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Restoration monitoring metric framework: Integrating innovative remote-sensing technologies: Comparisons between field and remotely sensed vegetation surveys of restored forested and grassland sites in Ohio

Restoration monitoring is generally perceived as costly and time-consuming, yet the concept of universal restoration monitoring metrics is trending for evaluation of restoration performance across spatial scales, project boundaries, and jurisdictions. Natural Resource Damage Assessment and Restoration (NRDAR) practitioners seek to restore natural resources injured by oil spills or hazardous substance releases into the environment. Therefore, a multiagency team [US Army Engineer Research and Development Center (ERDC), US Department of the Interior (DOI), and US Department of Energy (DOE)] developed and field-tested a multitiered monitoring framework, illustrating a range of field and remote-sensing techniques and methodologies. The restoration monitoring framework and field demonstration offer a unique methodology to acquire and evaluate simultaneously collected, multiscale/multiplatform data. The result of this research provides new insights to (1) assist planning, implementing, and monitoring restoration progress and effectiveness; and (2) apply common monitoring methods, endpoints, and metrics to other types of ecosystem restoration initiatives. Although the aim was to inform monitoring and management of areas that had been injured, these methods could also be used to inform restoration monitoring practices in a broader context, benefiting environmental stewardship missions of all project partners.

Final Technical Report

Reproductive physiology of Missouri River gravid pallid sturgeon and shovelnose sturgeon during the 2005 and 2006 spawning seasons: Chapter C in Factors affecting the reproduction, recruitment, habitat, and population dynamics of pallid sturgeon and shovelnose sturgeon in the Missouri River

In a natural, unaltered river, the location and timing of sturgeon spawning will be dictated by the prevailing environmental conditions to which the sturgeon have adapted. A goal of the Comprehensive Sturgeon Research Program (CSRP; see chap. A) at the U.S. Geological Survey Columbia Environmental Research Center is to identify where, when, and under what conditions shovelnose sturgeon ( Scaphirhynchus platorynchus ) and pallid sturgeon ( S. albus ) spawn in the altered Missouri River so that those conditions necessary for spawning success can be defined. One approach to achieving this goal is to exploit what is known about fish reproductive physiology to develop and apply a suite of diagnostic indicators of readiness to spawn. In 2005 and 2006, gravid shovelnose sturgeon and a limited number of pallid sturgeon were fitted with transmitters and tracked on their spawning migration. A suite of physiological indicators of reproductive state such as reproductive hormones and oocyte development were measured. These same measurements were made on tissues collected from additional fish, presumably migrating to spawn, that were not tagged or tracked. The data presented here indicating the sturgeons’ readiness to spawn are to be evaluated together with their behavior and the environmental conditions. The U.S. Army Corps of Engineers (ACOE) Sturgeon Response to Flow Modification (SRFM; see chap. A) study, initiated in 2006, provides additional opportunities to experimentally evaluate the sturgeon reproductive response indicators relative to changes in flow. In this chapter, we report progress made on identifying and developing the physiological indicators and summarize 2 years’ worth of indicator data collected thus far.

Missouri River, Yellowstone River

Ecological Investigations of the Federally Endangered Shivwits Milk-Vetch (Astragalus ampullarioides)--2006 Annual Report

Astragalus ampullarioides (Welsh) Welsh, the Shivwits milk-vetch, is an herbaceous perennial legume that was listed as federally endangered in September 2001. Known populations of this edaphic endemic species are restricted to Washington County, Utah, with the majority of occurrences found on gently sloping outcrops of the Triassic Petrified Forest Member of the Chinle Formation at the edge of the Mojave Desert. At the time of listing in 2001, surveys estimated a total of 1000 individuals for the species. In April-May 2006, surveys estimated approximately 4205 individuals distributed among six populations. Of the total number of individuals estimated in spring 2006, over 75 percent were distributed among three subpopulations in Zion National Park and approximately 60 percent occurred at a single 0.3-ha site in the Park. In addition to small population sizes and limited geographic distributions, the species is threatened to varying degrees by urbanization, livestock grazing, off-road vehicle use, and invasive exotic plants. In April 2006, the U.S. Geological Survey (USGS) initiated ecological investigations of the Shivwits milk-vetch to support conservation management and recovery of the species by the National Park Service (NPS; Zion National Park), the U.S. Fish and Wildlife Service (USFWS), the Bureau of Land Management (BLM), the Shivwits Band of the Paiute Tribe, and other cooperators such as The Nature Conservancy of Utah (TNC). To date, funding for this research has been provided by the Southwest Biological Science Center of the USGS Biological Resources Discipline, the USGS-NPS Park-Oriented Biological Support Project, and the Earth Surface Dynamics Program of the USGS Geologic Discipline. Additional logistical support has been provided by the Bureau of Land Management, Grand Staircase-Escalante National Monument. General objectives of this research are (1) to develop a better understanding of species-environment relations to support habitat modelling, future surveys for additional recovery populations, and potential efforts to establish new recovery populations; and (2) to evaluate effects of invasive exotic plants on habitat conditions and measures of milk-vetch performance. Specific objectives are to: Describe the distribution and abundance of milk-vetch populations and associated invasive exotic plant species within and outside of Zion National Park (Zion NP) in relation to geologic / geomorphic setting, soil properties, and plant community composition. In a field setting in Zion NP, conduct experiments to evaluate effects of invasive exotic plants on reproductive output and seedling establishment of A. ampullarioides across a gradient of exotic species biomass. Conduct greenhouse studies and analyze soils to evaluate effects of invasive exotic plants on soil biological properties (including mycorrhizal inocculation potential) that affect cycling and plant uptake of essential mineral nutrients. Based on environmental characteristics of known population locations, use Geographic Information System (GIS) tools to prepare a predictive habitat model that can be used to guide future surveys and efforts to evaluate sites for reintroduction efforts. This report describes 2006 progress and future plans for achieving these four objectives.

