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At least 847 records · Page 47Linked to original sources

The During Nearshore Event Experiment (DUNEX): A collaborative coastal community experiment to address coastal resilience

The During Nearshore Event Experiment (DUNEX) was a large-scale coastal field effort focused on improving understanding of during-storm nearshore processes to ultimately develop predictive technologies, engineering solutions, and actions to enhance coastal resilience. The experiments were conducted on the North Carolina coast by a multidisciplinary group of over 30 research scientists from 18 academic and federal institutions supporting over 30 graduate students and deploying over 300 instruments from 2019 to 2021. The overarching goal of DUNEX was to gather information collaboratively to improve understanding of the interactions of coastal water levels, waves, currents, beach and dune evolution, soil behavior, vegetation, and groundwater during major coastal storms that affect infrastructure, habitats, and communities. In the short term, these high-quality field measurements will lead to better understanding of during-storm processes and impacts and will enhance U.S. academic coastal research programs by providing opportunities for students to learn about field data collection and to potentially analyze data as part of their studies. Longer-term, DUNEX data and outcomes will improve the ability to predict extreme event physical processes and impacts, validate coastal processes numerical models, and improve coastal resilience strategies and communication methods for coastal communities impacted by storms. The purpose of this paper is to describe the motivation for and science goals of the experiment, how stakeholder needs led to these goals, collaborations amongst researchers, and the knowledge gained that will lead to tools to improve coastal resilience. Herein, we first describe how researchers worked with stakeholders to structure their community-driven needs into science-based requirements. Next, we summarize how federal, academic, and stakeholder researchers worked together to design and execute a multi-organizational experiment aligned with those requirements. Finally, we articulate early findings and lessons learned from the experiment. This paper does not summarize all the research findings from DUNEX, as analyses are still ongoing. An American Geophysical Union (AGU) Special Collection on Coastal Storm Research will be published in 2025 including outcomes from DUNEX research.

North Carolina↗

Liquefaction and soil failure during 1994 Northridge earthquake

The 1994 Northridge, Calif., earthquake caused widespread permanent ground deformation on the gently sloping alluvial fan surface of the San Fernando Valley. The ground cracks and distributed deformation damaged both pipelines and surface structures. To evaluate the mechanism of soil failure, detailed subsurface investigations were conducted at four sites. Three sites are underlain by saturated sandy silts with low standard penetration test and cone penetration test values. These soils are similar to those that liquefied during the 1971 San Fernando earthquake, and are shown by widely used empirical relationships to be susceptible to liquefaction. The remaining site is underlain by saturated clay whose undrained shear strength is approximately half the value of the earthquake-induced shear stress at this location. This study demonstrates that the heterogeneous nature of alluvial fan sediments in combination with variations in the ground-water table can be responsible for complex patterns of permanent ground deformation. It may also help to explain some of the spatial variability of strong ground motion observed during the 1994 earthquake.

Journal of Geotechnical and Geoenvironmental Engin↗

Revelations from a single strong-motion record retreived during the 27 June 1998 Adana (Turkey) earthquake

During the 27 June 1998 Adana (Turkey) earthquake, only one strong-motion record was retrieved in the region where the most damage occurred. This single record from the station in Ceyhan, approximately 15 km from the epicenter of that earthquake, exhibits characteristics that are related to the dominant frequencies of the ground and structures. The purpose of this paper is to explain the causes of the damage as inferred from both field observations and the characteristics of a single strong-motion record retrieved from the immediate epicentral area. In the town of Ceyhan there was considerable but selective damage to a significant number of mid-rise (7-12 stories high) buildings. The strong-motion record exhibits dominant frequencies that are typically similar for the mid-rise building structures. This is further supported by spectral ratios derived using Nakamura's method [QR of RTRI, 30 (1989) 25] that facilitates computation of a spectral ratio from a single tri-axial record as the ratio of amplitude spectrum of horizontal component to that of the vertical component [R = H(f)/V(f)]. The correlation between the damage and the characteristics exhibited from the single strong-motion record is remarkable. Although deficient construction practices played a significant role in the extent of damage to the mid-rise buildings, it is clear that site resonance also contributed to the detrimental fate of most of the mid-rise buildings. Therefore, even a single record can be useful to explain the effect of site resonance on building response and performance. Such information can be very useful for developing zonation criteria in similar alluvial valleys. Published by Elsevier Science Ltd.

