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U.S. Department of the Interior Southeast Climate Science Center Science and Operational Plan

Climate change challenges many of the basic assumptions routinely used by conservation planners and managers, including the identification and prioritization of areas for conservation based on current environmental conditions and the assumption those conditions could be controlled by management actions. Climate change will likely alter important ecosystem drivers (temperature, precipitation, and sea-level rise) and make it difficult, if not impossible, to maintain current environmental conditions into the future. Additionally, the potential for future conservation of non-conservation lands may be affected by climate change, which further complicates resource planning. Potential changes to ecosystem drivers, as a result of climate change, highlight the need to develop and adapt effective conservation strategies to cope with the effects of climate and landscape change. The U.S. Congress, recognized the potential effects of climate change and authorized the creation of the U.S. Geological Survey National Climate Change and Wildlife Science Center (NCCWSC) in 2008. The directive of the NCCWSC is to produce science that supports resource-management agencies as they anticipate and adapt to the effects of climate change on fish, wildlife, and their habitats. On September 14, 2009, U.S. Department of the Interior (DOI) Secretary Ken Salazar signed Secretarial Order 3289 (amended February 22, 2010), which expanded the mandate of the NCCWSC to address climate-change-related impacts on all DOI resources. Secretarial Order 3289 "Addressing the Impacts of Climate Change on America's Water, Land, and Other Natural and Cultural Resources," established the foundation of two partner-based conservation science entities: Climate Science Centers (CSC) and their primary partners, Landscape Conservation Cooperatives (LCC). CSCs and LCCs are the Department-wide approach for applying scientific tools to increase the understanding of climate change, and to coordinate an effective response to its impacts on tribes and the land, water, ocean, fish and wildlife, and cultural-heritage resources that DOI manages. The NCCWSC is establishing a network of eight DOI CSCs (Alaska, Southeast, Northwest, North Central, Pacific Islands, Southwest, Northeast, and South Central) that will work with a variety of partners and stakeholders to provide resource managers the tools and information they need to help them anticipate and adapt conservation planning and design for projected climate change. The Southeast CSC, a federally led research collaboration hosted by North Carolina State University, was established in 2010. The Southeast CSC brings together the expertise of federal and university scientists to address climate-change priority needs of federal, state, non-governmental, and tribal resource managers. This document is the first draft of a science and operational plan for the Southeast CSC. The document describes operational considerations, provides the context for climate-change impacts in the Southeastern United States, and establishes six major science themes the Southeast CSC will address in collaboration with partners. This document is intended to be reevaluated and modified as partner needs change.

Open-File Report↗

Eighth progress report on the cooperative investigation of springs and streamflow in the Tecolote Tunnel area of Santa Barbara County, California

This report is the eighth in a continuing series of progress reports giving the results of discharge measurements made at selected springs and streams in the Tecolote Tunnel area of the Santa Ynez Mountains. The measurement program was begun on its present scale in the latter part of 1948 by the U. S. Geological Survey at the request of the U. S. Bureau of Reclamation and has been continued under a cooperative agreement with the Santa Barbara County Water Agency since July 1, 1949, under which each agency pays half the cost of the investigation. The purpose of the program is to obtain factual data to assist in determining what effect, if any, the inflow of ground water into Tecolote Tunnel will have on surface-water resources in the vicinity of the tunnel. The area involved in the program, shown on plate 1, was made large enough to include a number of springs and streams believed to be outside the zone of influence of the tunnel. Tecolote Tunnel, completed in March 1956, was built by the Bureau of Reclamation for the purpose of conveying water from Cachuma Reservoir to the city of Santa Barbara and adjacent coastal communities. The alinement of the tunnel is essentially north and south through the center of a region that extends from the Painted Cave area on the east to Refugio Pass on the west and from the Santa Ynez River on the north to the Pacific Ocean on the south. Storage, in Cachuma Reservoir began November 16, 1952. Roads within the area covered by Cachuma Reservoir have been relocated since plate 1 was prepared. The purpose of this progress report is to make available the factual data obtained from July 1956 to June 1958.