Open-File Report

Report of Committee on Runoff—1944–1945

The membership of the committee has been selected to afford good representation of geographic sections and of organizations engaged in runoff research. Some new members were added during the year in order to strengthen the representation of the committee in certain phases of runoff research. Norbert H. Leupold submitted his resignation in April because his work is no longer directly related to runoff‐research. At the beginning of the year members of the committee met to discuss its setup and plans for the future. The committee has two subcommittees, one dealing with floods and the other with subsurface‐flow. The question was considered whether progress might be facilitated by the addition of one or more additional committees dealing with logical classifications of the subject of runoff. The confusion in nomenclature and terminology relating to runoff was discussed,but it was thought that the present time was not fitting for comprehensive consideration of standardization. It was considered important that the writer of a paper dealing with runoff should make clear the usage of terms he follows In his paper. It was emphasized that there is still an important need for better understanding or liaison between groups dealing with the influence of land use on stream‐flow and those dealing with control and development of streams.

Eos, Transactions, American Geophysical Union

Formation, evolution, and stability of coastal cliffs: Status and trends

The Ocean Studies Board of the National Research Council recently reviewed the U.S. Geological Survey's Coastal and Marine Geology (USGS-CMG) program. One of the Board's primary recommendations was that CMG prepare comprehensive assessments of the nation's coastal and marine regions, drawing on expertise not only from within the USGS, but also from outside agencies and academic institutions. In response to that recommendation, this report assesses the status and trends of coastal cliffs along the shorelines of the conterminous United States and the Great Lakes. By "status" is meant the present distribution and character of coastal cliffs, as well as their current relevance to social issues such as coastal development. By "trends" is meant the changes in status caused by both geological forces and human activities. Coastal cliffs are steep escarpments at the coastline. They commonly form during times of rising sea level, such as the present, as the shoreline advances landward and erodes the elevated landmass. Coastal cliffs are a common landform, particularly on the west, northeast, and Great Lakes coasts of the United States, as well as within large estuaries. The land adjacent to coastal cliffs has been heavily developed along much of the coast, particularly in urban areas where the natural instability and progressive retreat of the cliffs pose a threat to life and property. Coastal land is permanently lost when coastal cliffs collapse and retreat landward, which is an important national issue in coastal planning, management, and engineering. The content of this report was derived from the personal expertise of the authors and from the extensive scientific literature concerned with coastal cliffs. As a report to the Nation, it is intended for a broad audience. Both topical and regional aspects are presented. It is important to recognize that the emphasis of this report is on the geology of coastal cliffs; engineering, land-use, and regulatory issues are addressed only where there is a clear link to the geologic nature of coastal cliffs. The editors appreciate the thorough and careful review of the entire manuscript by Alan Trenhaile and Laura Moore. Their editing, comments, and questions greatly improved the content and clarity of the final report.

Professional Paper

Third U.S. Geological Survey Wildland Fire-Science Workshop : Denver, Colorado, November 12-15, 2002

Executive Summary -- The historically significant wildland fire events that occurred in the United States during 2000 and 2002, together with the associated recognition of the need for a different national policy of forest management, has led to an increased awareness of the need for cooperative effort among all Federal agencies in planning for and managing the risks and consequences of wildland fire. The expertise and capabilities of the U.S. Geological Survey (USGS) are significant resources in this regard, and the agency is becoming increasingly involved in fire-science activities in support of the various land-management agencies that are dealing directly with this issue. The First USGS Wildland Fire Workshop was held in Sioux Falls, South Dakota, in 1997 and helped to establish the direction of USGS in sharing its expertise with the fire-management agencies. The Second USGS Wildland Fire Workshop was held in Los Alamos, New Mexico, in 2000 and brought together all the agencies involved in the management of wildland fires in order to determine their needs, to demonstrate USGS capabilities to meet those needs, and to establish methods for the USGS to distribute data and tools useful in fire management. It enhanced the relationships developed during the 1997 workshop and helped to define USGS' role in the fire-management community. The Third USGS Wildland Fire-Science Workshop, held in Denver, Colorado, November 12?15, 2002, was an opportunity for exchange of information on recent progress in the area of fire science and to determine the gaps in fire-science research that could be addressed by the USGS. In addition to more than 90 USGS scientists engaged in fire-related research and managers of organizational units involved in some aspect of wildland fire activities, the workshop was attended by about 30 representatives of 11 other Federal agencies. There also were a number of attendees affiliated with several universities, private companies, and State and local agencies. The 4-day meeting consisted of a pre-workshop field trip to the Hayman Fire area, several keynote presentations, five panel discussions, presentation and 'breakout' discussion of four 'white paper' topics, and a poster session with more than 30 presentations.