Soil Dynamics and Earthquake Engineering↗

Geologic and geophysical investigations of Climax Stock intrusive, Nevada

The Climax stock is a composite granitic intrusive of Cretaceous age, composed of quartz monzonite and granodiorite, which intrudes rocks of Paleozoic and Precambrian age. Tertiary volcanic rocks, consisting of ashflow and ash-fall tuffs, and tuffaceous sedimentary rocks overlie the sedimentary rocks and the stock. Erosion has removed much of the Tertiary volcanic rocks. Hydrothermal alteration of quartz monzonite and granodiorite is found mainly along joints and faults and varies from location to location. The Paleozoic carbonate rocks have been thermally and metasomatically altered to marble and tactite as much as 457 m (1,500 ft) from the contact with the stock, although minor discontinuous metasomatic effects are noted in all rocks out to 914 m (3,000 ft). Three major faults which define the Climax area structurally are the Tippinip, Boundary and Yucca faults. North of the junction of the Boundary and Yucca faults, the faults are collectively referred to as the Butte fault. The dominant joint sets and their average attitudes are N. 32? W., 22? NE; N. 60? W., vertical and N. 35? E., vertical. Joints in outcrop are weathered and generally open, but in subsurface, the joints are commonly filled and healed with secondary mineral s. The location of the water table and the degree of saturation of the granitic rocks are presently unknown. Measurement from drill holes indicated that depth to perched water levels ranges from 30 to 244 m (100-800 ft). Recent field investigations have shown the contact between the Pogonip marble and the granodiorite is a contact rather than a fault as previously mapped. The thickness of the weathered granodiorite is estimated to be 8 to 46 m (25 to 150 ft).

Open-File Report↗

Discrete element investigation of the influence of shallow soil density on the manifestations of strike-slip surface fault rupture

This study investigates the influence of soil relative density on strike-slip surface fault rupture manifestations using three-dimensional numerical simulations performed with the discrete element method (DEM). The simulations capture the formation of distinctive fault strands within complex flower structures using tens of millions of grains. The tendency for dense soils to localize shear manifests as multiple localized shear bands within wide zones of deformation in strike-slip fault rupture, whereas diffuse shear deformation develops within narrow zones in loose soils. The spatial extents of soil deformation are consistent between simulations having similar relative densities but with different quantities of grains. However, individual shears are more distinguishable in assemblages of finer grains than in assemblages of coarser grains. The simulations show the progressive development of new shears within the bounds of previously developed shears. Shear activity transitions inward as fault activity diminishes along the outermost shears and continues along newly developed shears until a vertically dipping throughgoing shear structure develops that accommodates most of the fault displacement thereon. The throughgoing fault develops at smaller fault displacements in looser soils because the first shear rupture propagates closer to the vertical direction and does not undergo as much inward translation of shear activity, as is observed in denser soils. In all simulations, ground surface uplift develops between nonintersecting active shears, and ground surface subsidence tends to develop where new shears intersect previous shears. The surface traces in these simulations are shown to be consistent with analog models and case histories of surface fault rupture occurring in different shallow subsurface materials. Although computationally costly, these modeling results are valuable for providing a strong numerical supplement to traditional analog models used to represent the mechanics of strike-slip zones in soil, and they provide quantifiable stresses and large-strain deformations throughout the model domain.