California↗

Earthquake probabilities in the San Francisco Bay region: 2000 to 2030 - A summary of findings

The San Francisco Bay region sits astride a dangerous “earthquake machine,” the tectonic boundary between the Pacific and North American Plates. The region has experienced major and destructive earthquakes in 1838, 1868, 1906, and 1989, and future large earthquakes are a certainty. The ability to prepare for large earthquakes is critical to saving lives and reducing damage to property and infrastructure. An increased understanding of the timing, size, location, and effects of these likely earthquakes is a necessary component in any effective program of preparedness. This study reports on the probabilities of occurrence of major earthquakes in the San Francisco Bay region (SFBR) for the three decades 2000 to 2030. The SFBR extends from Healdsberg on the northwest to Salinas on the southeast and encloses the entire metropolitan area, including its most rapidly expanding urban and suburban areas. In this study a “major” earthquake is defined as one with M≥6.7 (where M is moment magnitude). As experience from the Northridge, California (M6.7, 1994) and Kobe, Japan (M6.9, 1995) earthquakes has shown us, earthquakes of this size can have a disastrous impact on the social and economic fabric of densely urbanized areas. To reevaluate the probability of large earthquakes striking the SFBR, the U.S. Geological Survey solicited data, interpretations, and analyses from dozens of scientists representing a wide crosssection of the Earth-science community (Appendix A). The primary approach of this new Working Group (WG99) was to develop a comprehensive, regional model for the long-term occurrence of earthquakes, founded on geologic and geophysical observations and constrained by plate tectonics. The model considers a broad range of observations and their possible interpretations. Using this model, we estimate the rates of occurrence of earthquakes and 30-year earthquake probabilities. Our study considers a range of magnitudes for earthquakes on the major faults in the region—an innovation over previous studies of the SFBR that considered only a small number of potential earthquakes of fixed magnitude.

California↗

Calculation of area and volume for the north part of Great Salt Lake, Utah

The U.S. Geological Survey, in cooperation with the Utah Department of Natural Resources, Division of Forestry, Fire, and State Lands, collected bathymetric data for the north part of Great Salt Lake during the spring and early summer of 2006 using a single-beam, high-definition fathometer and real-time differential global positioning system. About 5.2 million depth measurements were collected along more than 765 miles (1,230 kilometers) of survey transects. Sound-velocity profiles were obtained in conjunction with the bathymetric data to provide time-of-travel corrections to the depth calculations. Data were processed with commercial hydrographic software and exported into geographic information system (GIS) software for mapping and calculation of area and volume. Area and volume calculations show a maximum area of about 385,000 acres (1,560 square kilometers) and a maximum volume of about 5,693,000 acre-feet (about 7 cubic kilometers) at a water-surface altitude of 4,200 feet (1,280 meters). Minimum natural water-surface altitude of the north part of Great Salt Lake is just below 4,167 feet (1,270 meters) in the area just north of the Union Pacific railroad causeway halfway between Saline and the western edge of the lake. The north part of Great Salt Lake generally grades gradually to the west and north and is bounded by steep scarps along its eastern border. Calculations for area and volume are based on a low altitude of 4,167 feet (1,270 meters) to a high altitude of 4,200 feet (1,280 meters).

Utah↗

Cadmium risks to freshwater life: derivation and validation of low-effect criteria values using laboratory and field studies