Scientific Investigations Report

​​Integrated Hydro-terrestrial Modeling 2.0: Progress and path forward on building a national capability​

Growing societal pressures on U.S. water resources and the challenges inherent in understanding how future water risks may evolve are driving major investments to improve our knowledge of the integrated water cycle. This improved understanding as captured in innovations in our data, knowledge, and modeling capabilities, needs to be accelerated through better integration and coordination across scientific disciplines, programs, and U.S. agencies. The Integrated Hydro-Terrestrial Modeling (IHTM) community holds promise to accelerate the progress required to manage the U.S. water resources sustainably, equitably, and effectively. The U.S. Global Change Research Program (USGCRP) coordinates research on the impacts of global change on the water cycle through interagency collaboration. USGCRP agencies and their partners jointly held the IHTM 2.0 workshop for U.S. federal and non-federal scientists and managers in fall 2023, aiming to advance community modeling and integrated water resources management capabilities following open science principles. This workshop focused on developing both national and regional testbeds that employ state-of-the-art modeling approaches to explore gaps and opportunities for improving the representation and extensibility of hydrologic processes and modeling. Integrated regional testbeds in Mid-Atlantic, Great Lakes, Colorado River Basin, and Gulf Coast/Mississippi regions were proposed to leverage existing investments and seek actionable collaboration on issues such as water extremes, water quality, water use, and urbanization. Collaborations focused on advancing iterative cycles of model development and testing offer a means for regional scale studies to inform national scale modeling applications and yield nationally consistent modeling frameworks that are also locally relevant. This presentation will highlight key takeaways, findings, and future directions for the IHTM community that have been laid out in the IHTM 2.0 workshop report.

Report

Latency and geofence testing of wireless emergency alerts intended for the ShakeAlert® earthquake early warning system for the West Coast of the United States of America

ShakeAlert, the earthquake early warning (EEW) system for the West Coast of the United States, attempts to provides crucial warnings before strong shaking occurs. However, because the alerts are triggered only when an earthquake is already in progress, and the alert latencies and delivery times are platform dependent, the time between these warnings and the arrival of shaking is variable. The ShakeAlert system uses, among other public alerting platforms like a mobile phone operating system, smartphone apps, and the Federal Emergency Management Agency Integrated Public Alert & Warning System (IPAWS). IPAWS sends Wireless Emergency Alerts (WEAs) informing people via their smartphones and other mobile devices about various events, such as natural hazards, child abductions, or public health information about COVID-19. However, little is known about the IPAWS delivery latencies. Given that people may have only a few seconds of notice after they receive an alert to take a protective action before they feel earthquake shaking, quantifying latencies is critical to understanding whether the IPAWS system is useful for EEW. In this study, we developed new methods to test the IPAWS distribution system's performance, both with devices in a controlled environment and as well as with a 2019 community-based feedback form, in Oakland and San Diego County, California, respectively. The controlled environment test used mobile phones (including smart and non-smart phones) and associated devices to determine alert receipt times; the community research form had participants self-report their receipt times. By triangulating the data between the controlled test environment and the community research, we determined the latency statistics as well as whether the geofence (the geographic area where the alert was intended to be sent) held broadly. We found that the latencies were similar between the two tests despite the large differences in population sizes. WEA messages were received within a median time frame of 6–12 s, and the geofence held with only a few exceptions. We use this latency to assess how the system would have performed in two large earthquakes, the 1989 M6.9 Loma Prieta and 2019 M7.1 Ridgecrest earthquakes, which both occurred near our WEA test locations. Our analysis revealed that had IPAWS been available during those earthquakes, particularly Loma Prieta, it would have provided crucial seconds of notice that damaging shaking was imminent in some locations relatively far from the epicenter. Further, we find affordable non-smart phones can receive WEAs as fast as smartphones. Finally, our new method can be used for latency and geospatial testing going forward for IPAWS and other similar alerting systems.

California

Estimating the impacts of oil spills on polar bears

The polar bear is the apical predator and universal symbol of the Arctic. They occur throughout the Arctic marine environment wherever sea ice is prevalent. In the southern Beaufort Sea, polar bears are most common within the area of the outer continental shelf, where the hunt for seals along persistent leads and openings in the ice. Polar bears are a significant cultural and subsistence component of the lifestyles of indigenous people. They may also be one of the most important indicators of the health of the Arctic marine environment. Polar bears have a late age of maturation, a long inter0brth period, and small liter sizes. These life history features make polar bear populations susceptible to natural and human perturbations. Petroleum exploration and extraction have been in progress along the coast of northern Alaska for more than 25 years. Until recently, most activity has taken place on the mainland or at sites connected to the shore by a causeway. In 1999, BP Exploration-Alaska began constructing the first artificial production island designed to transport oil through sub-seafloor pipelines. Other similar projects have been proposed to begin in the next several years. The proximity of oil exploration and development to principal polar bear habitats raises concerns, and with the advent of true off-shore development projects, these concerns are compounded. Contact with oil and other industrial chemicals by polar bears, through grooming, consumption of tainted food, or direct consumption of chemicals, may be lethal. The active ice where polar bears hunt is also where spilled oil may be expected to concentrate during spring break-up and autumn freeze-up. Because of this, we could expect that an oil spill in the waters and ice of the continental shelf would have profound effects on polar bears. Assessments of the effects of spills, however, have not been done. This report described a promising method for estimating the effects of oil spills on polar bears in the Arctic marine environment. It uses enough real data to illuminate necessary calculations and illustrate the value of the methods. The results and conclusions presented here are only examples of possible scenarios resulting from a new estimation method. Final assessment of the potential impacts to polar bears of an oil spill remains a work in progress.

