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At least 73 records · Page 4Linked to original sources

Characteristics and sources of intense geoelectric fields in the United States: Comparative analysis of multiple geomagnetic storms

Intense geoelectric fields during geomagnetic storms drive geomagnetically induced currents in power grids and other infrastructure, yet there are limited direct measurements of these storm-time geoelectric fields. Moreover, most previous studies examining storm-time geoelectric fields focused on single events or small geographic regions, making it difficult to determine the typical source(s) of intense geoelectric fields. We perform the first comparative analysis of (a) the sources of intense geoelectric fields over multiple geomagnetic storms, (b) using 1-s cadence geoelectric field measurements made at (c) magnetotelluric survey sites distributed widely across the United States. Temporally localized intense perturbations in measured geoelectric fields with prominences (a measure of the relative amplitude of geoelectric field enhancement above the surrounding signal) of at least 500 mV/km were detected during geomagnetic storms with Dst minima ( Dst min ) of less than −100 nT from 2006 to 2019. Most of the intense geoelectric fields were observed in resistive regions with magnetic latitudes greater than 55° even though we have 167 sites located at lower latitudes during geomagnetic storms of −200 nT ≤ Dst min < −100 nT . Our study indicates intense short-lived (<1 min) and geoelectric field perturbations with periods on the order of 1–2 min are common. Most of these perturbations cannot be resolved with 1-min data because they correspond to higher frequency or impulsive phenomena that vary on timescales shorter than that sampling interval. The sources of geomagnetic perturbations inducing these intense geoelectric fields include interplanetary shocks, interplanetary magnetic field turnings, substorms, and ultralow frequency waves.

Space Weather

Mapping a magnetic superstorm: March 1989 geoelectric hazards and impacts on United States power systems

A study is made of the relationships between geomagnetic and geoelectric field variation, Earth-surface impedance, and operational interference (anomalies) experienced on electric-power systems across the contiguous United States during the March 13-14, 1989 magnetic storm. For this, a 1-minute-resolution sequence of geomagnetic field maps is constructed from magnetometer time series acquired at ground-based observatories. Induced geoelectric field maps are calculated by convolving the geomagnetic maps with magnetotelluric impedance tensors. During the storm, anomalies were concentrated where the lithosphere is electrically resistive, and when and where geoelectric field amplitudes were high. This was particularly true in the Mid-Atlantic, Northeast, and the upper Midwest. Few anomalies were experienced in other parts of the Midwest and across much of the West, where the lithosphere is more conductive, and when and where geoelectric field amplitudes were low. Peak 1-minute-resolution geoelectric field amplitude ranged from 21.66 V/km in Maine and 19.02 V/km in Virginia to < 0.02 V/km in Idaho. Latitude-dependent organization of geoelectric hazards by auroral-zone electrojet currents is detectable, but it is much weaker than geographic organization due to surface impedance. Hazardous geoelectric fields were induced during different storm phases, at different local times, and, by inference, by a variety of ionospheric currents. Compared to geoelectric field amplitudes realized across the United States during March 1989, hazard maps used by utility companies to estimate systems exposure have much less geographic detail and a much smaller maximum-to-minimum range in geoelectric field amplitude. Future research will benet from denser geomagnetic monitoring, additional magnetotelluric surveying, and access to power-system impact data.

Space Weather

Estimating geomagnetically induced currents in southern Brazil using 3-D Earth resistivity model

Geomagnetically induced currents (GICs) result from the interaction of the time variation of ground magnetic field during a geomagnetic disturbance with the Earth's deep electrical resistivity structure. In this study, we simulate induced GICs in a hypothetical representation of a low-latitude power transmission network located mainly over the large Paleozoic Paraná basin (PB) in southern Brazil. Two intense geomagnetic storms in June and December 2015 are chosen and geoelectric fields are calculated by convolving a three-dimensional (3-D) Earth resistivity model with recorded geomagnetic variations. The dB / dt proxy often used to characterize GIC activity fails during the June storm mainly due to the relationship of the instantaneous geoelectric field to previous magnetic field values. Precise resistances of network components are unknown, so assumptions are made for calculating GIC flows from the derived geoelectric field. The largest GICs are modeled in regions of low conductance in the 3-D resistivity model, concentrated in an isolated substation at the northern edge of the network and in a cluster of substations in its central part where the east-west (E-W) oriented transmission lines coincide with the orientation of the instantaneous geoelectric field. The maximum magnitude of the modeled GIC was obtained during the main phase of the June storm, modeled at a northern substation, while the lowest magnitudes were found over prominent crustal anomalies along the PB axis and bordering the continental margin. The simulation results will be used to prospect the optimal substations for installation of GIC monitoring equipment.

