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Paleomagnetism and geochronology of an Early Proterozoic quartz diorite in the southern Wind River Range, Wyoming, USA

We present geochronologic and paleomagnetic data from a north-trending quartz diorite intrusion that cuts Archean metasedimentary and metaigneous rocks of the South Pass Greenstone Belt of the Wyoming craton. The quartz diorite was previously thought to be either Archean or Early Proterozoic (?) in age and is cut by north and northeast-trending Proterozoic diabase dikes of uncertain age, for which we also report paleomagnetic data. New U-Pb analyses of baddeleyite and zircon from the quartz diorite yield a concordia upper intercept age of 2170 ?? 8 Ma (95% confidence). An 40Ar/39Ar amphibole date from the same sample yields a similar apparent age of about 2124 ?? 30 Ma (2??), thus confirming that the intrusion is Early Proterozoic in age and that it has probably not been thermally disturbed since emplacement. A magmatic event at ca. 2.17 Ga has not previously been documented in the Wyoming craton. The quartz diorite and one of the crosscutting diabase dikes yield essentially identical, well-defined characteristic remanent magnetizations. Results from eight sites in the quartz diorite yield an in situ mean direction of north declination and moderate to steep positive inclination (Dec.=355??, Inc.=65??, k=145, ??95=5??) with a paleomagnetic pole at 84??N, 215??E (??m=6??, ??p=7??). Data from other diabase dike sites are inconsistent with the quartz diorite results, but the importance of these results is uncertain because the age of the dikes is not well known. Interpretation of the quartz diorite remanent magnetization is problematic. The in situ direction is similar to expected directions for magnetizations of Late Cretaceous/early Tertiary age. However, there is no compelling evidence to suggest that these rocks were remagnetized during the late Mesozoic or Cenozoic. Assuming this magnetization to be primary, then the in situ paleomagnetic pole is strongly discordant with poles of 2167, 2214, and 2217 Ma from the Canadian Shield, and is consistent with proposed separation of the Wyoming Craton and Laurentia prior to about 1.8 Ga. Correcting the quartz diorite pole for the possible effects of Laramide-age tilting of the Wind River Range, based on the attitude of nearby overlying Cambrian Flathead Sandstone (dip=20??, N20??E), gives a tilt corrected pole of 75??N, 58??E (??m=4??, ??p=6??), which is also discordant with respect to time-equivalent poles from the Superior Province. Reconstruction of the Superior and Wyoming Province using a rotation similar to that proposed by Roscoe and Card [Can. J. Earth Sci. 46(1993)2475] is problematic, but reconstruction of the Superior and Wyoming Provinces based on restoring them to their correct paleolatitude and orientation using a closest approach fit indicates that the two cratons could have been adjacent at about 2.17 Ga prior to rifting at about 2.15 Ga. The paleomagnetic data presented are consistent with the hypothesis that the Huronian and Snowy Pass Supergroups could have evolved as part of a single epicratonic sedimentary basin during the Early Proterozoic. ?? 2002 Elsevier Science B.V. All rights reserved.

Tectonophysics↗

Juxtaposition of Neoproterozoic units along the Baruda - Tulu Dimtu shear-belt in the East African Orogen of western Ethiopia

Amalgamation of East and West Gondwanaland during the Neoproterozoic East African Orogen is recorded by several shear-belts or 'suture zones', some of which are associated with ultramafic and mafic complexes that have been interpreted as ophiolite fragments. The Baruda shear-belt is a major structure of this type that belongs to the N-S trending Barka - Tulu Dimtu zone. The significance of this zone has been studied within a transect in western Ethiopia which covers a variety of metasedimentary and metavolcanic sequences, ultramafic rocks and synkinematic intrusive complexes. All rocks participated in the regional D1 event as reflected in a penetrative steep foliation in supracrustal rocks and marginal parts of the intrusions. Highly strained rocks contain a stretching lineation that plunge to the east. The several-km thick Baruda shear-belt, comprising mylonitic supracrustal and plutonic rocks including mafic-ultramafic mega-lenses, is the most prominent expression of this event. Shear-sense indicators demonstrate top-to-the-west shear. Subsequent D2 deformation is recorded in 2-300 m wide, N-S striking, subvertical shear-zones with subhorizontal stretching lineation relatable to sinistral transcurrent movements. Our data indicate that rock units on either side of the Baruda shear-belt are related, rather than being exotic to each other as implied in suture zone models, since there is no major lithologic or metamorphic difference, geochemical data on metavolcanic rocks and pre-tectonic intrusions suggest a paleotectonic link, and style and extent of deformation is similar across the shear-belt. A tentative model for the transect suggests an arc and back-arc setting which experienced later continental collision and tectonic shortening. The initial setting was that of a shallow marine platform characterised by carbonates and sandstones, which covered extensive areas prior to break-up of a pre-existing supercontinent. Continental convergence is first recorded in high-K calc-alkaline volcanism characterised by pyroclastic deposits of andesitic composition, at an active continental margin at about 800 Ma. Subaerial arc volcanism was temporally and spatially overlapping with limited arc rifting, represented by submarine basalts compositionally transitional between enriched MORB and calc-alkaline magmas, and associated dyke swarms in the older carbonate-sandstone platform sequence. It is suggested that the large, mafic-ultramafic, bodies relate to this event and were originally formed as intrusions along one or more propagating rift axis within the arc complex. The regional Baruda shear-belt formed in response to contractional D1 deformation, and its location may have been largely controlled by competence contrasts between the array of rift-related intrusions and the marble-dominated lithologies. Associated shortening of the arc and back-arc region led to crustal thickening and emplacement of synkinematic, composite, batholiths at about 570-550 Ma. These are composed of moderately peraluminous granite and coeval, intermediate to mafic intrusions of shoshonitic affinity. D2 sinistral movements succeeded the contractional deformation. ?? 2001 Elsevier Science B.V.