In 2001, the U.S. Environmental Protection Agency (EPA) released updated aquatic life criteria for cadmium. Since then, additional data on the effects of cadmium to aquatic life have become available from studies supported by the EPA, Idaho Department of Environmental Quality (IDEQ), and the U.S. Geological Survey, among other sources. Updated data on the effects of cadmium to aquatic life were compiled and reviewed and low-effect concentrations were estimated. Low-effect values were calculated using EPA's guidelines for deriving numerical national water-quality criteria for the protection of aquatic organisms and their uses. Data on the short-term (acute) effects of cadmium on North American freshwater species that were suitable for criteria derivation were located for 69 species representing 57 genera and 33 families. For longer-term (chronic) effects of cadmium on North American freshwater species, suitable data were located for 28 species representing 21 genera and 17 families. Both the acute and chronic toxicity of cadmium were dependent on the hardness of the test water. Hardness-toxicity regressions were developed for both acute and chronic datasets so that effects data from different tests could be adjusted to a common water hardness. Hardness-adjusted effects values were pooled to obtain species and genus mean acute and chronic values, which then were ranked by their sensitivity to cadmium. The four most sensitive genera to acute exposures were, in order of increasing cadmium resistance, Oncorhynchus (Pacific trout and salmon), Salvelinus ('char' trout), Salmo (Atlantic trout and salmon), and Cottus (sculpin). The four most sensitive genera to chronic exposures were Hyalella (amphipod), Cottus, Gammarus (amphipod), and Salvelinus. Using the updated datasets, hardness dependent criteria equations were calculated for acute and chronic exposures to cadmium. At a hardness of 50 mg/L as calcium carbonate, the criterion maximum concentration (CMC, or 'acute' criterion) was calculated as 0.75 mug/L cadmium using the hardness-dependent equation CMC = e(0.8403 ? ln(hardness)-3.572) where the 'ln hardness' is the natural logarithm of the water hardness. Likewise, the criterion continuous concentration (CCC, or 'chronic' criterion) was calculated as 0.37 mug/L cadmium using the hardness-dependent equation CCC = (e(0.6247 ? ln(hardness)-3.384)) ? (1.101672 - ((ln hardness) ? 0.041838))). Using data that were independent of those used to derive the criteria, the criteria concentrations were evaluated to estimate whether adverse effects were expected to the biological integrity of natural waters or to selected species listed as threatened or endangered. One species was identified that would not be fully protected by the derived CCC, the amphipod Hyalella azteca. Exposure to CCC conditions likely would lead to population decreases in Hyalella azteca, the food web consequences of which probably would be slight if macroinvertebrate communities were otherwise diverse. Some data also suggested adverse behavioral changes are possible in fish following long-term exposures to low levels of cadmium, particularly in char (genus Salvelinus). Although ambiguous, these data indicate a need to periodically review the literature on behavioral changes in fish following metals exposure as more information becomes available. Most data reviewed indicated that criteria conditions were unlikely to contribute to overt adverse effects to either biological integrity or listed species. If elevated cadmium concentrations that approach the chronic criterion values occur in ambient waters, careful biological monitoring of invertebrate and fish assemblages would be prudent to validate the prediction that the assemblages would not be adversely affected by cadmium at criterion concentrations.

Scientific Investigations Report↗

U.S. Geological Survey Chesapeake science strategy, 2015-2025—Informing ecosystem management of America’s largest estuary

Executive Summary The U.S. Geological Survey (USGS) has the critical role of providing scientific information to improve the understanding and management of the Chesapeake Bay ecosystem. The USGS works with Federal, State, and academic science partners to provide research and monitoring, and communicate results of these activities to enhance ecosystem management for both the Chesapeake and other National ecosystems. The USGS Chesapeake Science Strategy was prepared to guide science activities to address the Chesapeake Bay Watershed Agreement (2014–2025), to support the Department of the Interior (DOI) involvement in the Bay restoration efforts, and align with the USGS Mission Area (MA) Science strategies. The Chesapeake Bay is our Nation’s largest estuary, and provides critical goods and services to the people, fish, and wildlife that use the 64,000-square-mile watershed. The Chesapeake Bay watershed contains over 3,600 species of fish, wildlife, and plants and provides spawning grounds for many ecologically and economically important species including striped bass and blue crabs. The Bay watershed lies in the heart of the Atlantic Flyway and has 29 species of waterfowl, about 1 million of which winter in the region. The size of the Chesapeake seafood harvest is third in the Nation, only behind the Atlantic and Pacific Oceans. Along with agricultural production, tourism, and recreation, the estimated economic value of the services from the Chesapeake Bay watershed is about $100 billion annually. However, the health of the Bay ecosystem began to decline at the beginning of the 20th century due to overfishing and increasing human population and associated land change. The Chesapeake Bay Program (CBP) is the Federal-State cooperative effort that started in 1983 to restore the Bay and watershed. Given the ecological and economic importance of the Chesapeake ecosystem, President Obama issued an Executive Order (EO) in 2009 for increased Federal leadership in the CBP to enhance the pace of restoration, and the supporting strategy was released in 2010. The EO directed the Federal Government, including the U.S. Department of the Interior (DOI), represented by the National Park Service (NPS), the U.S. Fish & Wildlife Service (FWS), and the USGS, to expand its efforts and increase leadership to restore the Bay and its watershed. The USGS and other Federal agencies expanded their activities in 2011 to meet the President’s Chesapeake EO. Since the EO was released, there have been several important changes in the USGS, DOI, and the CBP including: (1) the Chesapeake Bay Watershed Agreement, (2) increased DOI leadership in the CBP, and (3) the release of the USGS MA science strategies. The EO strategy served as a foundation for the Chesapeake Bay Watershed Agreement that was signed in 2014 by the CBP Partners, and has goals and outcomes to be met by 2025. The USGS developed the Chesapeake Science Strategy to guide our activities to address the Chesapeake Bay Watershed Agreement, DOI leadership in the CBP, and USGS MA strategies. Improving the understanding of fish and wildlife population and health, and the factors affecting their condition is the emphasis of the Strategy. The science focuses on documenting the critical ecosystem connections in the Chesapeake, and providing implications to enhance decision making for restoration and conservation activities. The revised Strategy has four themes that address 7 of the 10 goals in the Chesapeake Bay Watershed Agreement: Enhance science to support restoration, and conservation of fish, wildlife, and critical habitats. Characterize and explain changes in water quality, and its effect on freshwater and estuarine ecosystems. Assess and forecast effects of climate and land change on ecosystem conditions. Synthesize and provide information to support ecosystem management. The structure and function of biological communities of the Bay and its watershed are extremely complex and are affected by a variety of stressors and conditions. To better define the issues being addressed, the USGS has developed cross-cutting questions that define some of the most important scientific challenges where multiple disciplines and collaborators are needed to address an issue. The initial questions include: How do land and climate changes affect freshwater fish communities, health, and habitats? What are the relations among land use, water quality, contaminants, and the health of fish and wildlife? How are coastal wetlands and their carrying capacity for waterbirds affected by changing climate and land use? How is the water quality of rivers and estuaries responding to restoration actions, and changing land use? What are some of the best opportunities for management actions to benefit multiple restoration outcomes?