Space Weather

Determining ULF wave contributions to geomagnetically induced currents: The important role of sampling rate

Past studies found that large-amplitude geomagnetically induced current (GIC) related to magnetospheric Ultra Low Frequency (ULF) waves tend to be associated with periods >120 s at magnetic latitudes >60°, with comparatively (a) smaller GIC amplitudes at lower latitudes and shorter wave periods and (b) fewer reports of waves associated with GIC at lower latitudes. ULF wave periods generally decrease with decreasing latitude; thus, we examine whether these trends might be due, in part, to the undersampling of ULF wave fields in commonly available measurements with 60 s sampling intervals. We use geomagnetic field ( B ), geoelectric field ( E ), and GIC measurements with 0.5–10 s sampling intervals during the 29–31 October 2003 geomagnetic storm to show that waves with periods <∼120 s were present during times with the largest amplitude E and GIC variations. These waves contributed to roughly half the maximum E and GIC values, including during times with the maximum GIC values reported over a 14-year monitoring interval in New Zealand. The undersampling of wave periods <120 s in 60 s measurements can preclude identification of the cause of the GIC during some time intervals. These results indicate (a) ULF waves with periods ≤120 s are an important contributor to large amplitude GIC variations, (b) the use of 0.1–1.0 Hz sampling rates reveals their contributions to B , E , and GIC, and (c) these waves' contributions are likely strongest at magnetic latitudes <60° where ULF waves often have periods <120 s.

Space Weather

Multi-scale intense geoelectric and geomagnetic field perturbations observed after an interplanetary magnetic field turning

Intense geoelectric fields during geomagnetic storms generate geomagnetically induced currents in power grids and other infrastructure, necessitating an understanding of their causes, for example, through coordinated space and ground observations. This study investigates localized intense geoelectric ( E ) and geomagnetic ( B ) field perturbations following an Interplanetary Magnetic Field (IMF) turning during a geomagnetic storm on 25 October 2011. Observations from EarthScope magnetotelluric sites in the upper Midwest United States revealed shorter period ( ∼ 1 min) ultra-low-frequency (ULF) waves superimposed on longer period ( ∼ 10 min) perturbations in both E and B fields. These sites, located at ∼ 19 hr magnetic local time and 56 −57 ° magnetic latitude, recorded large amplitude E and B perturbations. Ground-based all-sky imagers showed auroral brightening with sunward and poleward propagation, while upstream spacecraft linked the perturbations to an IMF turning and solar wind dynamic pressure impulse. The longer-period E and B field perturbations likely stem from localized ionospheric currents tied to substorm auroral activity post-IMF turning. The combination of ionospheric currents, ULF waves, and the Earth's varying conductivity produces intense geoelectric fields of ≥ 2 V/km in the upper Midwest. A comparison using input data and software compatible with the NOAA/USGS geoelectric field nowcast model revealed its limitations in capturing such events due to the temporal and spatial resolution of the underlying data. Using 1-s geomagnetic field data can improve geoelectric field models by capturing short-period and large spatial scale waves, although localized magnetic perturbations remain underestimated due to insufficient ground magnetometer density.

Space Weather

What is the lowest latitude of discrete aurorae during superstorms?

From a survey of published accounts of visual sightings of aurorae, a compilation is presented of the lowest identified geomagnetic latitude at which discrete aurorae were seen at local zenith during magnetic storms having intensities with maximum − Dst > 200 nT. The compilation includes data for the superstorms of 2 September 1859, 4 February 1872, and 15 May 1921. A statistical model is developed representing the equatorward boundary of discrete aurorae versus storm intensity. The model indicates that a once-per-century storm would likely induce discrete aurorae at zenith down to a geomagnetic latitude of 34 ° . Insofar as aurorae can be taken as a proxy for electrojet currents, such a storm would expose many nighttime electric-power systems, in the contiguous United States or Europe, to high levels of geomagnetic disturbance. A Carrington-class storm would induce discrete aurorae down to 24 ° . These exposures are much greater than those indicated in recent numerical simulations of extreme magnetic storms. Using the model to infer storm intensity from reports of low-latitude aurorae, a storm on 28 August 1859, likely had maximum − Dst = 673 nT. That this storm occurred just a few days before the Carrington storm of 2 September (maximum − Dst = 964 nT) deserves attention. A storm that occurred on 17 September 1770 is estimated to have had maximum − Dst = 928 nT. The vision of Ezekiel could have been inspired by aurorae from a storm with maximum − Dst = 550 nT.