Precambrian Research↗

Importance of fish in the diet of Adélie penguins across multiple life stages

Over recent decades, the Adélie penguin ( Pygoscelis adeliae ) population has grown across most of its range, the exception being the northern coast of the western Antarctic Peninsula (WAP). In the Ross Sea, the very large Cape Crozier colony grew to reach ~9% of the global population. Demographic factors driving the Cape Crozier trend have yet to be identified. However, low chick fledging mass - a negative influence in the northern WAP where the diet is mostly less-energy-dense krill - is not showing an effect in the Cape Crozier colony. Previously, we hypothesized that Cape Crozier fledglings, and post-breeding adults, must be finding sufficient higher-quality prey once free of the prey-depleted colony foraging area, with subsequent higher survival. Here we explore penguin diet within and outside the colony foraging area using stable isotope analysis (SIA) of feathers: those grown by post-breeding adults outside the foraging area, prior to moult, compared to those of near-fledged chicks raised on meals obtained within the foraging area. Second, we explore whether a major difference occurs between breeding and post-breeding diet of adults from a small, nearby colony (Cape Royds) that exploits a smaller, little-depleted preyscape. Finally, we compare the results to SIA analyses published by others to explore whether the pre-moult diet of Ross Island adults, mostly foraging within the north-eastern Ross Sea, compares with that of adults nesting in the southern WAP (Bellingshausen Sea coast). At the latter, populations are not decreasing, with diet containing an appreciable contribution of fish. The results confirmed that fish contributed greatly to chick diets at both Ross Island colonies (δ 15 N 10.6–11.4). Once adults were released from central-place foraging, SIA levels (δ 15 N 9.7–12.9) were similar to those of the southern WAP. Foraging on energy-dense fish in coastal Antarctic waters could be one reason Adélie penguins are among the most abundant and therefore most ecologically successful penguin species.

Antarctic Science↗

Global trends in emerging viral diseases of wildlife origin

Fifty years ago, infectious diseases were rarely considered threats to wildlife populations, and the study of wildlife diseases was largely a neglected endeavor. Furthermore, public health leaders at that time had declared that “it is time to close the book on infectious diseases and the war against pestilence won,” a quote attributed to Dr. William H. Stewart in 1967. There is some debate whether he actually said these words; however, they reflect the widespread belief at that time (Spellberg, 2008). Leap forward to today, and the book on infectious diseases has been dusted off. There is general consensus that the global environment favors the emergence of infectious diseases, and in particular, diseases of wildlife origin (Taylor et al., 2001). Examples of drivers of these infectious diseases include climate and landscape changes, human demographic and behavior changes, global travel and trade, microbial adaptation, and lack of appropriate infrastructure for wildlife disease control and prevention (Daszak et al., 2001). The consequences of these emerging diseases are global and profound with increased burden on the public health system, negative impacts on the global economy and food security, declines and extinctions of wildlife species, and subsequent loss of ecosystem integrity. For example, 35 million people are currently living with HIV infection globally (http://www.who.int/gho/hiv/en); 400 million poultry have been culled since 2003 as a result of efforts to control highly pathogenic H5N1 avian influenza (http://www.fao.org/avianflu/en/index.html), and there are increasing biological and ecological consequences. Examples of health threats to biodiversity include the “spillover” of human diseases to great ape populations (Köndgen et al., 2008), the near-extirpation of the black-footed ferret from canine distemper and sylvatic plague (for a review see Abbott et al., 2012), and threats to Hawaiian forest birds from introduced pathogens such as avian malaria and avian pox (van Riper et al., 1986, 2002). There are also newly discovered pathogens or diseases that have resulted in population declines, and global extinctions of several species. Examples include Batrachochytrium dendrobatidis, which causes a cutaneous fungal infection of amphibians and is linked to declines of amphibians globally (Kriger and Hero, 2009); and recently discovered Pseudogymnoascus (Geomyces) destructans, the etiologic agent of white-nose syndrome (WNS), which has caused precipitous declines of North American bat species (Blehert et al., 2009). Furthermore, there is increasing evidence of the subsequent impacts on human and ecosystem health; for example, increasing risk of exposure to Lyme disease as a consequence of decreased biodiversity (LoGiudice et al., 2003) as well as the economic cost of the loss of bats due to decreased insect control services (Boyles et al., 2011). Figure A12-1 is a timeline of important diseases investigated by the U.S. Geological Survey since the 1970s, which illustrates three factors: 1. The unprecedented emergence of new pathogens and geographic spread of known pathogens since the 1990s; 2. Diseases are increasingly causing large-scale, negative impacts on wildlife populations and spreading over larger geographic areas rather than remaining localized; and 3. Diseases are increasingly of concern for multiple sectors, including public health, agriculture and wildlife management agencies. Of increasing concern are these novel diseases such as WNS as they are hard to anticipate, particularly devastating to human health or wildlife populations, challenging to manage, spread over large geographic areas in short time periods, and may result in ecological ripple effects that are difficult to predict. The following article provides examples of recently emerged viral diseases of wildlife origin. The examples have been selected to illustrate the drivers of emerging viral diseases, both novel pathogens and previously known diseases, the impacts of these diseases, as well as the role of wildlife both as “villains” or reservoirs as well as “victims” of these viral diseases. The article also discusses potential management strategies for emerging viral diseases in wildlife populations and future science directions in wildlife health to prevent, prepare, respond to, and recover from these disease events. Finally, the concept of One Health and its potential role in developing solutions to these issues of mutual concern is discussed.