Alaska, Northwest Territories, Yukon

Synopsis of geologic and hydrologic results: Chapter A in Geological Survey research 1961

The Geological Survey is engaged in many different kinds of investigations in the fields of geology and hydrology. These investigations may be grouped into several broad, inter-related categories as follows: (a) Economic geology, including engineering geology (b) Regional geologic mapping, including detailed mapping and stratigraphic studies (c) Resource and topical studies (d) Ground-water studies (e) Surface-water studies (f) Quality-of-water studies (g) Field and laboratory research on geologic and hydrologic processes and principles. The Geological Survey also carries on investigations in its fields of competence for other Federal agencies that do not have the required specialized staffs or scientific facilities. Nearly all the Geological Survey's activities yield new data and principles of value in the development or application of the geologic and hydrologic sciences. The purpose of this report, which consists of 4 chapters, is to present as promptly as possible findings that have come to the fore during the fiscal year 1961 the 12 months ending June 30, 1961. The present volume, chapter A, is a synopsis of the highlights of recent findings of scientific and economic interest. Some of these findings have been published or placed on open file during the year; some are presented in chapters B, C, and D; still others have not been published previously. Only part of the scientific and economic results developed during the year can be presented in this synopsis. Readers who wish more complete or more detailed information should consult the bibliography of reports beginning on page A-156 of this volume, and the collection of short articles presented in the companion chapters as follows: Prof. Paper 424-B Articles 1 to 146 Prof. Paper 424-C Articles 147 to 292 Prof. Paper 424-D Articles 293 to 435 A list of investigations in progress in the Geologic and Water Resources Divisions with the names and addresses of the project leaders is given on pages A-110 to A-155 for those interested in work in progress in various areas or on special topics. During the fiscal year 1961, the services of the Geologic and Water Resources Divisions were utilized, or supported financially in part, by the many Federal and State agencies listed on pages A-106 to A-109. The Geological Survey has also cooperated from time to time with other agencies, and some of the work described in these chapters stems from work of previous years in cooperation with agencies not shown on the list. All cooperating agencies are identified where appropriate in the individual short articles in chapters B, C, and D, and they are mentioned in connection with some of the larger programs summarized in chapter A; because of space limitations, however, their contributions are mentioned in many of the short summary paragraphs contained in chapter A.

Professional Paper

Ecology of Greater Sage-Grouse in the Bi-State Planning Area Final Report, September 2007

Conservation efforts for greater sage-grouse (Centrocercus urophasianus), hereafter sage-grouse, are underway across the range of this species. Over 70 local working groups have been established and are implementing on-the-ground sage-grouse oriented conservation projects. Early on in this process, the California Department of Fish and Game (CDFG) recognized the need to join in these efforts and received funding from the U.S. Fish and Wildlife Service (USFWS) under the Candidate Species Conservation Program to help develop a species conservation plan for sage-grouse in the Mono County area. This conservation plan covers portions of Alpine, Mono, and Inyo counties in California and Douglas, Esmeralda, Lyon, and Mineral counties in Nevada. A concurrent effort underway through the Nevada Governor's Sage-grouse Conservation Team established Local Area Working Groups across Nevada and eastern California. The Mono County populations of sage-grouse were encompassed by the Bi-State Local Planning Area, which was comprised of six population management units (PMUs). The state agencies from California (CDFG) and Nevada (Nevada Department of Wildlife; NDOW) responsible for the management of sage-grouse agreed to utilize the process that had begun with the Nevada Governor's Team in order to develop local plans for conservation planning and implementation. Resources from the USFWS were applied to several objectives in support of the development of the Bi-State Local Area Sage-grouse Conservation Plan through a grant to the U.S. Geological Survey (USGS). Objectives included: (1) participate in the development of the Bi-State Conservation Plan, (2) compile and synthesize existing sage-grouse data, (3) document seasonal movements of sage-grouse, (4) identify habitats critical to sage-grouse, (5) determine survival rates and identify causal factors of mortality, (6) determine nest success and brood success of sage-grouse, and (7) identify sage-grouse lek sites. Progress reports completed in 2004 and 2005 addressed each of the specific objectives and this final report focuses on the biological information gathered in support of local conservation efforts. Participation in the development of the Bi-State Local Area Conservation Plan was accomplished on multiple scales. Beginning in the fall of 2002, USGS personnel began participating in meetings of local stakeholders involved in the development of a sage-grouse conservation plan for the Bi-State planning area. This included attendance at numerous local PMU group meetings and field trips as well as participating on the technical advisory committee (TAC) for the Bi-State group. Whenever appropriate, ongoing results and findings regarding sage-grouse ecology in the local area were incorporated into these working group meetings. In addition, the USGS partnered with CDFG to help reorganize one of the local PMU groups (South Mono) and edited that portion of the Bi-State plan. The USGS also worked closely with CDFG to draft a description of the state of knowledge for sage-grouse genetic information for inclusion in the Bi-State Conservation Plan. The first edition of the Bi-State Conservation Plan for Greater Sage-Grouse was completed in June 2004 (Bi-State Sage-grouse Conservation Team 2004). This report is organized primarily by PMU to facilitate the incorporation of these research findings into the individual PMU plans that compose the Bi-State plan. Information presented in this report was derived from over 7,000 radio-telemetry locations obtained on 145 individual sage-grouse during a three year period (2003-2005). In addition, we collected detailed vegetation measurements at over 590 habitat sampling plots within the study area including canopy cover, shrubs, forbs, and grasses diversity. Vegetation data collection focused on sage-grouse nests, and brood-use areas. Additionally we collected data at random sites to examine sage-grouse habitat relationships within the study area. The majori