Space Weather

The impact of the May 1921 superstorm on American telecommunication systems

A compilation is presented of impacts (interference and damage) realized on long-line telegraph and telephone systems across North America during the 13-16 May 1921 magnetic storm. Impacts occurred primarily during local nighttime, after the third of four sudden commencements, and during the storm’s most-prominent main phase. Impacts are attributed to rapid and high-amplitude geomagnetic field variation generated by substorms. This induced potential di erences and between the grounding points of communication networks that were su cient to cause system interference and damage. In the United States, impacts were concentrated in the Midwest and in the East, regions characterized by high electromagnetic surface impedance. Given technological changes, modern telecommunication systems are less exposed to storms like that of May 1921, while power-grid systems are now more exposed to them.

Space Weather

Investigation and hazard assessment of the 2003 and 2007 Staircase Falls rock falls, Yosemite National Park, California, USA

Since 1857 more than 600 rock falls, rock slides, debris slides, and debris flows have been documented in Yosemite National Park, with rock falls in Yosemite Valley representing the majority of the events. On 26 December 2003, a rock fall originating from west of Glacier Point sent approximately 200 m 3 of rock debris down a series of joint-controlled ledges to the floor of Yosemite Valley. The debris impacted talus near the base of Staircase Falls, producing fragments of flying rock that struck occupied cabins in Curry Village. Several years later on 9 June 2007, and again on 26 July 2007, smaller rock falls originated from the same source area. The 26 December 2003 event coincided with a severe winter storm and was likely triggered by precipitation and/or frost wedging, but the 9 June and 26 July 2007 events lack recognizable triggering mechanisms. We investigated the geologic and hydrologic factors contributing to the Staircase Falls rock falls, including bedrock lithology, weathering, joint spacing and orientations, and hydrologic processes affecting slope stability. We improved upon previous geomorphic assessment of rock-fall hazards, based on a shadow angle approach, by using STONE, a three-dimensional rock-fall simulation computer program. STONE produced simulated rock-fall runout patterns similar to the mapped extent of the 2003 and 2007 events, allowing us to simulate potential future rock falls from the Staircase Falls detachment area. Observations of recent rock falls, mapping of rock debris, and simulations of rock fall runouts beneath the Staircase Falls detachment area suggest that rock-fall hazard zones extend farther downslope than the extent previously defined by mapped surface talus deposits.

Natural Hazards and Earth System Sciences

Lithological influences on contemporary and long-term regolith weathering at the Luquillo Critical Zone Observatory

Lithologic differences give rise to the differential weatherability of the Earth’s surface and globally variable silicate weathering fluxes, which provide an important negative feedback on climate over geologic timescales. To isolate the influence of lithology on weathering rates and mechanisms, we compare two nearby catchments in the Luquillo Critical Zone Observatory in Puerto Rico, which have similar climate history, relief and vegetation, but differ in bedrock lithology. Regolith and pore water samples with depth were collected from two ridgetops and at three sites along a slope transect in the volcaniclastic Bisley catchment and compared to existing data from the granitic Río Icacos catchment. The depth variations of solid-state and pore water chemistry and quantitative mineralogy were used to calculate mass transfer (tau) and weathering solute profiles, which in turn were used to determine weathering mechanisms and to estimate weathering rates. Regolith formed on both lithologies is highly leached of most labile elements, although Mg and K are less depleted in the granitic than in the volcaniclastic profiles, reflecting residual biotite in the granitic regolith not present in the volcaniclastics. Profiles of both lithologies that terminate at bedrock corestones are less weathered at depth, near the rock-regolith interfaces. Mg fluxes in the volcaniclastics derive primarily from dissolution of chlorite near the rock-regolith interface and from dissolution of illite and secondary phases in the upper regolith, whereas in the granitic profile, Mg and K fluxes derive from biotite dissolution. Long-term mineral dissolution rates and weathering fluxes were determined by integrating mass losses over the thickness of solid-state weathering fronts, and are therefore averages over the timescale of regolith development. Resulting long-term dissolution rates for minerals in the volcaniclastic regolith include chlorite: 8.9 × 10 −14 mol m −2 s −1 , illite: 2.1 × 10 −14 mol m −2 s −1 and kaolinite: 4.0 × 10 −14 mol m −2 s −1 . Long-term weathering fluxes are several orders of magnitude lower in the granitic regolith than in the volcaniclastic, despite higher abundances of several elements in the granitic regolith. Contemporary weathering fluxes were determined from net (rain-corrected) solute profiles and thus represent rates over the residence time of water in the regolith. Contemporary weathering fluxes within the granitic regolith are similar to the long-term fluxes. In contrast, the long-term fluxes are faster than the contemporary fluxes in the volcaniclastic regolith. Contemporary fluxes in the granitic regolith are generally also slightly faster than in the volcaniclastic. The differences in weathering fluxes over space and time between these two watersheds indicate significant lithologic control of chemical weathering mechanisms and rates.