Conference Paper↗

Population densities and trends of landbirds in the National Park of American Samoa

The National Park of American Samoa (NPSA), which protects some of the most intact tropical rainforest in the South Pacific, is exposed to recurring, intense tropical cyclones, including Tropical Cyclone Gita in 2018. In combination with other anthropogenic pressures, cyclones represent a potential source of disturbance to landbird populations, particularly native frugivorous and seed-dispersing species. Long-term monitoring provides a means to evaluate population trajectories following disturbance events and to identify potential management gaps. Landbird surveys were conducted in the Tutuila and Taʻū units of NPSA in 2011, 2018, and 2023 using point-transect distance sampling, with vegetation composition and structure quantified at each sampling station. Species-specific detection functions were fitted to count data to estimate densities by unit, with variance estimated using bootstrap procedures. Comparisons of 2018 and 2023 density estimates using two-sample z-tests indicated that changes in most landbird populations were inconclusive. Since 2018, increases in density were observed for the Pacific Imperial Pigeon ( Ducula pacifica ) and Crimson-crowned Fruit Dove ( Ptilinopus porphyraceus ) on Tutuila, while decreases were observed for the Pacific Kingfisher ( Todiramphus sacer ) on Tutuila, and for the Polynesian Wattled Honeyeater ( Foulehaio carunculatus ), Polynesian Starling ( Aplonis tabuensis ), and Samoan Starling ( Aplonis atrifusca ) on Taʻū. The Many-colored Fruit Dove ( Ptilinopus perousii ) remained rare in both units, and the Manuʻa Shrikebill (Clytorhynchus vitiensis powelli) was narrowly distributed on Taʻū, with insufficient detections of either species to estimate density. The cryptic Spotless Crake ( Zapornia tabuensis ) was detected only in 2018. Changes in tree canopy cover and height did not exhibit patterns clearly associated with a major disturbance event and likely reflected differences in sampling frames among surveys. Invasive non-native plants, most notably Miconia crenata , were widespread in both units. Although many landbird populations in NPSA remain abundant, inference from current monitoring is constrained by limited information on vital rates and species-specific responses to invasive species, disease, habitat change, and extreme weather. As climate change is projected to increase tropical cyclone intensity in the South Pacific, sustained monitoring and targeted management will be important for understanding and conserving landbird populations in American Samoa.

National Park of American Samoa, Ta'u, Tutuila↗

Concentrations, loads, and associated trends of nutrients entering the Sacramento-San Joaquin Delta, California

Statistical modeling of water-quality data collected at the Sacramento River at Freeport and San Joaquin River near Vernalis, California, USA, was used to examine trends in concentrations and loads of various forms of dissolved and particulate nitrogen and phosphorus that entered the Sacramento–San Joaquin River Delta (Delta) from upstream sources between 1970 and 2019. Ammonium concentrations and loads decreased at the Sacramento River site from the mid-1970s through 1990 because of the consolidation of wastewater treatment and continuously reduced from the mid-1970s to 2019 at the San Joaquin River site. Current ammonium concentrations are mostly below 4 µM (0.056 mg N L –1 ) at both sites, a concentration above which reductions in phytoplankton productivity or changes in algal species composition may occur. The Sacramento River at Freeport site is located upstream of the Sacramento Regional County Sanitation District’s treatment facility’s discharge point; nutrient water quality there is representative of upstream sources. Inorganic nitrogen (nitrate plus ammonium) concentrations and loading differed at both sites. At the Sacramento River location, concentrations decrease in the summer agricultural season, reducing the molar ratios of nitrogen to phosphorus. In contrast, inorganic nitrogen concentrations increase in the San Joaquin River during the agricultural season as a result of irrigation runoff, increasing the molar ratio of nitrogen to phosphorus. This increase suggests a possible nitrogen limitation in the northern Delta and a phosphorus limitation in the southern Delta, as indicated by the molar ratios of bioavailable nitrogen to bioavailable phosphorus. Planned upgrades to the Sacramento Regional Wastewater Treatment Plant (SRWTP) will reduce inorganic nitrogen inputs to the northern Delta. Consequently, the supply of bioavailable nitrogen throughout the upper estuary should diminish. Source modeling of nitrogen and phosphorus identifies agriculture, atmospheric deposition, and wastewater effluent as sources of total nitrogen in the Central Valley. In contrast, geologic sources, agriculture, and wastewater discharge are the primary sources of phosphorus.

California↗

Interpretation of the Last Chance thrust, Death Valley region, California, as an Early Permian décollement in a previously undeformed shale basin

The Last Chance thrust, discontinuously exposed over an area of at least 2500 km 2 near the south end of the Cordilleran foreland thrust belt in the Death Valley region of east-central California, is controversial because of its poorly constrained age and its uncertain original geometry and extent. We interpret this thrust to be Early Permian in age, to extend throughout a sedimentary basin in which deep-water Mississippian shale overlain by Pennsylvanian and earliest Permian limestone turbidites accumulated, to represent about 30 km of eastward displacement, and to be related to convergence on a northeast-trending segment of the Early Permian continental margin. Last Chance deformation occurred between the times of the Antler and Sonoma orogenies of Late Devonian–Early Mississippian and Late Permian ages, respectively, and followed Early to Middle Pennsylvanian truncation of the continental margin by transform faulting. In the western part of the Mississippian shale basin in east-central California, the originally recognized exposures of the Last Chance thrust show Neoproterozoic and early Paleozoic strata above lower-plate Mississippian shale. Farther east, faults subparallel to bedding above, below, and within the Mississippian shale are interpreted to mark the thrust zone and to represent a regional décollement. At the eastern margin of the basin, upper-plate thrust slices of deep-water, late Paleozoic strata are interpreted to have piled up against the margin of the Mississippian carbonate shelf to form a large antiformal stack above the Lee Flat thrust, which we regard as the easternmost exposure of the Last Chance thrust. Thrust loading depressed the western part of the shelf, creating a new sedimentary basin in which about 3.5 km of younger Early Permian deep-water strata were deposited against the antiformal stack. Later, probably in the Late Permian, other thrusts, including the Inyo Crest thrust, which was subsequently overlapped by Early to Middle(?) Triassic marine strata, cut across the Last Chance thrust. We interpret the Last Chance thrust as similar in many ways to Appalachian-type décollements in which the zone of thrusting is localized along a shale interval. The Last Chance thrust, however, has been dismembered during later geologic events so that its original geometry has been obscured. Our model may have unrecognized analogs in other structurally complex shale basins in which the initial deformation was along a major shale unit.