Delaware, Maryland, New York, Pennsylvania, Virgin↗

Data on uranium and radium in ground water in the United States, 1954 to 1957

This report is one of a series resulting from a study by the U.S. Geological Survey to determine the occurrence and distribution of naturally radioactive substances in water. From 1954-57 uranium and radium concentrations were determined in 561 samples, mainly of ground water, having wide geologic and geographic distribution. These concentrations, together with data on the hydrologic and geologic environment, the beta-gamma activity, and the chemical characteristics of each sample, are tabulated by States. The conterminous United States was subdivided into 10 geotectonic regions to facilitate statistical interpretation of the occurrence of uranium and radium in fresh water in approximately homogeneous geologic provinces. For each geotectonic region, the range and median were determined for the concentrations of radium and uranium; for regions from which sufficient data were available, log-normal frequency distribution curves were calculated and superimposed on histograms of radium and uranium concentrations in the samples. An "anomaly threshold" is suggested for both radioelements for each region analyzed statistically. The western stable region had the greatest median and highest "anomaly threshold" for uranium. This region also had the highest "anomaly threshold" for radium, but the largest median for radium was found for samples collected in the Ozark-Ouachita system. The median concentration for uranium was lowest for the Atlantic and Gulf Coastal Plain and the Pacific orogenic belt. This latter region also had the lowest median-radium content.

Professional Paper↗

The velocity field along the San Andreas Fault in central and southern California

The velocity field within a 100‐km‐broad zone centered on the San Andreas fault between the Mexican border and San Francisco Bay has been inferred from repeated surveys of trilateration networks in the 1973–1989 interval. The velocity field has the appearance of a shear flow that remains parallel to the local strike of the fault even through such major deflections as the big bend of the San Andreas fault in the Transverse Ranges of southern California. Across‐strike profiles of the fault‐parallel component of velocity exhibit the expected sigmoidal shape, whereas across‐strike profiles of the fault‐normal component of velocity are flat and featureless. No significant convergence upon the fault is observed even along the big bend sector of the fault. Simple dislocation models can explain most of the features of the observed velocity field, but those explanations are not unique. About 35 mm/yr of relative plate motion is accounted for within the span of the trilateration networks. Geologic studies indicate that the secular slip rate on the San Andreas fault is about 35 mm/yr. The agreement between these two estimates implies that most of the strain accumulation is elastic and will be recovered in subsequent earthquakes. The relative motion observed across the San Andreas fault (35 mm/yr) plus that observed across the Eastern California shear zone (8 mm/yr) accounts for most (43 mm/yr) of the observed North America‐Pacific relative plate motion (47 mm/yr).