Bisley watersheds

Interannual variation in climate contributes to contingency in post-fire restoration outcomes in seeded sagebrush steppe

Interannual variation, especially weather, is an often-cited reason for restoration “failures”; yet its importance is difficult to experimentally isolate across broad spatiotemporal extents, due to correlations between weather and site characteristics. We examined post-fire treatments within sagebrush-steppe ecosystems to ask: (1) Is weather following seeding efforts a primary reason why restoration outcomes depart from predictions? and (2) Does the management-relevance of weather differ across space and with time since treatment? Our analysis quantified range-wide patterns of sagebrush ( Artemisia spp.) recovery, by integrating long-term records of restoration and annual vegetation cover estimates from satellite imagery following thousands of post-fire seeding treatments from 1984 to 2005. Across the Great Basin, sagebrush growth increased in wetter, cooler springs; however, the importance of spring weather varied with sites' long-term climates, suggesting differing ecophysiological limitations across sagebrush's range. Incorporation of spring weather, including from the “planting year,” improved predictions of sagebrush recovery, but these advances were small compared to contributions of time-invariant site characteristics. Given extreme weather conditions threatening this ecosystem, explicit consideration of weather could improve the allocation of management resources, such as by identifying areas requiring repeated treatments; but improved forecasts of shifting mean conditions with climate change may more significantly aid the prediction of sagebrush recovery.

California, Colorado, Idaho, Nevada, Oregon, Utah,

Does post-fire recovery of native grasses across abiotic-stress and invasive-grass gradients match theoretical predictions, in sagebrush steppe?

Interactions among species can strongly affect how plant communities reassemble after disturbances, and variability among native and invasive species across environmental gradients must be known in order to manage plant-community recovery. The stress-gradient hypothesis (SGH) predicts species interactions will be more positive in abiotically stressful conditions and conversely, more negative in benign conditions, and the resistance-resilience concept (RRC) may predict where and when invasions will complicate ecosystem recovery. We evaluated how abiotic stress and biotic interactions determine native bunchgrass abundances across environmental gradients using additive models of cover data from over 500 plots re-measured annually for 5 years as they recovered naturally (untreated) after a megafire (>100,000 ha) in sagebrush steppe threated by the invasive-grass and fire cycle. The species included native bunchgrasses, bluebunch wheatgrass ( Pseudoroegneria spicata ) and Sandberg bluegrass ( Poa secunda ), and the exotic and invasive annual cheatgrass ( Bromus tectorum ). We asked whether associations between native bunchgrasses and cheatgrass were context dependent and if the SGH could help predict interspecific associations between species in a semiarid environment. The association of cover of each native bunchgrass to cheatgrass was not uniform, and instead varied from neutral to negative across environmental gradients in both space and time (i.e., weather), to which the species had nonlinear and sometimes threshold-like responses. Consistent with the SGH, bunchgrasses were generally more negatively related to cheatgrass (i.e., putative competition) in conditions which increased the cover of each bunchgrass – which were higher elevations and temperatures and lower solar heatload, and, for Sandberg bluegrass, drier conditions. There were few indications of positive interactions (i.e., putative facilitation) in stressful conditions, and instead associations were again negative, albeit weaker, in some of the conditions evaluated. Synthesis . These findings demonstrate that the negative association among native bunchgrasses and cheatgrass is context dependent and is determined by the abundances of both interacting species which is driven by environmental stress. This led to a hypothesis that together Sandberg bluegrass and bluebunch wheatgrass provide complementary resistance to cheatgrass at the landscape level, despite their different ecology and contrary to the management preference for bluebunch wheatgrass. Sandberg bluegrass might be critical for providing resistance against cheatgrass where invasion potential is greatest, i.e., at lower elevations, where bluebunch wheatgrass is scarce.