Open-File Report

Reference condition approach to restoration planning

Ecosystem restoration planning requires quantitative rigor to evaluate alternatives, define end states, report progress and perform environmental benefits analysis (EBA). Unfortunately, existing planning frameworks are, at best, semi-quantitative. In this paper, we: (1) describe a quantitative restoration planning approach based on a comprehensive, but simple mathematical framework that can be used to effectively apply knowledge and evaluate alternatives, (2) use the approach to derive a simple but precisely defined lexicon based on the reference condition concept and allied terms and (3) illustrate the approach with an example from the Upper Mississippi River System (UMRS) using hydrologic indicators. The approach supports the development of a scaleable restoration strategy that, in theory, can be expanded to ecosystem characteristics such as hydraulics, geomorphology, habitat and biodiversity. We identify three reference condition types, best achievable condition (A BAC), measured magnitude (MMi which can be determined at one or many times and places) and desired future condition (ADFC) that, when used with the mathematical framework, provide a complete system of accounts useful for goal-oriented system-level management and restoration. Published in 2010 by John Wiley & Sons, Ltd.

River Research and Applications

Final Report: Five years of monitoring reconstructed freshwater tidal wetlands in the urban Anacostia River (2000-2004)

The Anacostia River in Washington, D.C. USA consisted of over 809 hectares (2000 acres) of freshwater tidal wetlands before mandatory dredging removed most of them in the first half of the 20th century. Much of this13 kilometer (8 mile) reach was transferred to the National Park Service (NPS). Planning processes in the 1980?s envisioned a restoration (rejuvenation) of some wetlands for habitat, aesthetics, water quality and interpretative purposes. Subsequently, the U.S. Army Corps of Engineers in a cost share agreement with the District of Columbia reconstructed wetlands on NPS lands at Kenilworth - 12.5 hectares (1993), Kingman - 27 hectares (2000), a Fringe Marsh - 6.5 hectares (2003) and is currently constructing Heritage Marsh - 2.5 hectares (2005/2006). The USGS Patuxent Wildlife Research Center in conjunction with the University of Maryland Biological Engineering Department was contracted to conduct post-reconstruction monitoring (2000-2004) to document the relative success and progress of the Kingman Marsh reconstruction primarily based on vegetative response but also in conjunction with seed bank and soil characteristics. Results from Kingman were compared to Kenilworth Marsh (reconstructed 7 years prior), Dueling Creek Marsh (last best remaining freshwater tidal wetland bench in the urbanized Anacostia watershed) and Patuxent River Marsh (in a more natural adjacent watershed). Vegetation establishment was initially strong at Kingman, but declined rapidly as measured by cover, richness, diversity , etc. under grazing pressure from resident Canada geese and associated reduction in sediment levels. This decline did not occur at the other wetlands. The decline occurred despite a substantial seed bank that was sustained primarily be water born propagules. Soil development, as true for most juvenile wetlands, was slow with almost no organic matter accumulation. By 2004 only two of 7 planted species remained (mostly Peltandra virginica) at Kingman which did provide almost 50% of the approximately 1/3 total vegetation cover remaining.

Book

Development of a long-term sampling network to monitor restoration success in the southwest coastal Everglades: Vegetation, hydrology, and sediments

Introduction and History Hurricane Andrew, a Category 5 storm, crossed the southern Florida peninsula on the morning of August 24, 1992. Following the storm, the National Park Service conducted an environmental damage assessment to gauge the storm's impacts on the natural resources of south Florida Park Service holdings. Although hurricanes have impacted Park Service lands such as the Everglades in the past, no systematic, permanent sampling scheme has been established to monitor long-term recovery (or lack thereof) following disturbance. In October 1992, vegetation monitoring plots were established in heavily damaged areas of mangrove forest on the southwest coast of the Everlgades, along the Lostmans and Broad Rivers. As the permanent plot network was being established, funding was awarded for the South Florida Global Climate Change project (SOFL-GCC). This led to the establishment of a network of hydrological monitoring stations. Finally, sediment elevation tables (SETs) were installed at many locations. SETs provide the means to measure very small changes (2 mm) in the sediment surface elevation accurately over time. We also set up marker horizons to measure accretion of sediment at each site. Sampling sites were located along three transects extending from upstream freshwater wetlands to downstream saltwater wetlands along the Shark, Lostmans and Chatham Rivers in Everglades National Park. While we were developing our sampling network for basic scientific research needs, concern mounted over the health of the Greater Everglades Ecosystem and in particular over the influence of decreased freshwater flows. Ecosystem restoration planning was begun, resulting in the multi-agency, $8 billion Comprehensive Everglades Restoration Plan (CERP). Our co-located sampling networks allow us to track the interaction of hydrology, sediment, and vegetation over time, and will provide the opportunity to monitor the progress of the Everglades restoration and to gauge its success. Our earlier research questions have been modified over time to place a major emphasis on CERP needs, while still recognizing the importance of other processes, including disturbance and sea-level rise. Our research addresses processes relevant to the following restoration and related questions: * How will increasing freshwater flow affect wetland primary production? * Will increasing freshwater inflow alter nutrient availability? * Does recovery following disturbance in mangroves depend on freshwater inflow? * Will the position of vegetation ecotones change in response to upstream water management? * What will be the influence of global climate change, such as sea-level rise, on the Everglades restoration? * Will processes of wetlands soil formation be altered by sea-level rise and changed freshwater inflow?

