Geology Reports⌕ Search

SEARCH · Geology Reports

Results for “Special Study”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 973 records · Page 54Linked to original sources

The importance of nodal plane orientation diversity for earthquake focal mechanism stress inversions

Inversions of earthquake focal mechanisms are among the most accessible and reliable methods for determining crustal stress. However, the use of this method varies widely, and assumptions that underpin it are often violated, potentially compromising stress estimates. We investigate the consequences of violating the little-studied assumption that the focal mechanisms have diverse orientations. Our approach is to employ data-informed synthetic mechanisms, with nodal plane orientations defined by recent earthquake lineaments in the Midland Basin, western Texas, and rakes consistent with slip in the mapped stress field. Using both the traditional stress inversion method that assumes constant shear stress magnitudes on the causative faults as well as a recently published variable shear stress method, we show that low fault plane diversity can cause maximum horizontal stress ( S Hmax ) orientation and relative principal stress magnitude (faulting regime) estimates to differ markedly from the true values. This problem is compounded for catalogs with even modest amounts of noise (≤15°) or few (e.g., 20) mechanisms. Significantly, traditional approaches for quantifying uncertainty such as the bootstrap can severely underestimate the true uncertainty under these circumstances. To remedy this, we provide simple tools to quantify nodal plane orientation diversity and stress inversion reliability.

Geological Society of London Special Publications↗

Summary of the research work of the Trace Elements Section, Geochemistry and Petrology Branch, for the period April 1, 1948-December 31, 1950

This report summarizes the research work of the Trace Elements Section, Geochemistry and Petrology Branch, from the organization of the Section in April 1948 to December 31, 1950. The research undertaken thus far consists of laboratory and related field studies in the following fields: 1. Mineralogic and petrologic investigations of radioactive rocks, minerals, and ores. 2. Investigations of chemical methods of analysis for uranium, thorium, and other elements and compounds in radioactive materials, and related chemical problems. 3. Investigations of spectrographic methods of analysis for a wide variety of elements in radioactive materials. 4. Investigations of radiometric methods of analysis as applied to radioactive materials. It should be emphasized that the work undertaken thus far, described under the headings "Future work", is almost entirely in the nature of investigations supporting the field appraisal of known important uraniferous deposits. A comprehensive program of more fundamental research was submitted in April 1949 in a report entitled "Proposed program of desirable research in the geochemistry of uranium," but funds for this work have not been authorized. It is hoped, however, that funds to support basic research of the type indicated in that report may be available in the future. This report does not cover the analytical work of the Section nor the public-sample program. The analytical work has been summarized for the fiscal year 1950 in the report, "Numerical summary of the analytical work of the Trace Elements Section, Geochemistry and Petrology Branch, for the fiscal year 1950," by John C. Rabbit, U.S. Geol. Survey Trace Elements Memorandum Rept. 174, October 1950. A report on the public-sample program is in preparation. Much of the material in this report has been paraphrased from reports prepared by members of the Section. My special thanks are due them; to Earl Ingerson, chief of the Geochemistry and Petrology Branch of the Survey, for his critical review; to my secretary, Marie Woolihan, for her aid in collecting material; and to Virginia Layne of the editorial staff of the Section for typing the manuscript and the multilith mats.

Trace Elements Investigations↗

Balancing aquatic habitat fragmentation and control of invasive species: Enhancing selective fish passage at sea lamprey control barriers