California↗

Simulation of the effects of different inflows on hydrologic conditions in Lake Houston with a three-dimensional hydrodynamic model, Houston, Texas, 2009–10

Lake Houston, an important water resource for the Houston, Texas, area, receives inflows from seven major tributaries that compose the San Jacinto River Basin upstream from the reservoir. The effects of different inflows from the watersheds drained by these tributaries on the residence time of water in Lake Houston and closely associated physical and chemical properties including lake elevation, salinity, and water temperature are not well known. Accordingly, the U.S. Geological Survey (USGS), in cooperation with the City of Houston, developed a three-dimensional hydrodynamic model of Lake Houston as a tool for evaluating the effects of different inflows on residence time of water in the lake and associated physical and chemical properties. The Environmental Fluid Dynamics Code (EFDC), a grid-based, surface-water modeling package for simulating three-dimensional circulation, mass transport, sediments, and biogeochemical processes, was used to develop the model of Lake Houston. The Lake Houston EFDC model was developed and calibrated by using 2009 data and verified by using 2010 data. Three statistics (mean error, root mean square error, and the Nash-Sutcliffe model efficiency coefficient) were used to evaluate how well the Lake Houston EFDC model simulated lake elevation, salinity, and water temperature. The residence time of water in reservoirs is associated with various physical and chemical properties (including lake elevation, salinity, and water temperature). Simulated and measured lake-elevation values were compared at USGS reservoir station 08072000 Lake Houston near Sheldon, Tex. The accuracy of simulated salinity and water temperature values was assessed by using the salinity (computed from measured specific conductance) and water temperature at two USGS monitoring stations: 295826095082200 Lake Houston south Union Pacific Railroad Bridge near Houston, Tex., and 295554095093401 Lake Houston at mouth of Jack’s Ditch near Houston, Tex. Specific conductance and water temperature were measured at as many as four different depths at each of the two monitoring stations during 2009 and then used for assessing the accuracy of simulated values of salinity and water temperature during 2010. The performance evaluation statistics indicate that the model performed satisfactorily. The calibrated model was used to simulate two possible inflow scenarios to evaluate the changes in the residence time of water in Lake Houston. The two scenarios tested were an increased inflow of approximately 300 cubic feet per second for 1 month (May 2010) from two watersheds: the West Fork San Jacinto River and Luce Bayou. These scenarios were chosen to mimic the effects of possible small releases or diversions of water from outside the San Jacinto River Basin into the basin (or directly into the lake) on the residence time of water in Lake Houston. During the time of increased inflow for the two scenarios tested, maximum residence time decreased slightly from approximately 106 to 97 days.

Texas↗

Geologic appraisal of the petroleum potential of offshore southern California; the borderland compared to onshore coastal basins

Offshore southern California is part of a much larger Pacific continental margin, and the two areas have a similar geologic history at least as far back as middle Tertiary time. Assessment of the petroleum potential of the offshore Southern California borderland is accomplished by examining the adjacent highly explored productive coastal basins in the tectonically unstable area west of the San Andreas fault. Known oil and gas accumulations in this region can be characterized as follows: 88 percent comes from the Los Angeles and Ventura basins; 87 percent has been found in late Miocene and younger strata and only 0.2 percent has been found in Eocene strata; 80 percent has been found in thick deposits of deep-water turbidite reservoirs; and 5 percent has been found in fractured Miocene siliceous shale reservoirs. The percentage of siliceous shale reservoirs will increase as a result of recent discoveries in this rock type in the Santa Barbara Channel. Of the 212 known fields only 5 are giants (greater than 500 million barrels), and these fields account for 52 percent of all past production from the region. Most fields are faulted anticlines, and the largest fields have the highest oil recoveries per acre. Geologic knowledge of the offshore is limited by the availability of data. Data have been obtained from geophysical surveys, analyses of bedrock samples from the sea floor, and extrapolations of data from the mainland and offshore islands. Several factors have a negative effect on the assessment of the petroleum potential of the southern California borderland. They are: 1. The Neogene section is relatively thin, and the Paleogene section is thin and has a limited distribution. 2. Over large areas, Miocene sediments apparently rest directly on basement. 3. Along much of the Santa Rosa-Cortes Ridge, sediments are uplifted and truncated, exposing Paleogene rocks. 4. Organic content in Paleogene sediments is believed too low to generate large amounts of petroleum. 5. Source rocks are immature, even in sediments as old as Eocene. 6. Burial and thermal history are insufficient for the generaton of hydrocarbons over much of the borderland area. 7. Documented oil and gas seeps are unknown seaward of the Channel Islands. 8. Limited exploratory drilling nearshore, the best prospective area, has not been favorable. 9. Adequate or thick reservoirs of deep-water turbidire origin are not evident. These negative factors are partly offset by the following positive factors: 1. Miocene sediments are excellent potential source rocks. 2. Asphaltic oil in rocks of Monterey-type lithology may be generated at lower than normal temperatures. 3. Shallow-water sands of reservoir quality possibly are present in the uppermost Paleogene and lowermost Neogene section. 4. Potential structural traps may be analogous to major structural producing trends onshore. 5. Fractured shale reservoirs may be present along flanks of major banks and ridges. 6. Buried and unsampled Paleogene and Late Cretaceous sediments may be better source rocks than those sampled and measured. The southern California borderland, although a part of a locally rich petroliferous region, has no known basins with geologic histories or characteristics similar to the Los Angeles and Ventura basins. Some offshore basins are similar to less endowed basins in terms of petroleum potential such as the Santa Maria and Salinas basins. Areas with the best petroleum potential may be in deep water (greater than 500 m). Some of the past high estimates of the petroleum potential may have been overstated; the existing geologic data tend to substantiate low estimates of 0.6 to 5.8 billion barrels of oil and 0.6 to 5.8 trillion ft3 of gas for the southern California borderland at the 5 and 95 percent probability level.