Florida

Archive of bathymetry data collected in South Florida from 1995 to 2015

Description Land development and alterations of the ecosystem in south Florida over the past 100 years have decreased freshwater and increased nutrient flows into many of Florida's estuaries, bays, and coastal regions. As a result, there has been a decrease in the water quality in many of these critical habitats, often prompting seagrass die-offs and reduced fish and aquatic life populations. Restoration of water quality in many of these habitats will depend partly upon using numerical-circulation and sediment-transport models to establish water-quality targets and to assess progress toward reaching restoration targets. Application of these models is often complicated because of complex sea floor topography and tidal flow regimes. Consequently, accurate and modern sea-floor or bathymetry maps are critical for numerical modeling research. Modern bathymetry data sets will also permit a comparison to historical data in order to help assess sea-floor changes within these critical habitats. New and detailed data sets also support marine biology studies to help understand migratory and feeding habitats of marine life. This data series is a compilation of 13 mapping projects conducted in south Florida between 1995 and 2015 and archives more than 45 million bathymetric soundings. Data were collected primarily with a single beam sound navigation and ranging (sonar) system called SANDS developed by the U.S. Geological Survey (USGS) in 1993. Bathymetry data for the Estero Bay project were supplemented with the National Aeronautics and Space Administration's (NASA) Experimental Advanced Airborne Research Lidar (EAARL) system. Data from eight rivers in southwest Florida were collected with an interferometric swath bathymetry system. The projects represented in this data series were funded by the USGS Coastal and Marine Geology Program (CMGP), the USGS South Florida Ecosystem Restoration Project- formally named Placed Based Studies, and other non-Federal agencies. The purpose of the data collection for all these projects was to support one or more of the following scientific aspects: numerical model applications, sea floor change analysis, or marine habitat investigations. This report serves as an archive of processed bathymetry sounding data, digital bathymetric contours, digital bathymetric maps, sea floor surface grids, and formal Federal Geographic Data Committee (FGDC) metadata. Refer to the Abbreviations page for explanations of acronyms and abbreviations used in this report. Since 2006, the USGS St. Petersburg Coastal and Marine Science Center (SPCMSC) assigns a unique identifier or Field Activity Number (FAN) for each field data collection. Projects described in this report conducted prior to 2006 do not have a FAN. Data from the 13 projects presented in this report provided critical hydrographic information to support multiple science projects in south Florida. The projects and the types of sounding data collected are: Florida Bay (1995-1999) - single-beam Lake Okeechobee (2001) - single-beam Tampa Bay (2001-2004) - single-beam Caloosahatchee River (2002)- single-beam Estero Bay to Matlacha Pass and offshore to Wiggins Pass (2003) - single-beam and airborne lidar North and Northwest Forks of the Loxahatchee and Lower St. Lucie Rivers (2003) - single-beam South Charlotte Harbor and offshore Sanibel Island (2003-2004) - single-beam Shark River and Trout Creek (2004) - single-beam and interferometric swath Southwest Florida Rivers (2004) - interferometric swath Offshore from Wiggins Pass to Cape Romano (2005) - single-beam Ten Thousand Islands (2009) - single-beam Lemon Bay (2011) - single-beam Southwest Florida Rivers (2015) - interferometric swath

Florida

Water-quality modeling of Klamath Straits Drain recirculation, a Klamath River wetland, and 2011 conditions for the Link River to Keno Dam reach of the Klamath River, Oregon

The upper Klamath River and adjacent Lost River are interconnected basins in south-central Oregon and northern California. Both basins have impaired water quality with Total Maximum Daily Loads (TMDLs) in progress or approved. In cooperation with the Bureau of Reclamation, the U.S. Geological Survey (USGS) and Watercourse Engineering, Inc., have conducted modeling and research to inform management of these basins for multiple purposes, including agriculture, endangered species protection, wildlife refuges, and adjacent and downstream water users. A water-quality and hydrodynamic model (CE-QUAL-W2) of the Link River to Keno Dam reach of the Klamath River for 2006–09 is one of the tools used in this work. The model can simulate stage, flow, water velocity, ice cover, water temperature, specific conductance, suspended sediment, nutrients, organic matter in bed sediment and the water column, three algal groups, three macrophyte groups, dissolved oxygen, and pH. This report documents two model scenarios and a test of the existing model applied to year 2011, which had exceptional water quality. The first scenario examined the water-quality effects of recirculating Klamath Straits Drain flows into the Ady Canal, to conserve water and to decrease flows from the Klamath Straits Drain to the Klamath River. The second scenario explicitly incorporated a 2.73×10 6 m 2 (675 acre) off-channel connected wetland into the CE-QUAL-W2 framework, with the wetland operating from May 1 through October 31. The wetland represented a managed treatment feature to decrease organic matter loads and process nutrients. Finally, the summer of 2011 showed substantially higher dissolved-oxygen concentrations in the Link-Keno reach than in other recent years, so the Link-Keno model (originally developed for 2006–09) was run with 2011 data as a test of model parameters and rates and to develop insights regarding the reasons for the improved water-quality conditions.

