virus in wild birds: Use of a portable rRT-PCR and freeze-dried reagents in the field

Wild birds have been implicated in the spread of highly pathogenic avian influenza (HPAI) of the H5N1 subtype, prompting surveillance along migratory flyways. Sampling of wild birds for avian influenza virus (AIV) is often conducted in remote regions, but results are often delayed because of the need to transport samples to a laboratory equipped for molecular testing. Real-time reverse transcriptase polymerase chain reaction (rRT-PCR) is a molecular technique that offers one of the most accurate and sensitive methods for diagnosis of AIV. The previously strict lab protocols needed for rRT-PCR are now being adapted for the field. Development of freeze-dried (lyophilized) reagents that do not require cold chain, with sensitivity at the level of wet reagents has brought on-site remote testing to a practical goal. Here we present a method for the rapid diagnosis of AIV in wild birds using an rRT-PCR unit (Ruggedized Advanced Pathogen Identification Device or RAPID, Idaho Technologies, Salt Lake City, UT) that employs lyophilized reagents (Influenza A Target 1 Taqman; ASAY-ASY-0109, Idaho Technologies). The reagents contain all of the necessary components for testing at appropriate concentrations in a single tube: primers, probes, enzymes, buffers and internal positive controls, eliminating errors associated with improper storage or handling of wet reagents. The portable unit performs a screen for Influenza A by targeting the matrix gene and yields results in 2-3 hours. Genetic subtyping is also possible with H5 and H7 primer sets that target the hemagglutinin gene. The system is suitable for use on cloacal and oropharyngeal samples collected from wild birds, as demonstrated here on the migratory shorebird species, the western sandpiper (Calidrus mauri) captured in Northern California. Animal handling followed protocols approved by the Animal Care and Use Committee of the U.S. Geological Survey Western Ecological Research Center and permits of the U.S. Geological Survey Bird Banding Laboratory. The primary advantage of this technique is to expedite diagnosis of wild birds, increasing the chances of containing an outbreak in a remote location. On-site diagnosis would also prove useful for identifying and studying infected individuals in wild populations. The opportunity to collect information on host biology (immunological and physiological response to infection) and spatial ecology (migratory performance of infected birds) will provide insights into the extent to which wild birds can act as vectors for AIV over long distances.

Journal of Visualized Experiments↗

Reservoir controls on the occurrence and production of gas hydrates in nature

Gas hydrates in both arctic permafrost regions and deep marine settings can occur at high concentrations in sand-dominated reservoirs, which have been the focus of gas hydrate exploration and production studies in northern Alaska and Canada, and offshore in the Gulf of Mexico, off the southeastern coast of Japan, in the Ulleung Basin off the east coast of the Korean Peninsula, and along the eastern margin of India. Production testing and modeling has shown that concentrated gas hydrate occurrences in sand reservoirs are conducive to existing well-based production technologies. The resource potential of gas hydrate accumulations in sand-dominated reservoirs have been assessed for several polar terrestrial basins. In 1995, the U.S. Geological Survey (USGS) assigned an in-place resource of 16.7 trillion cubic meters of gas for hydrates in sand-dominated reservoirs on the Alaska North Slope. In a more recent assessment, the USGS indicated that there are about 2.42 trillion cubic meters of technically recoverable gas resources within concentrated, sand-dominated, gas hydrate accumulations in northern Alaska. Estimates of the amount of in-place gas in the sand dominated gas hydrate accumulations of the Mackenzie Delta Beaufort Sea region of the Canadian arctic range from 1.0 to 10 trillion cubic meters of gas. Another prospective gas hydrate resources are those of moderate-to-high concentrations within sandstone reservoirs in marine environments. In 2008, the Bureau of Ocean Energy Management estimated that the Gulf of Mexico contains about 190 trillion cubic meters of gas in highly concentrated hydrate accumulations within sand reservoirs. In 2008, the Japan Oil, Gas and Metals National Corporation reported on a resource assessment of gas hydrates in which they estimated that the volume of gas within the hydrates of the eastern Nankai Trough at about 1.1 trillion cubic meters, with about half concentrated in sand reservoirs. Because conventional production technologies favor sand-dominated gas hydrate reservoirs, sand reservoirs are considered to be the most viable economic target for gas hydrate production and will be the prime focus of most future gas hydrate exploration and development projects.