Journal of Geotechnical and Geoenvironmental Engin↗

In-situ arsenic removal during groundwater recharge through unsaturated alluvium

OBJECTIVES The purpose of this study was to determine the feasibility and sustainability of in-situ removal of arsenic from water infiltrated through unsaturated alluvium. BACKGROUND Arsenic is naturally present in aquifers throughout the southwestern United States and elsewhere. In January 2006, the U.S. Environmental Protection Agency (EPA) lowered the Maximum Contaminant Level (MCL) for arsenic from 50 to 10 micrograms per liter (g/L). This raised concerns about naturally-occurring arsenic in groundwater. Although commercially available systems using sorbent iron or aluminum oxide resins are available to treat high-arsenic water, these systems are expensive to build and operate, and may generate hazardous waste. Iron and aluminum oxides occur naturally on the surfaces of mineral grains that compose alluvial aquifers. In areas where alluvial deposits are unsaturated, these oxides may sorb arsenic in the same manner as commercial resins, potentially providing an effective low-cost alternative to commercially engineered treatment systems. APPROACH The Antelope Valley within the Mojave Desert of southern California contains a shallow water-table aquifer with arsenic concentrations of 5 g/L, and a deeper aquifer with arsenic concentrations of 30 g/L. Water was pumped from the deep aquifer into a pond and infiltrated through an 80 m-thick unsaturated zone as part of field-scale and laboratory experiments to treat high-arsenic groundwater and recharge the shallow water table aquifer at the site. The field-scale recharge experiment included the following steps: 1) construction of a recharge pond 2) test drilling for sample collection and instrument installation adjacent to the pond 3) monitoring downward migration of water infiltrated from the pond 4) monitoring changes in selected trace-element concentrations as water infiltrated through the unsaturated zone Data from instruments within the borehole adjacent to the pond were supplemented with borehole and surface geophysical data to evaluate the lateral spreading of water as it moved downward through the unsaturated zone. Three laboratory studies were undertaken. Sequential extraction was used to evaluate the abundance of iron, aluminum, and manganese oxides and selected trace elements on operationally defined sites on the surfaces of mineral grains collected before and after infiltration from the pond. Secondly, radio-labeled arsenic-73 microcosm experiments evaluated the potential for incorporation of arsenic sorbed to exchange sites on mineral grains into less reactive crystalline mineral structures with time. Finally, column studies evaluated arsenic sorption and the pH dependence of sorption for selected unsaturated zone materials. RESULTS/CONCLUSIONS Between December 2010 and July 2012, more than 120,000 cubic meters (m3 ) (about 97 acre-feet) of high-arsenic groundwater was pumped from the deep aquifer into a 0.11 hectare (about 0.27 acres) pond and infiltrated though an 80-meter (about 260 feet) thick unsaturated zone to recharge a water-table aquifer. Arsenic concentrations were lowered from 30 to 2 g/L as water infiltrated though the unsaturated zone at the site. Some uranium, possibly associated with past agricultural land use at the site, was mobilized to concentrations as high as 66 g/L within the unsaturated zone during the experiment. Uranium was resorbed and the high uranium concentrations did not reach the water table at the site. Concentrations of other trace elements, including antimony, chromium, vanadium, and selenium were low throughout the study. Infiltration rates from the pond were as high as 0.4 meters per day (1.1 feet per day, ft/d), and the wetting front moved downward about 25 centimeters per day (cm/d) (0.8 ft/d) to a depth of about 50 m (about 165 feet). Clay layers at that depth slowed the downward movement of the wetting front to about 5 cm/d (0.16 ft/d). Lateral movement of the wetting front was monitored using sequential direct-current (DC) surface and sequential electromagnetic (EM) and DC borehole resistivity. Most lateral movement occurred on a clay layer about 50 m (about 165 feet) below land surface. Infiltrated water reached the water table in January 2013. At the water table, the “wetted footprint” of water infiltrated from the pond, indicated by surface resistivity data, was about 13 hectares (about 32 acres). On the basis of data collected at the site, there is enough sorbent material to operate this pond and treat groundwater having an arsenic concentration of 30 g/L to 2 g/L for about 500 years. Toxicity Characteristic Leaching Procedure (TCLP) data showed arsenic concentrations to be below hazardous levels beneath the pond after the experiment. Pond maintenance may be required to keep infiltration rates high, and prevent accumulation of organic material on the pond bottom, although organic material on the pond bottom may increase removal of other trace elements in infiltrated water including chromium, selenium, and vanadium. Laboratory results are consistent with the field data and show sorption of arsenic in 10 cm (0.3 feet) columns to about 2 g/L over a pH range of 6 to 8, and at influent arsenic concentrations as high as 300 g/L, without breakthrough in 50 pore volumes. Column results suggest that the insitu treatment may remove arsenic in a range of hydrogeologic settings, and would not necessarily be restricted to alkaline alluvial aquifers common throughout the southwestern United States. Radiolabeled arsenic-73 experiments show that although arsenic is initially weakly sorbed (and potentially mobile), with time arsenic is incorporated into amorphous materials. One year after sorption onto surface exchange sites, most sorbed arsenic is incorporated into crystalline oxide minerals on the surfaces of primary mineral grains and is less mobile. Results of the study suggest that long-term land use restrictions on sites used for in-situ treatment of arsenic may not be needed to control water applied to surface materials. This minimizes some regulatory concerns about future land use at sites used for in-situ arsenic treatment. However, future land uses that may alter reduction-oxidation conditions in the subsurface should be avoided, such as infiltration of stormwater recharge or recharge with other water having high organic carbon concentrations (including unsewered residential land use, dairy or other confined animal operations).

Report↗

Hydrostratigraphic Framework and Selection and Correlation of Geophysical Log Markers in the Surficial Aquifer System, Palm Beach County, Florida

The surficial aquifer system is the major source of freshwater for public water supply in Palm Beach County, Florida, yet many previous studies of the hydrogeology of this aquifer system have focused only on the eastern one-half to one-third of the county in the more densely populated coastal area (Land and others, 1973; Swayze and others, 1980; Swayze and Miller, 1984; Shine and others, 1989). Population growth in the county has resulted in the westward expansion of urbanized areas into agricultural areas and has created new demands on the water resources of the county. Additionally, interest in surface-water resources of central and western areas of the county has increased. In these areas, plans for additional surface-water storage reservoirs are being made under the Comprehensive Everglades Restoration Plan originally proposed by the U.S. Army Corps of Engineers and the South Florida Water Management District (1999), and stormwater treatment areas have been constructed by the South Florida Water Management District. Surface-water and ground-water interactions in the Everglades are thought to be important to water budgets, water quality, and ecology (Harvey and others, 2002). Most of the previous hydrogeologic and ground-water flow simulation studies of the surficial aquifer system have not utilized a hydrostratigraphic framework, in which stratigraphic or sequence stratigraphic units, such as those proposed in Cunningham and others (2001), are delineated in this stratigraphically complex aquifer system. A thick zone of secondary permeability mapped by Swayze and Miller (1984) was not subdivided and was identified as only being within the Anastasia Formation of Pleistocene age. Miller (1987) published 11 geologic sections of the surficial aquifer system, but did not delineate any named stratigraphic units in these sections. This limited interpretation has resulted, in part, from the complex facies changes within rocks and sediments of the surficial aquifer system and the seemingly indistinct and repetitious nature of the most common lithologies, which include sand, shell, sandstone, and limestone. Model construction and layer definition in a simulation of ground-water flow within the surficial aquifer system of Palm Beach County utilized only the boundaries of one or two major hydrogeologic zones, such as the Biscayne aquifer and surficial aquifer system; otherwise layers were defined by average elevations rather than geologic structure or stratigraphy (Shine and others, 1989). Additionally, each major permeable zone layer in the model was assumed to have constant hydraulic conductivity with no allowance for the possibility of discrete (thin) flow zones within the zone. The key to understanding the spatial distribution and hydraulic connectivity of permeable zones in the surficial aquifer system beneath Palm Beach County is the development of a stratigraphic framework based on a consistent method of county-wide correlation. Variability in hydraulic properties in the system needs to be linked to the stratigraphic units delineated in this framework, and proper delineation of the hydrostratigraphic framework should provide a better understanding and simulation of the ground-water flow system. In 2004, the U.S. Geological Survey, in cooperation with the South Florida Water Management District, initiated an investigation to develop a hydrostratigraphic framework for the surficial aquifer system in Palm Beach County.