Circular↗

Whitlockite and apatite of surficial phosphate occurrences on Enderbury Island, Phoenix Islands, Pacific Ocean

Whitlockite and apatite are the principal phosphate minerals in the surficial deposits of Enderbury Island; monetite and brushite are present in small amounts. All are derived from the guano of sea birds. The abundance of whitlockite discovered on Enderbury, and reported in samples from Remire Island in the Indian Ocean, indicates that the mineral is probably of common occurrence in young insular phosphate deposits. The composition of whitlockite from Enderbury Island is roughly (Ca, Mg, Sr, Na) 3 (PO 4 , CO 3 ) 2 , similar to the composition indicated for other insular occurrences by the sparse data available. The variety of apatite found on the island is carbonate fluor-hydroxylapatite, low in fluorine content. Whitlockite appears to have formed directly from guano components in surficial aqueous solutions, possibly accompanied by apatite, but changes with time to apatite.

Enderbury Island, Phoenix Islands↗

Guidebook of the western United States: Part A - The northern Pacific route, with a side trip to Yellowstone Park

The United States of America comprise an area so vast in extent and so diverse in natural features as well as in characters due to human agency that the American citizen who knows thoroughly his own country must have traveled widely and observed wisely. To 'know America first' is a patriotic obligation, but to meet this obligation the railroad traveler needs to have his eyes directed toward the more important or essential things within his field of vision and then to have much that he sees explained by what is unseen in the swift passage of the train. Indeed, many things that attract his attention are inexplicable except as the story of the past is available to enable him to interpret the present. Herein lie the value and the charm of history, whether human or geologic. The present stimulus given to travel in the home country will encourage many thousands of Americans to study geography at first hand. To make this study most profitable the traveler needs a handbook that will answer the questions that come to his mind so readily along the way. Furthermore, the aim of such a guide should be to stimulate the eye in the selection of the essentials in the scene that so rapidly unfolds itself in the crossing of the continent. In recognition of the opportunity afforded in 1915 to render service of this kind to an unusually large number of American citizens, as well as to visitors from other countries, the United States Geological Survey has prepared a series of guidebooks covering four of the older railroad routes west of the Mississippi. These books are educational in purpose, but the method adopted is to entertain the traveler by making more interesting what he sees from the car window. The plan of the series is to present authoritative information that may enable the reader to realize adequately the scenic and material resources of the region he is traversing, to comprehend correctly the basis of its development, and above all to appreciate keenly the real value of the country he looks out upon, not as so many square miles of territory represented on the map in a railroad folder by meaningless spaces, but rather as land - real estate, if you please - varying widely in present appearance because differing largely in its history, and characterized by even greater variation in values because possessing diversified natural resources. One region may be such as to afford a livelihood for only a pastoral people; another may present opportunity for intensive agriculture; still another may contain hidden stores of mineral wealth that may attract large industrial development; and, taken together, these varied resources afford the promise of long-continued prosperity for this or that State. Items of interest in civic development or references to significant epochs in the record of discovery and settlement may be interspersed with explanations of mountain and valley or statements of geologic history. In a broad way the story of the West is a unit, and every chapter should be told in order to meet fully the needs of the tourist who aims to understand all that he sees. To such a traveler-reader this series of guidebooks is addressed. To this interpretation of our own country the United States Geological Survey brings the accumulated data of decades of pioneering investigation, and the present contribution is only one type of return to the public which has supported this scientific work under the Federal Government.