Book↗

Delivering integrated HAZUS-MH flood loss analyses and flood inundation maps over the Web

Catastrophic flooding is responsible for more loss of life and damages to property than any other natural hazard. Recently developed flood inundation mapping technologies make it possible to view the extent and depth of flooding on the land surface over the Internet; however, by themselves these technologies are unable to provide estimates of losses to property and infrastructure. The Federal Emergency Management Agency’s (FEMA's) HAZUS-MH software is extensively used to conduct flood loss analyses in the United States, providing a nationwide database of population and infrastructure at risk. Unfortunately, HAZUS-MH requires a dedicated Geographic Information System (GIS) workstation and a trained operator, and analyses are not adapted for convenient delivery over the Web. This article describes a cooperative effort by the US Geological Survey (USGS) and FEMA to make HAZUS-MH output GIS and Web compatible and to integrate these data with digital flood inundation maps in USGS’s newly developed Inundation Mapping Web Portal. By running the computationally intensive HAZUS-MH flood analyses offline and converting the output to a Web-GIS compatible format, detailed estimates of flood losses can now be delivered to anyone with Internet access, thus dramatically increasing the availability of these forecasts to local emergency planners and first responders.

Journal of Emergency Management↗

Geochemistry of the processes that attenuate acid mine drainage in wetlands

Because conventional treatment of acid-mine drainage (AMD) involves installation and maintenance of water treatment plants, regulators and mine operators have sought lower cost and lower maintenance technologies. One ecological engineering technology that has received increasing research attention is the use of natural and constructed wetlands for remediation of some of the water-quality problems associated with AMD. As surface water flows through a wetland, several processes can occur to decrease the elevated concentrations of sulfate, trace metals, arsenic, and hydrogen ions that characterize AMD. These processes range from precipitation of mineral phases to the active uptake of solutes by vegetation. The relative importance of these processes between different wetlands depends on the hydrologic and geochemical characteristics of the wetlands. This paper describes the geochemistry of the processes that contribute to AMD attenuation in wetlands and presents some of the case studies that have identified these processes. The attenuation of AMD in wetlands has been studied in natural and in man- made (constructed) wetlands. In this paper, case studies of both are presented. A discussion of some of the general characteristics of wetlands is followed by more detailed discussions of the processes and geochemistry that contribute to the treatment of AMD in wetlands, relevant case studies, and a brief discussion of constructed wetland design. The physical, chemical, and hydrologic characteristics of a wetland that affect its potential for supporting specific types of reactions are also emphasized.

Book chapter↗

Long-term ocean observing for international capacity development around tsunami early warning

The 2004 magnitude (M) 9.1 Sumatra-Andaman Islands earthquake in the Indian Ocean triggered the deadliest tsunami ever, killing more than 230,000 people. In response, the United Nations Educational, Scientific, and Cultural Organization (UNESCO) established three additional Intergovernmental Coordination Groups (ICGs) for the Tsunami and Other Coastal Hazards Early Warning System: for the Caribbean and Adjacent Regions (ICG/CARIBE-EWS), for the Indian Ocean, and for the Northeastern Atlantic, Mediterranean, and Connected Seas. Along with the ICG for the Pacific Ocean, which was established in 1965, one of the goals of the new ICGs was to improve earthquake and tsunami monitoring and early warning. This need was further demonstrated by the 2011 Great East Japan (Tōhoku-oki) earthquake and tsunami, which killed more than 20,000 people, and other destructive tsunamis that occurred in the Solomon Islands, Samoa, Tonga, Chile, Indonesia, and Peru. In response to the call to action by the UN Decade of Ocean Science for Sustainable Development (2021–2030), as well as the desired safe ocean outcome (von Hillebrandt-Andrade et al., 2021), the Intergovernmental Oceanographic Commission (IOC) of UNESCO approved the Ocean Decade Tsunami Programme in June 2021. One of its goals is to develop the capability to issue actionable alerts for tsunamis from all sources with minimum uncertainty within 10 minutes (Angove et al., 2019). While laudable, this goal presents complexities. Currently, warning depends on quick detection as well as the location and initial magnitude estimates of an earthquake that may generate a tsunami. Other factors that affect tsunamis, such as the faulting mechanism (how the faults slide past each other) and areal extent of the earthquake, currently take at least 20–30 minutes to forecast and are still subject to large uncertainties. Hence, agencies charged with tsunami early warning need to broadcast public alerts within minutes after an earthquake occurs but may struggle to meet this 10-minute goal without further technological advances, some of which are outlined in this article. To reduce loss of life through adequate tsunami warning requires global ocean-based seismic, sea level, and geodetic initiatives to detect high-impact earthquakes and tsunamis, combined with sufficient communication and education so that people know how to respond when they receive alerts and warnings. The United Nations International Strategy for Disaster Reduction defines an early warning system as “a set of capacities needed to generate and disseminate timely and meaningful warning information to enable individuals, communities, and organizations threatened by a hazard to prepare and to act appropriately and in sufficient time to reduce the possibility of harm or loss” (UNISDR, 2012). In short, a successful early warning system requires technology coupled with human factors (Kelman and Glantz, 2014). In this article, we explore case studies from Japan and Canada, where scientists are leading the way in incorporating ocean observing capabilities in their early warning systems. We also explore advancements and challenges in the Caribbean, an area with a complex tectonic environment that would benefit greatly from increased global ocean observing capabilities. We also explore physical and social science interventions necessary to reduce loss of life.

Oceanography↗