Scientific Investigations Map↗

Flood-inundation and flood-mitigation modeling of the West Branch Wapsinonoc Creek Watershed in West Branch, Iowa

The U.S. Geological Survey (USGS) in cooperation with the city of West Branch and the Herbert Hoover National Historic Site of the National Park Service assessed flood-mitigation scenarios within the West Branch Wapsinonoc Creek watershed. The scenarios are intended to demonstrate several means of decreasing peak streamflows and improving the conveyance of overbank flows from the West Branch Wapsinonoc Creek and its tributary Hoover Creek where they flow through the city and the Herbert Hoover National Historic Site located within the city. Hydrologic and hydraulic models of the watershed were constructed to assess the flood-mitigation scenarios. To accomplish this, the models used the U.S. Army Corps of Engineers Hydrologic Engineering Center-Hydrologic Modeling System (HEC–HMS) version 4.2 to simulate the amount of runoff and streamflow produced from single rain events. The Hydrologic Engineering Center-River Analysis System (HEC–RAS) version 5.0 was then used to construct an unsteady-state model that may be used for routing streamflows, mapping areas that may be inundated during floods, and simulating the effects of different measures taken to decrease the effects of floods on people and infrastructure. Both models were calibrated to three historic rainfall events that produced peak streamflows ranging between the 2-year and 10-year flood-frequency recurrence intervals at the USGS streamgage (05464942) on Hoover Creek. The historic rainfall events were calibrated by using data from two USGS streamgages along with surveyed high-water marks from one of the events. The calibrated HEC–HMS model was then used to simulate streamflows from design rainfall events of 24-hour duration ranging from a 20-percent to a 1-percent annual exceedance probability. These simulated streamflows were incorporated into the HEC–RAS model. The unsteady-state HEC–RAS model was calibrated to represent existing conditions within the watershed. HEC–RAS model simulations with the existing conditions and streamflows from the design rainfall events were then done to serve as a baseline for evaluating flood-mitigation scenarios. After these simulations were completed, three different flood-mitigation scenarios were developed with HEC–RAS: a detention-storage scenario, a conveyance improvement scenario, and a combination of both. In the detention-storage scenario, four in-channel detention structures were placed upstream from the city of West Branch to attenuate peak streamflows. To investigate possible improvements to conveying floodwaters through the city of West Branch, a section of abandoned railroad embankment and an old truss bridge were removed in the model, because these structures were producing backwater areas during flooding events. The third scenario combines the detention and conveyance scenarios so their joint efficiency could be evaluated. The scenarios with the design rainfall events were run in the HEC–RAS model so their flood-mitigation effects could be analyzed across a wide range of flood magnitudes.

Iowa↗

Predicting barrier island habitats and oyster and seagrass habitat suitability for various restoration measures and future conditions for Dauphin Island, Alabama

Barrier islands, such as Dauphin Island, Alabama, provide numerous invaluable ecosystem services including storm damage reduction and erosion control to the mainland, habitat for fish and wildlife, carbon sequestration in marshes, water catchment and purification, recreation, and tourism. These islands are dynamic environments that are gradually shaped by currents, waves, and tides under quiescent conditions yet can evolve in the time scale of hours to days during hurricanes and other extreme storms. The ecosystems associated with these islands also face numerous other hazards, including accelerated sea-level rise, oil spills, and anthropogenic stressors. Hurricane Katrina in 2005 and the Deepwater Horizon oil spill in 2010 are two major events that have affected habitats and natural resources on Dauphin Island, Ala. The latter event prompted a cooperative effort between the U.S. Geological Survey and the U.S. Army Corps of Engineers to investigate viable, sustainable restoration measures that reduce degradation and enhance the natural resources of Dauphin Island, Ala. In collaboration with the State of Alabama and the National Fish and Wildlife Foundation, the overarching goal of the Alabama Barrier Island Restoration Feasibility Assessment project was to document baseline conditions and forecast potential conditions under varying sea-level change and storm scenarios for a no-action alternative along with a variety of restoration measures including beach and dune restoration, marsh and back-barrier restoration, and placement of sand in the littoral zone. The modeling component of this project used decadal hydrodynamic geomorphic, water quality, and habitat modeling to better understand how the various restoration measures may influence the habitat composition, sustainability, and resiliency of Dauphin Island under potential future conditions, benchmarked against the no-action case. The report covers the habitat modeling efforts associated with the Alabama Barrier Island Restoration Feasibility Assessment project. For various potential future island configurations for Dauphin Island, we predicted coverage of habitat types (for example, beach, dune, intertidal marsh, and woody vegetation) using a spatially explicit habitat model based on landscape-position information (for example, elevation and distance from shore) extracted from the hydrodynamic geomorphic outputs. Similarly, we forecasted habitat suitability for oysters and seagrass using habitat suitability index models. Another component of the Alabama Barrier Island Restoration Feasibility Assessment project, presented separately, integrates these habitat model results into a structured decision-making framework that accounts for competing objectives. Collectively, this information provides insights to natural resource managers and planners on how a restoration measure may maintain or impede natural coastal processes and provide information critical for making future-focused decisions regarding barrier island restoration.