Global Ecology and Conservation

Influence of habitat heterogeneity on distribution, occupancy patterns, and productivity of breeding peregrine falcons in central West Greenland

We used occupancy and productivity data collected at 67 cliffs used for nesting from 1972 to 1999 to assess patterns of distribution and nest-site selection in an increasing population of Peregrine Falcons (Falco peregrinus) in central West Greenland. Peregrine Falcons breeding at traditionally occupied cliffs used for nesting had significantly lower variation in productivity and thus these cliffs were better quality sites. This indicates that Peregrine Falcons occupied cliffs according to a pattern of despotic distribution. Falcons breeding at cliffs that were consistently occupied during the breeding season had higher average productivity and lower variation in productivity than falcons at inconsistently occupied cliffs, and thus consistent occupancy also was indicative of cliff quality. Features of high quality habitat included tall cliffs, greater change in elevation from the lowest point within 3 km of the cliff to the cliff top (elevation gain), and protection from weather on the eyrie ledge. Spacing of suitable and occupied cliffs also was an important feature, and the best cliffs generally were more isolated. Increased spacing was likely a mechanism for reducing intraspecific competition. Our results suggest that Peregrine Falcons use a resource defense strategy to compete for better quality habitats and may use spacing and physical features of a nest site to identify good quality breeding habitat. ?? The Cooper Ornithological Society 2006.

Condor

Fire activity as a function of fire–weather seasonal severity and antecedent climate across spatial scales in southern Europe and Pacific western USA

Climate has a strong influence on fire activity, varying across time and space. We analyzed the relationships between fire&ndash;weather conditions during the main fire season and antecedent water-balance conditions and fires in two Mediterranean-type regions with contrasted management histories: five southern countries of the European Union (EUMED)(all fires); the Pacific western coast of the USA (California and Oregon, PWUSA)(national forest fires). Total number of fires (&ge;1 ha), number of large fires (&ge;100 ha) and area burned were related to mean seasonal fire weather index (FWI), number of days over the 90th percentile of the FWI, and to the standardized precipitation-evapotranspiration index (SPEI) from the preceding 3 (spring) or 8 (autumn through spring) months. Calculations were made at three spatial aggregations in each area, and models related first-difference (year-to-year change) of fires and FWI/climate variables to minimize autocorrelation. An increase in mean seasonal FWI resulted in increases in the three fire variables across spatial scales in both regions. SPEI contributed little to explain fires, with few exceptions. Negative water-balance (dry) conditions from autumn through spring (SPEI8) were generally more important than positive conditions (moist) in spring (SPEI3), both of which contributed positively to fires. The R2 of the models generally improved with increasing area of aggregation. For total number of fires and area burned, the R2 of the models tended to decrease with increasing mean seasonal FWI. Thus, fires were more susceptible to change with climate variability in areas with less amenable conditions for fires (lower FWI) than in areas with higher mean FWI values. The relationships were similar in both regions, albeit weaker in PWUSA, probably due to the wider latitudinal gradient covered in PWUSA than in EUMED. The large variance explained by some of the models indicates that large-scale seasonal forecast could help anticipating fire activity in the investigated areas.