Barriers to prevent spawning migrations of sea lampreys Petromyzon marinus remain an important component of an integrated sea lamprey management program in the Laurentian Great Lakes. Concerns about effects on nontarget fishes have led to the construction of specially designed vertical-slot trap-and-sort fishways to mitigate potential barrier effects. To improve passage at these fishways, we used passive integrated transponder technology to assess the performance of two fishways located on low-head sea lamprey barriers. Fishways on the Big Carp River (which flows into Lake Superior) and Cobourg Brook (which flows into Lake Ontario) were assessed for attraction efficiency, trap attraction and retention, and passage efficiency. Based on the results of these assessments, fishways were modified by increasing the trap volume and altering the funnel characteristics to reduce escapement from the trap and then reassessed. Attraction efficiency for all tagged fish was high (≥80%) at both sites in all years. Fishway modifications improved passage from 35% in 2003 to 88% and 64% in 2004 and 2005, respectively, at the Big Carp River. As expected, white suckers Catostomus commersonii , an obligate migrant, had higher attraction and passage efficiency, fewer passage attempts, and shorter migration delay than did rock bass Ambloplites rupestris , a facultative migrant. No improvements were seen at Cobourg Brook, where passage efficiency remained low (7% in 2003, 10% in 2005), probably because of the loss of attraction flow. At both fishways, individual fish averaged 3-10 attempts to pass through the fishways and had their migrations delayed 1-2 weeks. The observed improvements to the Big Carp River fishway, which resulted in high fishway attraction and passage rates for white suckers, suggest that vertical-slot fishways can help mitigate the effects of low-head barriers for some species. Our study provides a rigorous quantifiable approach to assessing fishway performance that can be employed widely and successfully to assess initial fishway design and subsequent modifications.

Big Carp River, Cobourg Brook↗

Interpretation of high-resolution imagery for detecting vegetation cover composition change after fuels reduction treatments in woodlands

The use of very high resolution (VHR; ground sampling distances < ∼5 cm) aerial imagery to estimate site vegetation cover and to detect changes from management has been well documented. However, as the purpose of monitoring is to document change over time, the ability to detect changes from imagery at the same or better level of accuracy and precision as those measured in situ must be assessed for image-based techniques to become reliable tools for ecosystem monitoring. Our objective with this study was to quantify the relationship between field-measured and image-interpreted changes in vegetation and ground cover measured one year apart in a Piñon and Juniper (P–J) woodland in southern Utah, USA. The study area was subject to a variety of fuel removal treatments between 2009 and 2010. We measured changes in plant community composition and ground cover along transects in a control area and three different treatments prior to and following P–J removal. We compared these measurements to vegetation composition and change based on photo-interpretation of ∼4 cm ground sampling distance imagery along similar transects. Estimates of cover were similar between field-based and image-interpreted methods in 2009 and 2010 for woody vegetation, no vegetation, herbaceous vegetation, and litter (including woody litter). Image-interpretation slightly overestimated cover for woody vegetation and no-vegetation classes (average difference between methods of 1.34% and 5.85%) and tended to underestimate cover for herbaceous vegetation and litter (average difference of −5.18% and 0.27%), but the differences were significant only for litter cover in 2009. Level of agreement between the field-measurements and image-interpretation was good for woody vegetation and no-vegetation classes (r between 0.47 and 0.89), but generally poorer for herbaceous vegetation and litter (r between 0.18 and 0.81) likely due to differences in image quality by year and the difficulty in discriminating fine vegetation and litter in imagery. Our results show that image interpretation to detect vegetation changes has utility for monitoring fuels reduction treatments in terms of woody vegetation and no-vegetation classes. The benefits of this technique are that it provides objective and repeatable measurements of site conditions that could be implemented relatively inexpensively and easily without the need for highly specialized software or technical expertise. Perhaps the biggest limitations of image interpretation to monitoring fuels treatments are challenges in estimating litter and herbaceous vegetation cover and the sensitivity of herbaceous cover estimates to image quality and shadowing.