Oregon

Preliminary hydrogeologic assessment and study plan for a regional ground-water resource investigation of the Blue Ridge and Piedmont provinces of North Carolina

Prolonged drought, allocation of surface-water flow, and increased demands on ground-water supplies resulting from population growth are focuses for the need to evaluate ground-water resources in the Blue Ridge and Piedmont Provinces of North Carolina. Urbanization and certain aspects of agricultural production also have caused increased concerns about protecting the quality of ground water in this region. More than 75 percent of the State's population resides in the Blue Ridge and Piedmont Provinces in an area that covers 30,544 square miles and 65 counties. Between 1940 and 2000, the population in the Piedmont and Blue Ridge Provinces increased from 2.66 to 6.11 million; most of this increase occurred in the Piedmont. Of the total population, an estimated 1.97 million people, or 32.3 percent (based on the 1990 census), relied on ground water for a variety of uses, including commercial, industrial, and most importantly, potable supplies. Ground water in the Blue Ridge and Piedmont traditionally has not been considered as a source for large supplies, primarily because of readily available and seemingly limitless surface-water supplies, and the perception that ground water in the Blue Ridge and Piedmont Provinces occurs in a complex, generally heterogeneous geologic environment. Some reluctance to use ground water for large supplies derives from the reputation of aquifers in these provinces for producing low yields to wells, and the few high-yield wells that are drilled seem to be scattered in areas distant from where they are needed. Because the aquifers in these provinces are shallow, they also are susceptible to contamination by activities on the land surface. In response to these issues, the North Carolina Legislature supported the creation of a Resource Evaluation Program to ensure the long-term availability, sustainability, and quality of ground water in the State. As part of the Resource Evaluation Program, the North Carolina Division of Water Quality, Groundwater Section, in cooperation with the U.S. Geological Survey, initiated a multiyear study of ground water in the Blue Ridge and Piedmont Provinces. The study began in 1999. Most of the study area is underlain by a complex, two-part, regolith-fractured crystalline rock aquifer system. Thickness of the regolith throughout the study area is highly variable and ranges from 0 to more than 150 feet. The regolith consists of an unconsolidated or semiconsolidated mixture of clay and fragmental material ranging in grain size from silt to boulders. Because porosities range from 35 to 55 percent, the regolith provides the bulk of the water storage within the Blue Ridge and Piedmont ground-water system. At the base of the regolith is the transition zone where saprolite grades into unweathered bedrock. The transition zone has been identified as a potential conduit for rapid ground-water flow. If this is the case, the transition zone also may serve as a conduit for rapid movement of contaminants to nearby wells or to streams with channels that cut into 1 U.S. Geological Survey, Raleigh, North Carolina. 2 North Carolina Department of Environment and Natural Resources, Division of Water Quality, Groundwater Section. or through the transition zone. How rapidly a contaminant moves through the system largely may be a function of the characteristics of the transition zone. The transition zone is one of several topics identified during the literature review and data synthesis, for which there is a deficiency in data and understanding of the processes involved in the movement of ground water to surface water. Because the Blue Ridge and Piedmont study area is so large, and the hydrogeology diverse, it is not feasible to study all of the area in detail. A more feasible approach is to select areas that are most representative of the land use, geology, and hydrology to obtain an understanding of the hydrologic processes in the selected areas, and transfer the knowledge from these local "type areas" to similar regional hydrogeologic areas. For the purpose of this study, the term "type area" applies to a 10- to 100-square mile area within a hydrogeologic terrane where information is sufficient to develop and test a concept of ground-water flow by using analytical or numerical methods that can be validated by field measurements. Ideally, these type areas are selected to be representative of the flow system that is present wherever a particular hydrogeologic terrane is present. This report consists of two basic parts. The first part describes the results of a comprehensive review and synthesis of information and literature that provides the basic background for the study. This includes current (2002) knowledge regarding general geology and the hydrogeologic framework of the fractured-rock aquifer system that underlies the Blue Ridge and Piedmont Provinces. In spite of the quantity of information identified during the literature review and the amount of past work that has been documented, there are still research needs to be met. The second part of the report describes State ground-water issues and problems, available data, and data deficiencies. It also describes the design and implementation of efforts to characterize ground-water quality and to quantify factors that influence the movement and availability of ground water in the hydrogeologic terranes characterized by (1) massive or foliated crystalline rocks overlain by thick regolith and (2) massive or foliated crystalline rocks overlain by thin regolith. As of September 2001, seven sites had been identified as potential study sites to be used to characterize the hydrogeology and water quality of ype areas considered representative of the larger terranes. Detailed geologic mapping, core drilling, well installation, and surface and borehole geophysical surveys are in progress at four of the sites.