Alabama↗

Inventory of gate-sensing equipment at 14 U.S. Army Corps of Engineers dams in Texas

The U.S. Army Corps of Engineers (USACE) is a worldwide organization that provides engineering services, environmental restoration, and construction support for a wide variety of civil and military projects. The primary civil mission of the USACE is developing and managing the Nation's water resources. USACE develops projects to reduce flood damage, improve navigation channels and harbors, protect wetlands, and preserve, safeguard, and enhance the environment. Additional missions of the Corps include managing federal real estate, assisting communities with emergency operations and recovery, and providing recreation opportunities. Accurate and timely information on reservoir gate openings is critical for managing flood pools, reducing flood damage downstream from reservoirs, delivering drinking-water supplies, and meeting an assortment of competing downstream water-use needs. Documentation, operation, and maintenance of gate sensors are needed so that reliable, timely information is available to USACE to make reservoir operation decisions. USACE requested that the U.S. Geological Survey (USGS) prepare an inventory and documentation of existing gate-sensing equipment at 14 reservoirs that will serve as a user’s manual for operating the equipment. The 14 reservoirs include Aquilla Lake, Bardwell Lake, Benbrook Lake, Canyon Lake, Georgetown Lake, Granger Lake, Grapevine Lake, Jim Chapman Lake, Joe Pool Lake, Lake O’ the Pines, Ray Roberts Lake, Somerville Lake, Stillhouse Hollow Lake, and Wright Patman Lake. This report presents the inventory and documentation of the existing gate-sensing equipment at the 14. The report is organized by lake; information in each lake section includes location of lake and intake structure, directions to each lake (road log), access, equipment description, operation and maintenance information, job hazard analysis, wiring diagrams, photographs, and datalogger programs. The report also includes a list of contact information for the different manufacturers of equipment in service at the lakes.

Texas↗

Simulation of streamflow and estimation of ground-water recharge in the Upper Cibolo Creek Watershed, south-central Texas, 1992-2004

A watershed model (Hydrological Simulation Program?FORTRAN) was developed, calibrated, and tested by the U.S. Geological Survey, in cooperation with the U.S. Army Corps of Engineers, San Antonio River Authority, San Antonio Water System, and Guadalupe-Blanco River Authority, to simulate streamflow and estimate ground-water recharge in the upper Cibolo Creek watershed in south-central Texas. Rainfall, evapotranspiration, and streamflow data were collected during 1992?2004 for model calibrations and simulations. Estimates of average ground-water recharge during 1992?2004 from simulation were 79,800 acre-feet (5.47 inches) per year or about 15 percent of rainfall. Most of the recharge (about 74 percent) occurred as infiltration of streamflow in Cibolo Creek. The remaining recharge occurred as diffuse infiltration of rainfall through the soil and rock layers and karst features. Most recharge (about 77 percent) occurred in the Trinity aquifer outcrop. The remaining 23 percent occurred in the downstream part of the watershed that includes the Edwards aquifer recharge zone (outcrop). Streamflow and recharge in the study area are greatly influenced by large storms. Storms during June 1997, October 1998, and July 2002 accounted for about 11 percent of study-area rainfall, 61 percent of streamflow, and 16 percent of the total ground-water recharge during 1992?2004. Annual streamflow and recharge also were highly variable. During 1999, a dry year with about 16 inches of rain and no measurable runoff at the watershed outlet, recharge in the watershed amounted to only 0.99 inch compared with 13.43 inches during 1992, a relatively wet year with about 54 inches of rainfall. Simulation of flood-control/recharge-enhancement structures showed that certain structures might reduce flood peaks and increase recharge. Simulation of individual structures on tributaries showed relatively little effect. Larger structures on the main stem of Cibolo Creek were more effective than structures on tributaries, both in terms of flood-peak reduction and recharge enhancement. One simulated scenario that incorporated two main-stem structures resulted in a 37-percent reduction of peak flow at the watershed outlet and increases in stream-channel recharge of 6.6 percent in the Trinity aquifer outcrop and 12.6 percent in the Edwards aquifer (recharge zone) outcrop.