Utah↗

Environmental presence and persistence of pharmaceuticals: An overview

Emerging contaminants (ECs) in the environment &ndash; that is, chemicals with domestic, municipal, industrial, or agricultural sources that are not commonly monitored but may have the potential for adverse environmental effects &ndash; is a rapidly growing field of research. The use of &ldquo;emerging&rdquo; is not intended to infer that the presence of these compounds in the environment is new. These chemicals have been released into the environment as long as they have been in production or, in the case of hormones and other endogenous compounds, since the rise of animal life. What is emerging is the interest by the scientific and lay communities in the presence of these chemicals in the environment, the analytical capabilities required for detection, and the subtle effects that very small concentrations of these chemicals appear to have on aquatic biota. In December 2006, Environmental Science & Technology devoted an entire special issue (volume 40, number 23) to the topic of ECs, illustrating the increased interest in the subject. Within the EGs, one particular class that has seen a substantial increase in research over the past 10 years is pharmaceuticals and personal-care products (PPCPs). This increased research interest can be demonstrated by several means, including requests for proposals from funding agencies, but the clearest indication of a focused effort to understand the introduction, transformation, and potential health and environmental effects of PPCPs and ECs, in general, is the number of published reports. This increase can be shown by examining six environmental journals that regularly publish PPCP-related papers &ndash; Chemosphere , Environmental Science & Technology , Environmental Toxicology and Chemistry , Science of the Total Environment , Water Research , and Water Science and Technology . In 1998 there were 22 papers published on pharmaceuticals, antibiotics, or drugs in these 6 journals; by 2006, this number increased sixfold to 132 papers (Figure 1.1). This growth can be attributed to a number of factors. The presence of pharmaceuticals in surface-water samples from Europe and the United States was documented in several sentinel papers. These ground-breaking works encouraged other scientists to examine the rivers, streams, lakes, and reservoirs in their regions for such chemicals. In addition, the intense public attention paid to news reports on the environmental detections of these chemicals and possible effects of aquatic life has made this issue visible to the wastewater-treatment, drinking-water treatment, and regulatory communities. This has driven the funding bodies associated with these communities to fund studies or request proposals that address the presence, fate, and effects of PPCPs in aquatic systems. The release of the first comprehensive reconnaissance of pharmaceuticals and other wastewater contaminants in the United States provides an example of the intense media interest in this topic. Within 6 days on online publication of this study, 72 newspapers across the United States had published articles describing the results, either locally written or based on international media syndicate reports. There also was substantial concurrent coverage by local and national radio and television outlets, including the Cable News Network, ABC World News Tonight , and National Public Radio. A substantial fraction of these news stories may be attributable to press releases and media briefings prior to publication. However, the interest by television and print journalists in reporting the results of a peer-reviewed journal article to the general public was motivated by the recognition that describing the presence of PPCPs in water supplies would be of interest to the public. To better convey the results of the study published by Koplin et al. to the public, a separate general-interest fact sheet was published to summarize the important points of the study. Because PPCPs are commonly and widely used by individuals, there is likely a preexisting, personal identification with these compounds that does not occur for the wide range of other organic and inorganic contaminants whose presence in the environment has previously been described. This greater public &ldquo;name recognition&rdquo; makes itself known through the media to the regulatory and technical community and has prompted interest in sponsoring research that defines the composition and concentrations of PPCPs in potential sources and their fate and effects following relase into the environment. Independent of the drivers that potentially fuel the interest in studies of PPCPs, it is clear that PPCP research has grown beyond surface-water studies to examine issues such as: &bull; Presence in other matrices, such as groundwater, landfill leachates, sediments, and biosolids. &bull; Environmental transport and fate in surface water, groundwater, and soils amended with reclaimed water or biosolids. &bull; PPCP source elucidation, such as wastewater treatment plant (WWTP) effluents, confined animal feeding operations (CAFOs), and aquaculture. &bull; Removal during wastewater and drinking-water treatment. &bull; Effects on aquatic ecosystems, terrestrial ecosystems, and human health. The chapters in this book provide an extensive examination of current environmental pharmaceutical research and are divided into three sections: &ldquo;Occurrence and Analysis of Pharmaceuticals in the Environment,&rdquo; &ldquo;Environment Fate and Transformations of Veterinary Pharmaceuticals,&rdquo; and &ldquo;treatment of Pharmaceuticals in Drinking Water and Wastewater.&rdquo; The purpose of this introductory overview chapter is to outline current (2004-2006) knowledge about the presence and concentration of PPCPs as described in the published literature. Previous reviews should be consulted for discussions on pre-2004 publications. Those reviews will provide the reader with a comprehensive introduction to the topic of PPCPs in the environment. This chapter describes the sources of PPCPs and other organic contaminants often associated with human wastewater into the environment, the range of concentrations present in various environmental compartments, and the potential routes of removal/sequestration. An overview of the sources and fate of veterinary pharmaceuticals will be discussed in Chapter 5, &ldquo;Fate and Transport of Veterinary Medicines in the Soil Environment.&rdquo;