Bulletin↗

Digital mine claim density map for Federal lands in Montana, 1996

This report describes a digital map and data files generated by the U.S. Geological Survey (USGS) to provide digital spatial mining claim information for Federal lands in Montana as of March, 1997. Statewide, 159,704 claims had been recorded with the Bureau of Land Management since 1975. Of those claims, 21,055 (13%) are still actively held while 138,649 (87%) are closed and are no longer held. Montana contains 147,704 sections (usually 1 section equals 1 square mile) in the Public Land Survey System, with 8,569 sections (6%) containing claim data. Of the sections with claim data, 2,192 (26%) contain actively held claims. Only 1.5% of Montana’s sections contains actively held mining claims. The four types of mining claim are lode, placer, mill, and tunnel. A mill claim may be as much as 5 acres or 1/128th (0.78125%) of a square mile. A lode claim, about 20 acres, would cover 1/32nd (3.125%) of a square mile. Mining claim data is earth science information deemed to be relevant to the assessment of historic, current, and future ecological, economic, and social systems. The digital map and data files that are available in this report are suitable for geographic information system (GIS)-based regional assessments at a scale of 1:100,000 or smaller. Campbell (1996) summarized the methodology and GIS techniques that were used to produce the mining claim density map of the Pacific Northwest. Campbell and Hyndman (1997) displayed mining claim information for the Pacific Northwest that used data acquired in 1994. Appendix A of this report lists the attribute data for the digital data files. Appendix B contains the GIS metadata.

Montana↗

Invasive crayfish in the Pacific Northwest

Invasive species directly threaten freshwater biodiversity, particularly in regions of high aquatic richness like the Pacific Northwest (PNW). Crayfish are among the most impactful of aquatic invasive species. Invasive crayfish are considered ecosystem engineers due to their ability to alter basic wetland properties, such as reducing vegetation and bank integrity and increasing turbidity. In areas where invasion is advanced, crayfish pose major economic and ecological problems. Crayfish have been widely introduced for aquaculture and can become established in a wide range of habitat conditions. They also may be spread by anglers who use them as bait. Several non-native crayfish are established in the PNW, but the extent of their invasion is not well known. At least two groups are known from scattered sites in the PNW, and both have proven problematic for native species in other parts of the world: Red swamp crayfish ( Procambarus clarkii ) and several members of the genus Orconectes . Both groups are native to areas of the eastern United States. Both are identified globally as invasives of high concern and appear on the Oregon Department of Fish and Wildlife's "10 Most Unwanted" and the U.S. Forest Service's "Primary Species of Concern" lists for stream systems in the PNW. Despite the presence of introduced crayfish in the PNW and their high potential for negative effects, the scope of their invasion and effects on aquatic systems are not well known. The U.S. Geological Survey (USGS), along with local groups and state agencies, is working to clarify crayfish distribution and to outline which basins may not yet be invaded. Other goals are to improve understanding of habitat associations of invasive crayfish and their potential effects on native crayfish.

Pacific Northwest↗

Washington and Landsat

Washington is a State of untamed wonders, from its ruggedly beautiful coastline to the volcanic peaks of the Cascades. “The Evergreen State” is also a State of contrasts, home to rainforests west of the Cascades and deserts to the east. Half of Washington is forested, and its orchards grow more than one-half of the apples sold in the United States. Rivers are important to the State, particularly the Columbia River, the largest North American river that flows into the Pacific Ocean. Dozens of dams have been constructed in the river basin, including the largest hydroelectric producer in the Nation, the Grand Coulee Dam. Washington’s diverse landscapes also change in various ways over time. Some are relatively steady, like urban expansion in the populous Puget Sound region. Others can be sudden, like the Mount Saint Helens eruption in 1980—one of the largest volcanic eruptions that caused the largest landslide in U.S. history. Although landscape change may be hard to detect at any one time, the Landsat program provides an objective view of it over decades. Landsat not only allows one to see what Mount Saint Helens looked like before and after the eruption, but also how the area has evolved since. Here are a few examples of how Landsat benefits Washington.

Washington↗

Real-time control of the robotic lunar observatory telescope

The US Geological Survey operates an automated observatory dedicated to the radiometry of the Moon with the objective of developing a multispectral, spatially resolved photometric model of the Moon to be used in the calibration of Earth-orbiting spacecraft. Interference filters are used with two imaging instruments to observe the Moon in 32 passbands from 350-2500 nm. Three computers control the telescope mount and instruments with a fourth computer acting as a master system to control all observation activities. Real-time control software has been written to operate the instrumentation and to automate the observing process. The observing software algorithms use information including the positions of objects in the sky, the phase of the Moon, and the times of evening and morning twilight to decide how to observe program objects. The observatory has been operating in a routine mode since late 1995 and is expected to continue through at least 2002 without significant modifications.