Earth-Science Reviews↗

Spatiotemporal patterns of mercury accumulation in lake sediments of western North America

For the Western North America Mercury Synthesis, we compiled mercury records from 165 dated sediment cores from 138 natural lakes across western North America. Lake sediments are accepted as faithful recorders of historical mercury accumulation rates, and regional and sub-regional temporal and spatial trends were analyzed with descriptive and inferential statistics. Mercury accumulation rates in sediments have increased, on average, four times (4×) from 1850 to 2000 and continue to increase by approximately 0.2 μg/m 2 per year. Lakes with the greatest increases were influenced by the Flin Flon smelter, followed by lakes directly affected by mining and wastewater discharges. Of lakes not directly affected by point sources, there is a clear separation in mercury accumulation rates between lakes with no/little watershed development and lakes with extensive watershed development for agricultural and/or residential purposes. Lakes in the latter group exhibited a sharp increase in mercury accumulation rates with human settlement, stabilizing after 1950 at five times (5×) 1850 rates. Mercury accumulation rates in lakes with no/little watershed development were controlled primarily by relative watershed size prior to 1850, and since have exhibited modest increases (in absolute terms and compared to that described above) associated with (regional and global) industrialization. A sub-regional analysis highlighted that in the ecoregion Northwestern Forest Mountains, <1% of mercury deposited to watersheds is delivered to lakes. Research is warranted to understand whether mountainous watersheds act as permanent sinks for mercury or if export of “legacy” mercury (deposited in years past) will delay recovery when/if emissions reductions are achieved.

Alaska, Alberta, Arizona, British Columbia, Califo↗

Integrating high-resolution coastal acidification monitoring data across seven United States estuaries

Beginning in 2015, the United States Environmental Protection Agency’s (EPA’s) National Estuary Program (NEP) started a collaboration with partners in seven estuaries along the East Coast (Barnegat Bay; Casco Bay), West Coast (Santa Monica Bay; San Francisco Bay; Tillamook Bay), and the Gulf of Mexico (GOM) Coast (Tampa Bay; Mission-Aransas Estuary) of the United States to expand the use of autonomous monitoring of partial pressure of carbon dioxide ( p CO 2 ) and pH. Analysis of high-frequency (hourly to sub-hourly) coastal acidification data including p CO 2 , pH, temperature, salinity, and dissolved oxygen (DO) indicate that the sensors effectively captured key parameter measurements under challenging environmental conditions, allowing for an initial characterization of daily to seasonal trends in carbonate chemistry across a range of estuarine settings. Multi-year monitoring showed that across all water bodies temperature and p CO 2 covaried, suggesting that p CO 2 variability was governed, in part, by seasonal temperature changes with average p CO 2 being lower in cooler, winter months and higher in warmer, summer months. Furthermore, the timing of seasonal shifts towards increasing (or decreasing) p CO 2 varied by location and appears to be related to regional climate conditions. Specifically, p CO 2 increases began earlier in the year in warmer water, lower latitude water bodies in the GOM (Tampa Bay; Mission-Aransas Estuary) as compared with cooler water, higher latitude water bodies in the northeast (Barnegat Bay; Casco Bay), and upwelling-influenced West Coast water bodies (Tillamook Bay; Santa Monica Bay; San Francisco Bay). Results suggest that both thermal and non-thermal influences are important drivers of p CO 2 in Tampa Bay and Mission-Aransas Estuary. Conversely, non-thermal processes, most notably the biogeochemical structure of coastal upwelling, appear to be largely responsible for the observed p CO 2 values in West Coast water bodies. The co-occurrence of high salinity, high p CO 2 , low DO, and low temperature water in Santa Monica Bay and San Francisco Bay characterize the coastal upwelling paradigm that is also evident in Tillamook Bay when upwelling dominates freshwater runoff and local processes. These data demonstrate that high-quality carbonate chemistry observations can be recorded from estuarine environments using autonomous sensors originally designed for open-ocean settings.

California, Florida, Maine, New Jersey, Oregon, Te↗

Ongoing increases in dissolved organic carbon are sustained by decreases in ionic strength rather than decreased acidity in waters recovering from acidic deposition

Dissolved organic carbon (DOC) has received considerable attention in freshwater research, particularly since the early 2000s when increasing trends became apparent. However, remaining questions need to be resolved to address future effects of DOC on surface waters. This study was undertaken to determine (1) the relative importance of acidity and ionic strength in driving DOC increases in waters recovering from acidification and (2) the role played by long-term acid rain effects on soil. Data obtained from temporal and spatial monitoring of 142 headwater streams throughout the Adirondack region of New York (USA) were used to evaluate chemical relationships involving DOC. Year-round monitoring of three streams of differing acidification status were combined with intermittent stream surveys during spring snowmelt throughout this 24,243 km 2 region that is recovering from acidification of soils and surface waters. Despite acidic deposition decreases reaching levels estimated for the early 1900s, DOC concentrations exhibited linear increases from the early 2000s through 2019. Ionic strength or conductivity showed consistent inverse relationships with DOC in all data comparisons from 2004‐05 to 2018‐19. In contrast, relationships between pH and DOC did not support increasing pH as an important factor in DOC increases. Inconsistent relationships between pH and DOC were due to strongly acidic organic acids that remain unprotonated throughout the pH range of these waters and limited weak-acid deprotonation below pH 6.2. Decreasing ionic strength increases DOC solubility by expanding the diffuse double layer, which fosters disaggregation of organic matter and dispersion of colloids. This affect controlled DOC solubilization below a pH of approximately 6.2. Distinguishing between ionic strength and pH effects is important because further large reductions in acidic deposition are not expected but continued soil-water dilution is likely from soil-Ca 2+ depletion and the decreasing rate of Ca 2+ leaching by SO 4 2− and NO 3 − , which are still being released from soil organic matter.