Book chapter↗

The modern muds of Laguna Mar Chiquita (Argentina): Particle size and geochemical trends from a large saline lake in the "thick-skinned" Andean foreland

Laguna Mar Chiquita (central Argentina; ~latitude 31°S, longitude 63°W) provides an outstanding opportunity to examine organic facies development and petroleum source-rock potential in a modern thick-skinned foreland basin lake. In this case study, we define profundal, paleodelta, and lake-margin depositional environments based on trends in bathymetry and lake-floor sediment particle size. Sedimentary geochemical analyses indicate that organic carbon–rich muds accumulate in profundal environments during the extant lake-level highstand. The lateral variability of organic facies is minimal. The quality of organic facies is controlled by lake level and depositional environment, both of which dictate patterns of algal productivity, siliciclastic dilution, and early diagenesis. We present conceptual models of lacustrine source rocks in both thick-skinned and thin-skinned foreland basins based on modern analog data from both Laguna Mar Chiquita and other lakes in the central Andean foreland. Over relatively short time intervals (10 2 –10 4 yr), climatically driven water-level fluctuations influence the source-rock potential of these basins. Over time intervals >10 5 yr, contraction and lateral migration of the basin flexural profile control stratal stacking patterns and the potential for hydrocarbon play development.

Laguna Mar Chiquita↗

Multiphase flow and underpressured shale at the Bruce nuclear site, Ontario, Canada

Hydraulic testing has revealed dramatic underpressures in Paleozoic shales and carbonates at the Bruce nuclear site in Ontario. Although evidence from both laboratory and field studies suggests that a small amount of gas-phase methane could be present in the shale, previous studies examining causal linkages between the gas phase and the underpressure have been inconclusive. To better elucidate processes in such a system, we used a highly simplified 1D representation of the site to test, by using iTOUGH2-EOS7C, the effects of various factors on the evolution of gas-phase methane and pressures within the system. Heterogeneity was represented by three stratigraphic regions with slightly different capillary pressure characteristics and, in one case, three thin distinct zones with very different characteristics. Underpressure occurred only when gas pressures set as an initial condition required it, and even in this case it was geologically short-lived. We conclude that the presence of multiple fluid phases is unlikely to explain the underpressure at the site; we suggest that the influence of gas-phase methane on porewater flow is minimal. This is consistent with prior conceptualizations of the underpressured section as a thick aquiclude, in which solute transport occurs extremely slowly, bounded by aquifers of significantly higher permeability.

Ontario↗

Introduction to special section: China shale gas and shale oil plays

In the last 10 years, the success of shale gas and shale oil productions as a result of technological advances in horizontal drilling, hydraulic fracturing and nanoscale reservoir characterization have revolutionized the energy landscape in the United States. Resource assessment by the China Ministry of Land and Resources in 2010 and 2012 and by the U.S. Energy Information Administration in 2011 and 2013 indicates China&rsquo;s shale gas resource is the largest in the world and shale oil resource in China is also potentially significant. Inspired by the success in the United States, China looks forward to replicating the U.S. experience to produce shale gas to power its economy and reduce greenhouse gas emissions. By 2014, China had drilled 400 wells targeting marine, lacustrine, and coastal swamp transitional shales spanning in age from the Precambrian to Cenozoic in the last five years. So far, China is the leading country outside of North America in the viable production of shale gas, with very promising prospects for shale gas and shale oil development, from the Lower Silurian Longmaxi marine shale in Fuling in the southeastern Sichuan Basin. Geological investigations by government and academic institutions as well as exploration and production activities from industry indicate that the tectonic framework, depositional settings, and geomechanical properties of most of the Chinese shales are more complex than many of the producing marine shales in the United States. These differences limit the applicability of geologic analogues from North America for use in Chinese shale oil and gas resource assessments, exploration strategies, reservoir characterization, and determination of optimal hydraulic fracturing techniques. Understanding the unique features of the geology, shale oil and gas resource potential, and reservoir characteristics is crucial for sweet spot identification, hydraulic fracturing optimization, and reservoir performance prediction. Even though China shale gas and shale oil exploration is still in an early stage, limited data are already available. We are pleased to have selected eight high-quality papers from fifteen submitted manuscripts for this timely section on the topic of China shale gas and shale oil plays. These selected papers discuss various subject areas including regional geology, resource potentials, integrated and multidisciplinary characterization of China shale reservoirs (geology, geophysics, geochemistry, and petrophysics) China shale property measurement using new techniques, case studies for marine, lacustrine, and transitional shale deposits in China, and hydraulic fracturing. One paper summarizes the regional geology and different tectonic and depositional settings of the major prospective shale oil and gas plays in China. Four papers concentrate on the geology, geochemistry, reservoir characterization, lithologic heterogeneity, and sweet spot identification in the Silurian Longmaxi marine shale in the Sichuan Basin in southwest China, which is currently the primary focus of shale gas exploration in China. One paper discusses the Ordovician Salgan Shale in the Tarim Basin in northwest China, and two papers focus on the reservoir characterization and hydraulic fracturing of Triassic lacustrine shale in the Ordos Basin in northern China. Each paper discusses a specific area.