Publications of the Astronomical Society of the Pa↗

History of the topographic branch (division)

From a very early period of the world's existence, man has endeavored to represent the earth's surface in a graphic form for the information of his fellow men, realizing that no oral or written description is capable of setting forth topographic facts so vividly and so clearly as a map. Mapping of the areas of the United States began with the charting of portions of its coast line by early explorers; the need for topographic maps was first recognized during the war of the Colonies for independence from Great Britain. On July 22, 1777, Congress authorized General Washington to appoint: 'Mr. Robert Erskine, or any other person that he may think proper, geographer and surveyor of the roads, to take sketches of the country and the seat of war.' By several acts during the Revolutionary War, Congress provided 'geographers' for the armies of the United States, some of them with the pay of a colonel, amounting to $60 a month and allowances. At the end of the War, a resolution of May 27, 1785, continued in service the 'geographer of the United States' for a period of 3 years. The War Department recognized the necessity of 'geographical engineers' and requested Congress to authorize their appointment, but it was not until the next war that Congress authorized on March 3, 1813, the appointment of eight topographic engineers and eight assistant topographic engineers under the direction of the General Staff of the Army. These officers formed the nucleus of the first Corps of Topographic Engineers in the Army, and that Corps continued to function as an independent unit until it was absorbed by the Corps of Engineers in 1863, during the Civil War between the States. Between the Louisiana Purchase in 1803, and the outbreak of the Civil War, more than a hundred exploring and mapping expeditions were sent into the vast territory lying west of the Mississippi River to investigate the natural resources of this newly acquired country and to find possible locations for wagon roads to the Pacific Coast. These expeditions were sent out by the War Department and were in charge of Army officers. It is interesting to note that such generals as George G. Meade, J.C. Fremont, Joseph E. Johnston, W.F. Smith, John Pope, A.W. Whipple, J.G. Parke, G.K. Warren, and H.L. Abbott, all officers of the Corps of Topographic Engineers, had charge of expeditions and were among our earliest map makers. Unfortunately, the data obtained by these editions were not of sufficient accuracy to serve as a basis for topographic maps of value other than in illustrating their voluminous reports. During this early period, numerous surveys were undertaken within the original Thirteen States, by the Federal government and by the States. The most important were those carried on by the U.S. Coast and Geodetic Survey, which made an accurate survey of the Atlantic Coastline and established a triangulation system that was of so high a standard as to constitute the first and only accurate data for topographic mapping obtained before the Civil War. The Coast and Geodetic Survey, while charting the coast and rivers, also mapped a strip of country extending a few miles inland, the relief being shown by means of hachures, together with contour lines, until 1846 when the first government topographic map on which the relief was shown by contours alone was made, covering an area in the vicinity of Boston Harbor. In 1835, however, the Geological and Topographical Survey of Maryland had issued a map on which the relief was shown by contours, and this is believed to be the first contoured map issued in this country. The outbreak of the Civil War stopped all mapping activities other than those needed by the U.S. Army. During the war, topographic surveys were carried on throughout the war zone under the supervision of the Corps of Engineers, the topographers being civilian employees. After the war, the country west of the Mississippi again became the center of the mapping activities

Circular↗

Permian paleogeography of the Arctic

Three large land areas were dominant in the Arctic during the Permian: Fennoscandia, central and southern Siberia (Angara), and Canada. Smaller landmasses were in China, the Seward-Chukotskiy region, northern and eastern Siberia, and near Alaska. Coal deposits and strata bearing land plants covered a large area in central Siberia; saline basins containing red beds formed in the Zechstein, Perm, and West Texas basins as the seas withdrew, generally in the later Permian. Eugeosynclinal troughs, apparently limited to the Pacific border regions, were marked by volcanism and deposition of predominantly clastic sediments in many areas. Platform and miogeosynclinal deposits, dominated by carbonate rocks, preceded saline deposition in the basins and persisted on shallow shelves adjacent to the geosynclines. The Arctic Permian marine fauna evolved in middle Permian time because of partial isolation of the Arctic areas from the southern ocean. Endemism, latitudinal temperature controls, and the effect of ocean currents explain in large part the faunal patterns in Permian seas. Post-Permian tectonic movements account for anomalies in the present positions of some rock sequences and fossils. Northeasterly drift and counterclockwise rotation of the northern landmasses are suggested. Right-lateral shear along the southern edge of Asia is supported, followed by northward movement of peninsular India.

Journal of Research of the U.S. Geological Survey↗