Texas↗

Reconnaissance engineering geology of the Petersburg area, southeastern Alaska, with emphasis on geologic hazards

A program to study the engineering geology of most larger Alaska coastal communities and to evaluate their earthquake and other geologic hazards was started following the 1964 Alaska earthquake; this report about the Petersburg area is a product of that program. Field-study methods were of a reconnaissance nature, and thus, interpretations in the report are tentative. Landscape of the northern end of Mitkof Island on which Petersburg is situated is characterized by a gently sloping, muskeg-covered terrain, with altitudes mostly less than 30 m. In contrast, much of the rest of the island is composed of mountainous terrain with many steep valleys. During the Pleistocene Epoch, the Petersburg area presumably was covered by ice several times; glaciers deeply eroded many valleys on Mitkof Island and adjacent areas. The last major deglaciation probably was largely completed by 12,000 years ago. Delayed rebound of the earth's crust, after the melting of large amounts of ice, permitted extensive inundation of land in the Petersburg area. Subsequently, emergence has elevated marine deposits to a present-day altitude of at least 65 m and probably to 75 m. Bedrock in the Petersburg map area is composed of relatively hard metamorphic rocks, chiefly phyllite and probably some graywacke. Rocks are of Middle(?) Jurassic to Early Cretaceous age. Five types of surficial geologic material of Quaternary age were recognized: (1) mixed deposits consisting of diamicton, silt-clay, and sand or sandy pebble gravel, (2) alluvial deposits, (3) shore and delta deposits, (4) organic deposits, and (5) artificial fill. Geologic structure in southeastern Alaska is complex because several cycles of tectonic deformation since at least early Paelozoic time have affected different parts of the region. The latest of the major tectonic events in southeastern Alaska occurred in Tertiary time, with some minor activity continuing into the Quaternary Period. Along the outer coast of southeastern Alaska, active strike-slip movement is occurring along the Chichagof-Baranof and Queen Charlotte faults. A segment of the prominent Coast-Range lineament, part of which may be a fault, lies 18 km northeast of Petersburg. Many earthquakes occur along the outer coast of southeastern Alaska. Most of these shocks are associated with movements along the Chichagof-Baranof, Queen Charlotte, and Transition faults. A few small earthquakes occur in the region between the outer coast and the southern part of the Coast Mountains. 0nly a few earthquakes have been recorded as felt at Petersburg; these shocks and others possibly felt in the Petersburg region are tabulated. Among the recorded earthquakes the highest intensity (about V-VI) as the magnitude 7.1 earthquake of October 24, 1927, that occurred probably along the Chichagof-Baranof fault, and about 225 km northwest of Petersburg; damage was reported as minor. Other large earthquakes along the Chichagof-Baranof fault that affected or probably affected the Petersburg area in a minor way occurred on August 22, 1949 (magnitude 8.1) and on July 30, 1972 (magnitude 7.25). From a consideration of the tectonics and earthquake history of the region, earthquakes similar to the 1927, 1949, and 1972 shocks are expected to recur on segments of the Chichagof-Baranof or Queen Charlotte faults. The closest of these fault segments is about 170 km southwest from Petersburg. The likelihood of destructive earthquakes being generated along faults closer to Petersburg is unknown. A very generalized discussion of possible geologic effects that could occur in the area during a postulated, theoretically reasonable worst case earthquake of magnitude 8 occurring along the outer coast about 170 km southwest from Petersburg notes that ground shaking probably would be strongest on organic deposits and least on bedrock and on firm, compact diamicton. Among other effects that could happen are: (1) liquefaction of some of the few delta and alluvial

Open-File Report↗

A brief history of the U.S. Geological Survey

Established by an Act of Congress in 1879 and charged with responsibility for "classification of the public lands, and examination of the geological structure, mineral resources, and products of the national domain," the U. S. Department of the Interior's Geological Survey has been the Nation's principal source of information about its physical resources the configuration and character of the land surface, the composition and structure of the underlying rocks, and the quality, extent, and distribution of water and mineral resources. Although primarily a research and fact-finding agency, it has responsibility also for the classification of Federal mineral lands and waterpower sites, and since 1926 it has been responsible for the supervision of oil and mining operations authorized under leases on Federal land. From the outset, the Survey has been concerned with critical land and resource problems. Often referred to as the Mother of Bureaus, many of its activities led to the formation of new organizations where a management or developmental function evolved. These included the Reclamation Service (1902), the Bureau of Mines (1910), the Federal Power Commission (1920), and the Grazing Service (1934, since combined with other functions as the Bureau of Land Management). Mrs. Rabbitt's summary of the Survey's history in the following pages brings out well the development of these diverse activities and the Survey's past contributions to national needs related to land and resources.

General Information Product↗

Geologic Map and Map Database of the Oakland Metropolitan Area, Alameda, Contra Costa, and San Francisco Counties, California

Introduction This report contains a new geologic map at 1:50,000 scale, derived from a set of geologic map databases containing information at a resolution associated with 1:24,000 scale, and a new description of geologic map units and structural relationships in the mapped area. The map database represents the integration of previously published reports and new geologic mapping and field checking by the author (see Sources of Data index map on the map sheet or the Arc-Info coverage pi-so and the textfile pi-so.txt). The descriptive text (below) contains new ideas about the Hayward fault and other faults in the East Bay fault system, as well as new ideas about the geologic units and their relations. These new data are released in digital form in conjunction with the Federal Emergency Management Agency Project Impact in Oakland. The goal of Project Impact is to use geologic information in land-use and emergency services planning to reduce the losses occurring during earthquakes, landslides, and other hazardous geologic events. The USGS, California Division of Mines and Geology, FEMA, California Office of Emergency Services, and City of Oakland participated in the cooperative project. The geologic data in this report were provided in pre-release form to other Project Impact scientists, and served as one of the basic data layers for the analysis of hazard related to earthquake shaking, liquifaction, earthquake induced landsliding, and rainfall induced landsliding. The publication of these data provides an opportunity for regional planners, local, state, and federal agencies, teachers, consultants, and others outside Project Impact who are interested in geologic data to have the new data long before a traditional paper map could be published. Because the database contains information about both the bedrock and surficial deposits, it has practical applications in the study of groundwater and engineering of hillside materials, as well as the study of geologic hazards and the academic research on the geologic history and development of the region.