New York↗

Antecedent flow conditions and nitrate concentrations in the Mississippi River basin

The relationship between antecedent flow conditions and nitrate concentrations was explored at eight sites in the 2.9 million square kilometers (km 2 ) Mississippi River basin, USA. Antecedent flow conditions were quantified as the ratio between the mean daily flow of the previous year and the mean daily flow from the period of record (Qratio), and the Qratio was statistically related to nitrate anomalies (the unexplained variability in nitrate concentration after filtering out season, long-term trend, and contemporaneous flow effects) at each site. Nitrate anomaly and Qratio were negatively related at three of the four major tributary sites and upstream in the Mississippi River, indicating that when mean daily streamflow during the previous year was lower than average, nitrate concentrations were higher than expected. The strength of these relationships increased when data were subdivided by contemporaneous flow conditions. Five of the eight sites had significant negative relationships ( p ≤ 0.05) at high or moderately high contemporaneous flows, suggesting nitrate that accumulates in these basins during a drought is flushed during subsequent high flows. At half of the sites, when mean daily flow during the previous year was 50 percent lower than average, nitrate concentration can be from 9 to 27 percent higher than nitrate concentrations that follow a year with average mean daily flow. Conversely, nitrate concentration can be from 8 to 21 percent lower than expected when flow during the previous year was 50 percent higher than average. Previously documented for small, relatively homogenous basins, our results suggest that relationships between antecedent flows and nitrate concentrations are also observable at a regional scale. Relationships were not observed (using all contemporaneous flow data together) for basins larger than 1 million km 2 , suggesting that above this limit the overall size and diversity within these basins may necessitate the use of more complicated statistical approaches or that there may be no discernible basin-wide relationship with antecedent flow. The relationships between nitrate concentration and Qratio identified in this study serve as the basis for future studies that can better define specific hydrologic processes occurring during and after a drought (or high flow period) which influence nitrate concentration, such as the duration or magnitude of low flows, and the timing of low and high flows.

Mississippi River Basin↗

Diving deeper into seep distribution along the Cascadia Convergent Margin, USA

Previous margin-wide studies of methane seep distribution along the Cascadia Subduction Zone indicate peaks in seep density within the landward limit of the of gas hydrate stability zone (GHSZ; ≤500 m depth), suggesting a link between current ocean warming, acceleration of hydrate dissociated, and methane emissions. This inferred connection, however, may not account for regional geologic and/or structural complexities driving methane seepage. Expanding upon an existing seep database by adding new seeps data, we conducted statistical and spatial analyses to determine margin-wide distribution trends and offer a tectonic framework for understanding the tendency toward non-normality and spatial clustering. We then highlight the role of local-scale drivers of seep formation in addition to the first-order tectonic framework, using systematic geologic/geomorphic characterization of seep emission sites in southern Cascadia and case studies using meta-attribute analysis of seismic reflection data.. Seep distribution along the margin is non-random, but instead of clustering along the 500-m isobath, regions of high seep density occur in canyons and topographic highs. New findings from this study conclude that co-location of the outer arc high (OAH) and the landward limit of the GHSZ may explain high concentrations of seeps where deformation is the greatest and hydrates are unstable. Detailed analysis of the spatial relationships between seep sites and geologic-geomorphic features in southern Cascadia reveal a link between seeps and anticlines, with 52% of the seeps found in association with anticlines, 36% found at faults, 16% associated with canyons, and 11% at seafloor failure scarps. Given that a majority of anticlines are located along or seaward of the OAH in the actively deforming outer wedge, we suggest that the location of the OAH is a primary structural control on seep distribution. This scenario is supported by neural network analysis of multichannel seismic data revealing zones of probable fluid migration along vertical pipes, faults, and chimneys in the vicinity of active seep sites on anticlines. Determining linkages between seeps and submarine tectonic geomorphology is a crucial first step for understanding and forecasting the distribution of methane seepage, but also a necessity for evaluating causal relationships between ocean warming and gas-hydrate stability.

California, Oregon, Washington↗

Geology and Mineral Resources of the East Mojave National Scenic Area, San Bernardino County, California