North Carolina

Research to improve ShakeAlert earthquake early warning products and their utility

Earthquake early warning (EEW) is the rapid detection of an earthquake and issuance of an alert or notification to people and vulnerable systems likely to experience potentially damaging ground shaking. The level of ground shaking that is considered damaging is defined by the specific application; for example, manufacturing equipment may experience damage at a lower intensity ground shaking than would cause damage to a building. Along the West Coast of the United States, the warning times for ground shaking could range as high as tens of seconds for moderate levels of ground shaking, or potentially longer, if a lower ground-shaking threshold is used to issue alerts. However, it is not always possible to provide advance warning of ground shaking, particularly for locations close to an earthquake that are most likely to experience very strong ground shaking. EEW alerts may be useful to individuals who can use a few seconds to move to a safe zone and to electromechanical systems that can take automatic actions to reduce damage and injuries. An EEW system, ShakeAlert, has been under development in the United States since 2006. Federal and State governments, as well as the private sector, are now investing in the ShakeAlert prototype system that will, when completed, become an operational public system for the West Coast of the United States. While the current prototype is delivering alerts to test users, improvements to the accuracy, timeliness, and utility of the alerts are needed. For this reason, it is essential that the ShakeAlert system be continuously improved through targeted research, involving not only the current ShakeAlert partner organizations, but also the broader scientific, engineering, and emergencyresponse communities. To this end, this report describes the opportunities for improvement that can be addressed through research and development over the next 5 years. Our recommendations are organized into four areas: (1) understand EEW capabilities and user needs, (2) make alerts as fast and accurate as possible, (3) ensure reliability when it counts, and (4) explore the use of new instrumentation. The first challenge is to understand EEW capabilities and user needs. EEW must deliver actionable information to people and to automated systems to mitigate short- and longterm impacts of damaging ground shaking, so development of EEW must be motivated by the needs of users. Within this challenge, we must study the technical capabilities and limitations of EEW in general, and the ShakeAlert system specifically. This includes development of performance metrics that assess the timeliness and accuracy of alerts to understand the value and utility of the ShakeAlert EEW product(s) for various user groups, including different industry sectors, emergency-management agencies, and the public. Research is needed to define the alerting choices that maximize the utility of the system for users and to determine what the available communication pathways are for providing timely alert information. Additionally, we engage users to assess how alerts will be used by different sectors to mitigate losses and to inform EEW product design. Further, social-science research is needed to develop alert messaging, including what relevant prior and follow-up information are required, to ensure effective use of alerts. The second challenge is to make alerts as fast and as accurate as possible. The timeliness and accuracy of an EEW alert is important because it will set in motion a series of actions and downstream products. An EEW alert will trigger notification across emergency-alert systems and across multiple communication channels to populations in impacted regions. The EEW alert region may grow as the earthquake fault-rupture length increases, and the EEW system’s characterization of it, evolves. We must continue research into new or improved seismic and geodetic waveform-processing methods necessary to rapidly characterize the expected ground shaking and associated uncertainties. It is important to thoroughly evaluate whether new methods improve alerts through more accurate ground-motion estimates and (or) reduced latencies (that is, longer warning times). New methods could include tracking the extent of a large rupture in real time (known as finite-fault algorithms) and ground-motionbased EEW algorithms. Additionally, ground motion predictions could be optimized for each earthquake as the earthquake fault rupture progresses by using, for example, event terms to shift ground-motion curves for more (or less) energetic ruptures. The third challenge is to ensure reliability when it counts. This challenge requires us to explore approaches that assess the expected performance of ShakeAlert across the range of earthquake magnitudes, locations, and depths that may occur within the alerting region. Large, damaging earthquakes and their associated aftershock sequences matter most for hazard and for EEW, but these large-earthquake sequences occur infrequently. We expect ShakeAlert to respond robustly to these large-earthquake sequences despite potentially long periods of relative seismic quiescence in the intervening years, and in spite of inevitable communication challenges that arise during and after a large earthquake. We must develop methods to utilize the broadest available datasets to test EEW performance, including ground-motion data recorded in other parts of the world. The observational period for large, damaging earthquakes in any particular region has been short in comparison to estimated large-earthquake recurrence times. Ground-motion records for very large, damaging western United States events and major aftershock sequences do not yet exist, nor do data exist for all potential sources of noise and spurious signals that ShakeAlert must be “tuned” to reject. In addition, robust synthetic data could provide the flexibility to test a wider range of earthquake magnitude, tectonic-setting, and noise scenarios than are covered by existing observational data. Synthetic ground-motion data must be thoroughly vetted against records of smaller magnitude earthquakes to ensure that they accurately capture both the onset and the amplitude of the ground shaking. The final challenge is to explore the use of new instrumentation. The development of EEW around the world to date has focused on the use of high-quality, scientific-grade seismic and geodetic instrumentation. The use of additional types of instrumentation or information may also improve EEW products by filling gaps in sensor coverage in countries that already have dense seismic networks or enable EEW in countries without such networks. We must keep up with these developments and continuously assess their value in supplementing existing EEW systems, such as ShakeAlert, or enabling EEW where such systems do not exist. Such developments include low-cost instrumentation with microelectromechanical system (MEMS) sensors and global positioning system (GPS)/global navigation satellite system (GNSS) antennas embedded in low-cost consumer electronics, sea-floor seismometers, geodetic instrumentation deployed along the Cascadia and Alaska megathrust margins of western North America, and borehole strainmeters that are already deployed across the region.

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