Miscellaneous Field Studies Map↗

Results of a workshop concerning impacts of various activities on the functions of bottomland hardwoods

Under Section 404 of the Clean Water Act, the U.S. Environmental Protection Agency (EPA) has regulatory responsibilities related to the discharge of dredged or fill material into the Nation’s waters. In addition to its advisory role in the U.S. Army Corps of Engineers' permit program, EPA has a number of specific authorities, including formulation of the Section 404(b)(1) guidelines, use of Section 404(c) to prohibit disposal at particular sites, and enforcement actions for unauthorized discharges. A number of recent court cases focus on the geographic scope of Section 404 jurisdiction in potential bottomland hardwood (BLH) wetlands and the nature of landclearing activities in these areas that require a permit under Section 404. Accordingly, EPA needs to establish the scientific basis for implementing its responsibilities under Section 404 in bottomland hardwoods. EPA is approaching this task through a series of workshops designed to provide current scientific information on bottomland hardwoods and to organize that information in a manner pertinent to key policy questions. The first two workshops in the series were originally conceived as technically oriented meetings that would provide the information necessary to develop policy options at the third workshop. More specifically, the first workshop was designed to examine a zonation concept as a means of characterizing different BLH communities and describing variations in their functions along a soil moisture gradient. The second workshop was perceived as an attempt to evaluate the impacts of various activities on those functions. However, one conclusion of the first workshop, which was held in December 1984 in St. Francisville, Louisiana, was that the zonation approach does not describe the variability in the functions performed by BLH ecosystems sufficiently well to allow its use as the sole basis for developing a regulatory framework. That is, factors other than zone were considered critical for an effective characterization of the structure and functions of bottomland hardwoods. The approach to the second workshop, the results of which are described in this report, was therefore modified in response to the conclusions from the first workshop. The focus of the second workshop remained an analysis of the impacts of various activities or the functions of BLH ecosystems. However, as a prerequisite to this analysis, participants were also asked to develop a list of characteristics that determine the extent to which BLH sites perform the important functions. The workshop was organized such that alternating plenary and workgroup sessions allowed ample time for communication while still maintaining a focus on the overall goal. In the initial session, various individuals gave presentations concerning methodologies for evaluating the functions performed by wetlands, factors influencing the conversion of BLH forests to other uses, and the impacts of conversion activities. These were followed by a series of case study presentations designed to familiarize participants with the kinds of issues that are dealt with in the Section 404 program. These presentations are cited in this report as (author, workshop presentation). At the conclusion of these presentations, participants were divided into six workgroups to examine the functions of BLH ecosystems in the areas of hydrology, water quality, fisheries, wildlife, ecosystem processes, and culture/recreation/economics. Each workgroup was asked to undertake the following tasks. 1. Developed a list of functions performed by BLH ecosystems from the perspective of the workgroup's expertise and area of responsibility. 2. Identify those activities (e.g., impoundment construction, conversion to soybean farming) that impact the major functions (e.g., sediment retention, detrital export) performed by BLH ecosystems. 3. Develop a list of characteristics that determine the extent to which a BLH site performs each function and describe the relationship of each characteristic to the function. Develop, with supporting evidence where possible, an analysis of the impact of each activity (Task 2) on each characteristic (Task 3) and on each function as a whole. Upon completion of Task 2, in an effort to provide some uniformity in the analysis by the various workgroups, EPA personnel and several participants met and compiled a complete list of all the activities identified as having significant impacts in bottomland hardwoods (Table 1). From this list the group derived a set of seven activities, and a number of specific actions associated with each, for analysis by the workgroups (Table 2). These activities were selected on the basis of their perceived importance in BLH ecosystems and their interest from the perspective of EPA. Each workgroup was also encourage to ass any activities of particular important from its perspective. The workgroup reports that follow document the results of discussion concerning the above tasks. The WORKSHOP SUMMARY attempts to summarize these workgroup results, discuss availability of information, and identify some problems that must be addressed prior to the third workshop in this series.