From our evaluations that largely used model-based criteria, we conclude that much of the East Mojave National Scenic Area (EMNSA) contains significant indications of epigenetic mineralization of various types. Economically significant concentrations of many metals may possibly remain to be discovered in many parts of the EMNSA (see also Wetzel and others, 1992). We have discussed specific types of metallic deposits that are known to be present in the EMNSA. Some mountain ranges that have widespread occurrences are the Providence Mountains, Clark Mountain Range, Ivanpah Mountains, and New York Mountains; the area of Hackberry Mountain is included in a tract that is judged to be favorable for the discovery of epithermal, volcanic-hosted gold deposits (pl. 2). These ranges make up a broad, roughly north-south-trending region in the central part of the EMNSA. Much less endowed with known occurrences of all of the various types of deposits considered above are the Granite Mountains, the central parts of the Piute Range, the Fenner Valley area, the general area of Cima Dome, the Cima volcanic field, and areas west to Soda Lake. We have attempted to make some judgments concerning the gravel-covered areas in the EMNSA (pl. 3), including the areal extent of bedrock apparently covered only by thin veneers of gravel. But few data are available to us for the overwhelming bulk of the covered areas. The presence of any mineralization, the type of mineralization, and the extent and intensity of mineralization in the covered areas is essentially unknown. The likelihood is high, however, that those areas in the EMNSA covered only by a thin cap of gravels could host mineralization similar to that known in the adjoining mountain ranges. Most buried epigenetic-mineral deposits do not respond to standard geophysical methods, particularly at the coarse spacing of the data-collection points available for our evaluation. Restricting judgments concerning the presence of undiscovered metal resources in the EMNSA only to currently known types of deposits and to regionally representative tonnages for such deposits would undoubtedly yield small estimates for volumes of many metals that might be exploited. Metals from most newly discovered, base- and ferrous-metal deposits of the types presently known in the EMNSA probably would be insignificant from the standpoint of national needs. For example, copper from a newly discovered skarn deposit in the EMNSA would have roughly a 25 percent chance of being in excess of approximately 10,000 tonnes contained Cu, if the grade-and-tonnage distribution curves of Jones and Menzie (1986b) for copper skarns are applicable to copper skarn in the EMNSA. Most copper in the United States is produced in the Southwest from much larger open-pit operations than those associated with the typical copper skarn; the former operations exploit large-tonnage porphyry-type systems. Historically, the EMNSA has been the site of minor production of many metals from a large number of sites. Since 1985, however, a small number of sites in the EMNSA whose gold production and reserves are much greater than that of the preceding discoveries have been developed (see U.S. Bureau of Mines, 1990a). Nonetheless, widespread distribution of numerous types of deposits (including copper skarn, lead-zinc skarn, tin-tungsten skarn, polymetallic vein, gold-silver quartz-pyrite vein, low-fluorine porphyry molybdenum, gold breccia pipe, and volcanic-hosted gold) that are petrogenetically associated with igneous rock in many parts of the EMNSA is indicative of a metallogenic environment that may be the site of future discoveries of mineral-deposit types that are not now recognized by the exploration community. The science, art, and, yes, even luck of exploration procedures continually evolve, and this evolution is one of the most important aspects of currently employed methods of exploration (Bailly, 1981; Hutchinson and Grauch, 1991).

Miscellaneous Field Studies Map↗

Guidebook to the Gaudalupian symposium

Compared to the Guadalupe Mountains of Texas and New Mexico the depositional environments of the Permian strata of the Glass Mountains (and adjacent Del Norte Mountains) are less well known. In general, the Guadalupian facies in the the Glass and Del Norte mountains changes from predominantly carbonate facies in the northeast to thicker clastic facies in the southwest. Philip B. Kind (1931) originally considered this trend to reflect an uplifted clastic source to the southwest, with carbonate facies developing away from the source area. Ross (1986) interpreted the eastern portion of the Road Canyon and Word formations to consist the shelf, shelf-edge bioherm, and reef facies, and the southwest area to consist of deeper water siliceous shale, clastic limestone, and basinal sandstone facies. Probably the best known controversy in the Glass Mountains involves the depositional environment of the Skinner Ranch Formation (Leonardian according to Ross, 1986; Wolfcampian according to Cooper and Grant, 1972) at its type section on Leonard Mountain. Cooper and Grant (1964) identified in situ patch reefs at the base of the section, which were subsequently interpreted as displaced limestone blocks deposited in a slope environment (Rogers, 1972; Cys and Mazzullo, 1978; Ross, 1986). Later Flores, McMillan, and Watters (1977) interpreted the same units as subtidal and intertidal deposits. The Skinner Ranch Formation illustrates the complexities involved in interpreting the paleogeography of the Glass Mountains. If the Sinner Ranch contains displaced blocks, some eroded from older units, it explains the occurrence of Wolfcampian fossils in the Skinner Ranch (Ross, 1986).The slop facies interpretation also is used to place the shelf edge at that time between Skinner Ranch outcrops at Leonard Mountain and the lagoonal, backreef deposits of the Hess Formation to the east, although most of the actual shelf edge is not preserved (Ross, 1987:30). Similar conflicting interpretations exist in younger rocks in the western facies of the Leonardian Guadalupian to the southwest in the Del Norte Mountains. Ross (1986, 1987) considered the western facies of the Road Canyon and Word formations to be basinal shales and turbidites. Wardlaw et al. (1990) and Rohr et al. (1987) have interpreted this area to be shallow intertidal to lagoonal environments adjacent to an uplifted area to the south. The type section of the Road Canyon Formation is also a subject of disagreement and will be discusses in more detail later.

Texas↗

Geochronologic evidence for a possible MIS-11 emergent barrier/beach-ridge in southeastern Georgia, USA