California, Oregon

Relative energy production determines effect of repowering on wildlife mortality at wind energy facilities

Reduction in wildlife mortality is often cited as a potential advantage to repowering wind facilities, that is, replacing smaller, lower capacity, closely spaced turbines, with larger, higher capacity ones, more widely spaced. Wildlife mortality rates, however, are affected by more than just size and spacing of turbines, varying with turbine operation, seasonal and daily weather and habitat, all of which can confound our ability to accurately measure the effect of repowering on wildlife mortality rates. We investigated the effect of repowering on wildlife mortality rates in a study conducted near Palm Springs, CA. We controlled for confounding effects of weather and habitat by measuring turbine‐caused wildlife mortality rates over a range of turbine sizes and spacing, all within the same time period, habitat and local weather conditions. We controlled for differences in turbine operation by standardizing mortality rate per unit energy produced. We found that avian and bat mortality rate was constant per unit of energy produced, across all sizes and spacings of turbines. Synthesis and applications . In the context of repowering a wind facility, our results suggest that the relative amount of energy produced, rather than simply the size, spacing or nameplate capacity of the replacement turbines, determines the relative rate of mortality prior to and after repowering. Consequently, in a given location, newer turbines would be expected to be less harmful to wildlife only if they produced less energy than the older models they replace. The implications are far‐reaching as 18% of US and 8% of world‐wide wind power capacity will likely be considered for repowering within ~5 years.

California

Steeply dipping heaving bedrock, Colorado: Part 1 - Heave features and physical geological framework

Differentially heaving bedrock has caused severe damage near the Denver metropolitan area. This paper describes heave-feature morphologies, the underlying bedrock framework, and their inter-relationship. The heave features are linear to curvilinear and may attain heights of 0.7 m (2.4 ft), widths of 58 m (190 ft), and lengths of 1,067 m (3,500 ft). They are nearly symmetrical to highly asymmetrical in cross section, with width-to-height ratios of 45:1 to 400:1, and most are oriented parallel with the mountain front. The bedrock consists of Mesozoic sedimentary formations having dip angles of 30 degrees to vertical to overturned. Mixed claystone-siltstone bedding sequences up to 36-m (118-ft) thick are common in the heave-prone areas, and interbeds of bentonite, limestone, or sandstone may be present. Highly fractured zones of weathered to variably weathered claystone extend to depths of 19.5 to 22.3 m (64 to 73 ft). Fracture spacings are 0.1 to 0.2 m (0.3 to 0.7 ft) in the weathered and variably weathered bedrock and up to 0.75 m (2.5 ft) in the underlying, unweathered bedrock. Curvilinear shear planes in the weathered claystone show thrust or reverse offsets up to 1.2 m (3.9 ft). Three associations between heave-feature morphologies and the geological framework are recognized: (1) Linear, symmetrical to asymmetrical heaves are associated with primary bedding composition changes. (2) Linear, highly asymmetrical heaves are associated with shear planes along bedding. (3) Curvi-linear, highly asymmetrical heaves are associated with bedding-oblique shear planes.

Environmental & Engineering Geoscience

Insect community responses to climate and weather across elevation gradients in the Sagebrush Steppe, eastern Oregon

Executive Summary In this study, the U.S. Geological Survey investigated the use of insects as bioindicators of climate change in sagebrush steppe shrublands and grasslands in the Upper Columbia Basin. The research was conducted in the Stinkingwater and Pueblo mountain ranges in eastern Oregon on lands administered by the Bureau of Land Management. We used a “space-for-time” sampling design that related insect communities to climate and weather along elevation gradients. We analyzed our insect dataset at three levels of organization: (1) whole-community, (2) feeding guilds (detritivores, herbivores, nectarivores, parasites, and predators), and (3) orders within nectarivores (i.e., pollinators). We captured 59,517 insects from 176 families and 10 orders at the Pueblo Mountains study area and 112,305 insects from 185 families and 11 orders at the Stinkingwater Mountains study area in 2012 and 2013. Of all the individuals captured at the Stinkingwater Mountains study area, 77,688 were from the family Cecidomyiidae (Diptera, gall gnats). We found that the composition of insect communities was associated with variability in long-term (30-yr) temperature and interannual fluctuations in temperature. We found that captures of certain fly, bee, moth, and butterfly pollinators were more strongly associated with some climate and vegetation variables than others. We found that timing of emergence, as measured by first detection of families, was associated with elevation. When analyzed by feeding guilds, we found that all guilds emerged later at high elevations except for detritivores, which emerged earlier at high elevations. The abundance of most taxa varied through time, mostly in response to temperature and precipitation. Of the pollinators, bees (particularly, Halictidae and Megachilidae) peaked in abundance in late June and early July, whereas butterflies and moths peaked in August. Flies peaked in abundance in July. Overall, our interpretation of these patterns is that insect communities respond positively and negatively to weather and local vegetation more than to long-term climate. Given increasing variability in weather and high probability of extreme weather events, insect communities in sagebrush steppe also may experience considerable fluctuations in composition and abundance, as well as phenology. These findings have implications for many ecosystem services, including pollination, decomposition, and food resources for predatory birds and other vertebrates.