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SICS: the Southern Inland and Coastal System interdisciplinary project of the USGS South Florida Ecosystem Program

State and Federal agencies are working jointly on structural modifications and improved water-delivery strategies to reestablish more natural surface-water flows through the Everglades wetlands and into Florida Bay. Changes in the magnitude, duration, timing, and distribution of inflows from the headwaters of the Taylor Slough and canal C-111 drainage basins have shifted the seasonal distribution and extent of wetland inundation, and also contributed to the development of hypersaline conditions in nearshore embayments of Florida Bay. Such changes are altering biological and vegetative communities in the wetlands and creating stresses on aquatic habitat. Affected biotic resources include federally listed species such as the Cape Sable seaside sparrow, American crocodile, wood stork, and roseate spoonbill. The U.S. Geological Survey (USGS) is synthesizing scientific findings from hydrologic process studies, collecting data to characterize the ecosystem properties and functions, and integrating the results of these efforts into a research tool and management model for this Southern Inland and Coastal System(SICS). Scientists from all four disciplinary divisions of the USGS, Biological Resources, Geology, National Mapping, and Water Resources are contributing to this interdisciplinary project.

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Results of a workshop concerning ecological zonation in bottomland hardwoods

Under Section 404 of the Clean Water Act, the U.S. Environmental Protection Agency (EPA) has regulatory responsibilities concerning the discharge of dredged or fill material into the Nation's waters. In addition to its advisory role in the U.S. Army Corps of Engineers' permit program, EPA has a number of specific authorities, including formulation of the Section 404(b)(1) Guidelines, use of Section 404(c) to prohibit disposal at particular sites, and enforcement actions for unauthorized discharges. A number of recent court cases focus on the geographic scope of Section 404 jurisdiction in potential bottomland hardwood (BLH) wetlands and the nature of landclearing activities in these areas that require a permit under Section 404. Accordingly, EPA needs to establish the scientific basis for implementing its responsibilities under Section 404 in bottomland hardwoods. EPA is approaching this task through a series of workshops designed to provide current scientific information on bottomland hardwoods and to organize that information in a manner pertinent to key questions, including the following. What are the characteristics of bottomland hardwoods (in terms of hydrology, soils, vegetation, fish, wildlife, agricultural potential, and the like) and how can the functions (e.g., flood storage, water quality maintenance, detrital export) that they perform best be quantified? How do perturbations like landclearing, levee construction, and drainage impact the functions that bottomland hardwoods perform and how can these effects best be quantified? And finally, how significant are the impacts and how is their significance likely to change under various management scenarios? The first workshop in this series was held December 3-7, 1984, in St. Francisville, Louisiana. The workshop was attended by over 40 scientists and regulators (see ACKNOWLEDGMENTS section) and facilitated by the editors of this report under an Interagency Agreement between EPA and the U.S. Fish and Wildlife Service. The general objective of the workshop was to examine ways in which the structure and function of BLH ecosystems can be characterized and, in particular, to investigate the utility of a conceptual framework developed at a workshop held in Lake Lanier, Georgia, in 1980. In this framework, the transition from aquatic habitats to upland habitats through a BLH ecosystem is divided into six zones based on concomitant variation in the soil moisture regime and associated vegetation (Table 1). The zonation concept is of particular interest to EPA from at least two perspectives. The first is simply as a framework for organizing information. If the zones are discernible in the field, have recognizable characteristics, and perform identifiable functions, they might form a useful basis for tasks such as assessing the impacts of a particular site-specific activity. The second is the potential utility of the zonation concept in identifying the wetland portions of BLH communities. If the zones can be recognized in the field, and if one or more of them can be shown consistently to have wetland characteristics (i.e., perform functions, such as detrital export, often attributed to wetlands), while others do not, then the zones might have utility in identifying areas that fall under the jurisdiction of Section 404. The workshop itself was divided into two parts. The first was a series of papers in which authors described current research and data-synthesis activities in the context of the zonation concept. The second was a series of six workgroups in which participants discussed the zonation concept from the perspective of hydrology, soils, vegetation, fish, wildlife, and ecosystem processes. This report is a compilation of the written material from those workgroups, much of which was produced at the workshop. The formal papers presented in the first part of the workshop have been distributed to participants under separate cover, but are referenced in this report by citations such as: (Jones, workshop presentation).

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Dynamic deformations and the M6.7, Northridge, California earthquake

A method of estimating the complete time-varying dynamic formation field from commonly available three-component single station seismic data has been developed and applied to study the relationship between dynamic deformation and ground failures and structural damage using observations from the 1994 Northridge, California earthquake. Estimates from throughout the epicentral region indicate that the horizontal strains exceed the vertical ones by more than a factor of two. The largest strains (exceeding ∼100 pstrain) correlate with regions of greatest ground failure. There is a poor correlation between structural damage and peak strain amplitudes. The smallest strains,∼35 pstrain, are estimated in regions of no damage or ground failure. Estimates in the two regions with most severe and well mapped permanent deformation, Potrero Canyon and the Granada-Mission Hills regions, exhibit the largest strains; peak horizontal strains estimates in these regions equal ∼1351 and ∼229 μstrain respectively. Of note, the dynamic principal strain axes have strikers consistent with the permanent failure features suggesting that, while gravity, sub-surface materials, and hydrologic conditions undoubtedly played fundamental roles in determining where and what types of failures occurred, the dynamic deformation field may have been favorably sized and oriented to initiate failure processes. These results support other studies that conclude that the permanent deformation resulted from ground shaking, rather than from static strains associated with primary or secondary faulting. They also suggest that such an analysis, either using data or theoretical calculations, may enable observations of paleo-ground failure to be used as quantitative constraints on the size and geometry of previous earthquakes.

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