Predominantly clastic, off-lapping, transgressive, near-shore marine sediment packages that are morphologically expressed as subparallel NE-trending barriers, beach ridges, and associated back-barrier areas, characterize the near-surface stratigraphic section between the Savannah and the Ogeechee Rivers in Effingham County, southeastern Georgia. Each barrier/back-barrier (shoreline) complex is lower than and cut into a higher/older complex. Each barrier or shoreline complex overlies Miocene strata. No direct age data are available for these deposits. Previous researchers have disagreed on their age and provenance. Using luminescence and meteoric beryllium-10 ( 10 Be) inventory analyses, we estimated a minimum age for the largest, westernmost, morphologically identifiable, and topographically-highest, barrier/beach-ridge (the Wicomico shoreline barrier) and constrained the age of a suite of younger barrier/beach-ridges that lie adjacent and seaward of the Wicomico shoreline barrier. At the study site, the near-shore marine/estuarine deposits underlying the Wicomico shoreline barrier are overlain by eolian sand and an intervening zone-of-mixing. Optically stimulated luminescence (OSL) data indicate ages of ≤43 ka for the eolian sand and 116 ka for the zone-of-mixing. Meteoric 10Be and pedostratigraphic data indicate minimum residence times of 33.4 ka for the eolian sand, 80.6 ka for the zone-of-mixing, and 247 ka for the paleosol. The combined OSL and 10Be age data indicate that, at this locality, the barrier/beach ridge has a minimum age of about 360 ka. This age for the Wicomico shoreline-barrier deposit is the first for any Pleistocene near-shore marine/estuarine deposit in southeast Georgia that is conclusively older than 80 ka. The 360-ka minimum age is in agreement with other geochronologic data for near-coastline deposits in Georgia and South Carolina. The geomorphic position of this barrier/beach-ridge is similar to deposits in South Carolina considered to be ~450 ka to >1 Ma. The age and geomorphic data for Georgia and South Carolina possibly suggest the presence of MIS-11 (~420−360 ka) shoreline deposits between 15 m and 28 m above present sea level in the Southeastern Atlantic Coastal Plain.

Georgia↗

Multiple hydrothermal and metamorphic events in the Kidd Creek volcanogenic massive sulphide deposit, Timmins, Ontario: evidence from tourmalines and chlorites

Tourmaline and chlorite are the principal ferromagnesian silicate minerals in the Kidd Creek massive sulphide deposit. Tourmaline is most common in sphalerite-rich peripheral margins of the chalcopyrite stringer zone. Within the north orebody, samples typically contain <1% tourmaline, but small areas (hand-specimen scale) may have 10–20%. Chlorite is more widely distributed and in places constitutes 30–50% of rock volumes. Associated assemblages may include quartz, sulphides (principally chalcopyrite, sphalerite, and (or) pyrite), carbonate, albite, sericite, and rare fluorite, allanite, or zoisite(?).The tourmalines and chlorites record a series of multiple hydrothermal and metamorphic events. Paragenetic studies suggest that tourmaline was deposited during several discrete stages of mineralization, as evidenced by brecciation and cross-cutting relationships. Most of the tourmalines have two concentric growth zones defined by different colours (green, brown, blue, yellow). Some tourmalines also display pale discordant rims that cross-cut and embay the inner growth zones and polycrystalline, multiple-extinction domains. Late sulphide veinlets (chalcopyrite, pyrrhotite) transect the inner growth zones and pale discordant rims of many crystals. The concentric growth zones are interpreted as primary features developed by the main ore-forming hydrothermal system, whereas the discordant rims, polycrystalline domains, and cross-cutting sulphide veinlets reflect post-ore metamorphic processes.Detailed electron microprobe analyses of tourmalines show a wide compositional range, from Fe-rich dravite nearly to end-member schorl, with Fe/(Fe + Mg) ratios varying from 0.33 to 0.92; only minor amounts of Ca are present, yielding uniformly high Na/(Na + Ca) ratios of 0.84–0.99. Two sets of chemical zoning trends are identified in the tourmalines, involving systematic changes in Fe/(Fe + Mg), Na/(Na + Ca), Al, and Ti that are believed to reflect internal coupled substitutions (e.g.,  + Ti = Na + Al) and local mineral equilibria (e.g., tourmaline–chlorite). Analyses of the pale discordant reaction rims show consistent depletion of Fe, Ca, and Ti, presumably by fluid–solid reactions during post-ore metamorphism.Chlorites also show an extensive range in composition, from ripidolite nearly to end-member daphnite, with Fe/(Fe + Mg) ratios of 0.43–0.98 and Si cation values of 5.00–5.39. Chlorites from the fringes of the footwall stringer zone have narrow compositional ranges, whereas chlorites near footwall rhyolite sills in the core of the stringer zone display major variations in Fe/(Fe + Mg) ratios, including one sample with a range of 0.68–0.95. The former group of chlorites has Fe/(Fe + Mg) ratios that correlate well with those of coexisting tourmalines (exclusive of late reaction rims). Data for the latter group, in contrast, fall off equilibrium K D curves, indicating that the tourmalines and chlorites within these samples are not in chemical equilibrium. The chlorites are believed to have been altered (overprinted) by Fe-rich hydrothermal fluids apparently generated during intrusion of the rhyolite sills. The tourmalines, however, are unaffected and retain primary chemical signatures.Variations in mineral proportions and mineral chemistry within the deposit mainly depend on fluctuations in temperature, pH, water/rock ratios, and amounts of entrained seawater. The major proposed control is mixing between high-temperature, Fe-rich end-member hydrothermal fluids and cold, Mg-rich entrained seawater. Fe/(Fe + Mg) variations in footwall tourmalines (and equilibrium chlorites) are believed to largely reflect the progressive infiltration of Mg-rich seawater into the margins and top of the hydrothermal system. The more Fe-rich compositions of Kidd Creek tourmalines relative to those from sediment-hosted massive sulphide deposits (e.g., Sullivan, British Columbia) may be related to the preferential generation of end-member hydrothermal fluids in proximal volcanic environments like that at Kidd Creek.