Oregon

AVO-G2S: A modified, open-source Ground-to-Space atmospheric specification for infrasound modeling

To facilitate infrasound propagation studies, we present AVO-G2S, an open-source, Ground-to-Space model which provides temperature and wind specifications from the surface to an altitude of 225 km. This model provides a means of smoothly characterizing atmospheric conditions using multiple numerical weather prediction forecast and reanalysis products, along with upper-atmospheric empirical models. Regional atmospheric reconstructions only require a limited domain and can utilize high-resolution numerical weather prediction forecasts typically provided on a projected grid. The use of a projected grid allows for faster spectral transform libraries to be employed. The AVO-G2S software can also provide global reconstructions that rely on global numerical weather prediction products and spherical harmonic decompositions. AVO-G2S is inspired by a global Ground-to-Space model developed by the Naval Research Laboratory, and relies on their empirical descriptions of upper-atmospheric conditions. Alaska Volcano Observatory has implemented this model for near-real-time infrasound monitoring of volcanic eruptions and historical research projects.

Computers & Geosciences

Making ‘chemical cocktails’ – Evolution of urban geochemical processes across the periodic table of elements

Urbanization contributes to the formation of novel elemental combinations and signatures in terrestrial and aquatic watersheds, also known as ‘chemical cocktails.’ The composition of chemical cocktails evolves across space and time due to: (1) elevated concentrations from anthropogenic sources, (2) accelerated weathering and corrosion of the built environment, (3) increased drainage density and intensification of urban water conveyance systems, and (4) enhanced rates of geochemical transformations due to changes in temperature, ionic strength, pH, and redox potentials. Characterizing chemical cocktails and underlying geochemical processes is necessary for: (1) tracking pollution sources using complex chemical mixtures instead of individual elements or compounds; (2) developing new strategies for co-managing groups of contaminants; (3) identifying proxies for predicting transport of chemical mixtures using continuous sensor data; and (4) determining whether interactive effects of chemical cocktails produce ecosystem-scale impacts greater than the sum of individual chemical stressors. First, we discuss some unique urban geochemical processes which form chemical cocktails, such as urban soil formation, human-accelerated weathering, urban acidification-alkalinization, and Freshwater Salinization Syndrome. Second, we review and synthesize global patterns in concentrations of major ions, carbon and nutrients, and trace elements in urban streams across different world regions and make comparisons with reference conditions. In addition to our global analysis, we highlight examples from watersheds in the Baltimore-Washington DC area, USA, which show increased transport of major ions, trace metals, and nutrients across streams draining a well-defined land-use gradient. Urbanization increased the concentrations of multiple major and trace elements in streams draining human-dominated watersheds compared to reference conditions. Chemical cocktails of major and trace elements were formed over diurnal cycles coinciding with changes in streamflow, dissolved oxygen, pH, and other variables measured by high-frequency sensors. Some chemical cocktails of major and trace elements were also significantly related to specific conductance (p < 0.05), which can be measured by sensors. Concentrations of major and trace elements increased, peaked, or decreased longitudinally along streams as watershed urbanization increased, which is consistent with distinct shifts in chemical mixtures upstream and downstream of other major cities in the world. Our global analysis of urban streams shows that concentrations of multiple elements along the periodic table significantly increase when compared with reference conditions. Furthermore, similar biogeochemical patterns and processes can be grouped among distinct mixtures of elements of major ions, dissolved organic matter, nutrients, and trace elements as chemical cocktails. Chemical cocktails form in urban waters over diurnal cycles, decades, and throughout drainage basins. We conclude our global review and synthesis by proposing strategies for monitoring and managing chemical cocktails using source control, ecosystem restoration, and green infrastructure. We discuss future research directions applying the watershed chemical cocktail approach to diagnose and manage environmental problems. Ultimately, a chemical cocktail approach targeting sources, transport, and transformations of different and distinct elemental combinations is beneficial to more holistically monitor and manage the emerging impacts of chemical mixtures in the world's fresh waters.

Applied Geochemistry