Ontario↗

Range-wide trends in tiger conservation landscapes, 2001 - 2020

Of all the ways human beings have modified the planet over the last 10,000 years, habitat loss is the most important for other species. To address this most critical threat to biodiversity, governments, non-governmental actors, and the public need to know, in near real-time, where and when habitat loss is occurring. Here we present an integrated habitat modelling system at the range-wide scale for the tiger ( Panthera tigris ) to measure and monitor changes in tiger habitat at range-wide, national, biome, and landscape scales, as often as the underlying inputs change. We find that after nearly 150 years of decline, effective potential habitat for the tiger seems to have stabilized at around 16% of its indigenous extent (1.817 million km 2 ). As of the 1st of January 2020, there were 63 Tiger Conservation Landscapes in the world, covering 911,920 km 2 shared across ten of the 30 modern countries which once harbored tiger populations. Over the last 20 years, the total area of Tiger Conservation Landscapes (TCLs) declined from 1.025 million km 2 in 2001, a range-wide loss of 11%, with the greatest losses in Southeast Asia and southern China. Meanwhile, we documented expansions of modelled TCL area in India, Nepal, Bhutan, northern China, and southeastern Russia. We find significant potential for restoring tigers to existing habitats, identified here in 226 Restoration Landscapes. If these habitats had sufficient prey and were tigers able to find them, the occupied land base for tigers might increase by 50%. Our analytical system, incorporating Earth observations, in situ biological data, and a conservation-oriented modelling framework, provides the information the countries need to protect tigers and enhance habitat, including dynamic, spatially explicit maps and results, updated as often as the underlying data change. Our work builds on nearly 30 years of tiger conservation research and provides an accessible way for countries to measure progress and report outcomes. This work serves as a model for objective, range-wide, habitat monitoring as countries work to achieve the goals laid out in the Sustainable Development Goals, the 30×30 Agenda, and the Kunming-Montreal Global Biodiversity Framework.

Frontiers in Conservation Science↗

A monitoring framework to assess forest bird population response to landscape scale mosquito suppression using the Incompatible Insect Technique

The Birds, Not Mosquitoes Monitoring and Support Science Working Group detailed methods for monitoring the population response of Hawaiian forest birds during implementation of the Incompatible Insect Technique (IIT) on the islands of Maui and Kauaʻi. The group prioritized methods for measuring the influence of mosquito suppression on populations within IIT treatment and control areas and identified focal species for IIT efficacy monitoring in birds. Three primary metrics were established to assess the impact of IIT on vulnerable species: population demography, density, and geographic range. Each metric can be evaluated using multiple methods. This report reviews those methods, with emphasis on approaches supported by pre-IIT baseline data and compatible with a before-after control-impact (BACI) study design for evaluating population responses over time. Focal avian species were selected based on population size estimates, fecundity, and disease susceptibility. We identified ʻākohekohe (Palmeria dolei), ʻiʻiwi (Drepanis coccinea), Maui ʻalauahio (Paroreomyza montana), Hawaiʻi ʻamakihi (Chlorodrepanis virens), Kauaʻi ʻamakihi (Chlorodrepanis stejnegeri), Kauaʻi ʻelepaio (Chasiempis sclateri), and ʻanianiau (Magumma parva) as focal species for monitoring population level response to disease suppression. Populations of kiwikiu (Pseudonestor xanthophrys), ʻakikiki (Oreomystis bairdi), akekeʻe (Loxops caeruleirostris), and the ʻiʻiwi population on Kauaʻi may be too small (e.g., <100 individuals) to effectively monitor, and it is unlikely that sufficient data can be collected from these birds to show IIT efficacy in a relatively short time frame (i.e., 5–10 years). Despite the logistical challenges to IIT implementation, there is potential to maintain disease-free status in individual populations of birds. Indeed, the continued existence of these critically endangered species in the wild within or near IIT treatment areas could be considered an accomplishment of IIT, given the current predictions for their extinction in the wild within 5–10 years. Demographic monitoring methods, including territory mapping, nest monitoring, mist-netting, and mark-recapture studies, provide direct evidence of survivorship and reproductive output. When combined with disease surveillance, these approaches could provide the most robust evidence of increased survivorship and productivity resulting from avian malaria suppression via IIT. However, demographic studies require several years of monitoring to achieve statistically robust BACI comparisons of survivorship and are more difficult to implement relative to other approaches. Given that these field efforts are labor-intensive and heavily reliant on personnel availability and funding, demographic monitoring could be conducted when adequate resources permit. On both Maui and Kauaʻi, passive acoustic monitoring (PAM) was identified as a priority method for monitoring the range, occupancy, and relative abundance of focal species. Autonomous recording units (ARUs) can record bird vocalizations in remote areas for several months. Innovative machine learning techniques permit rapid and semi-autonomous identification of most endemic honeycreepers on each island, maximizing sampling efficiencies and minimizing data processing costs. We predict mosquito suppression could support expansion of focal species into areas where disease transmission is currently excluding these species and expect acoustic monitoring data of focal species to reflect these spatial patterns. Additionally, the relative occupancy and call densities can be monitored temporally and spatially to assess the efficacy of IIT for supporting positive growth in vulnerable bird species. It is not yet clear if PAM is more effective than other methods, such as distance sampling, for detecting trends in the densities of rare species. However, the increased detections resulting from the larger sample size per observation point using ARUs will likely improve accuracy in detecting changes in species’ ranges. Collection of during and after treatment data within the BACI design could help to provide critical information to track avian population response, recovery, and potential range expansion related to IIT efforts. Point-transect distance sampling (point-counts) was prioritized as a method for monitoring population densities of focal species. Extensive historical sampling across focal species’ ranges provides a robust baseline for detecting change. These counts provide updated population densities and can be used to assess the distribution of focal species within IIT treatment areas. However, detecting subtle population changes with traditional distance sampling requires intensive spatial and temporal effort and may be less effective for rare species. To improve resolution, density surface modeling can integrate multiple data sources (e.g., point-counts, PAM, spot-mapping, and resightings) to estimate species-specific densities at finer spatial scales, including within and outside IIT treatment areas. This integrated modeling approach allows for detailed comparisons and may reveal early signs of recovery, including recolonization of formerly occupied sites. A coordinated monitoring strategy can allow managers to evaluate the success of mosquito suppression as a conservation intervention and support adaptive management in the face of emerging challenges.

Hawaii↗