Interpretation↗

Late Devonian–Mississippian(?) Zn-Pb(-Ag-Au-Ba-F) deposits and related aluminous alteration zones in the Nome Complex, Seward Peninsula, Alaska

Stratabound base-metal sulfide deposits and occurrences are present in metasedimentary rocks of the Neoproterozoic and Paleozoic Nome Complex on south-central Seward Peninsula, Alaska. Stratabound and locally stratiform deposits including Aurora Creek (Zn-Au-Ba-F), Wheeler North (Pb-Zn-Ag-Au-F), and Nelson (Zn-Pb- Cu-Ag), consist of lenses typically 0.5–2.0 m thick containing disseminated to semimassive sulfides. Host strata of the Aurora Creek and Wheeler North deposits are variably calcareous and graphitic siliciclastic metasedimentary rocks of Middle Devonian or younger age based on detrital zircon geochronology; the Nelson deposit is within Ordovician–Devonian marble (Till et al., this volume, Chapter 4). Deformed veins such as Quarry (Zn-Pb-Ag-Ba-F) and Galena (Pb-Zn-Ag-F) occur in a unit composed mainly of marble and schist; fossil and detrital zircon data indicate that this unit contains rocks of Ordovician, Silurian, and Devonian age. None of these Zn- and Pbrich deposits or occurrences has spatially associated metavolcanic or intrusive rocks. All were deformed and metamorphosed to blueschist facies and then retrograded to greenschist facies during the Jurassic and Early Cretaceous Brookian orogeny. Disseminated Cu-rich deposits including Copper King (Cu-Bi-Sb-Pb-Ag-Au) and Wheeler South (Cu-Ag-Au) occur in silicified carbonate rocks and have textures that indicate a pre- to syn-metamorphic origin. The Zn- and Pb-rich sulfide deposits and occurrences consist mainly of pyrite, sphalerite, and/or galena in a gangue of quartz and carbonate. Minor minerals include arsenopyrite, chalcopyrite, magnetite, pyrrhotite, tetrahedrite, barite, fluorite, and chlorite; gold and electrum are trace to minor constituents locally. Sphalerite is uniformly unzoned and commonly aligned in the dominant foliation. These textures, together with the presence of folded layers of barite at Aurora Creek and folded sulfi de layers at Wheeler North, indicate that mineralization in the stratabound deposits predated deformation and metamorphism. Electron microprobe (EMP) analyses of the carbonate gangue show three major compositions comprising siderite, ankerite, and lesser dolomite. The Cu-rich deposits differ in containing chalcopyrite and bornite in a quartzose matrix. Altered wall rocks surrounding the Zn- and Pb-rich deposits and occurrences have aluminous assemblages composed of muscovite + chloritoid + siderite + chlorite + quartz ± tourmaline ± ilmenite ± apatite ± monazite. Muscovite within these assemblages and in sulfide-rich samples is phengitic and locally enriched in barium; chloritoid at Aurora Creek is enriched in zinc. Minor minerals including pyrite, sphalerite, galena, chalcopyrite, barite, and hyalophane occur as fine-grained disseminations. These altered rocks vary from small lenses a few meters thick to large zones tens of meters in thickness that extend along strike, discontinuously, for 4 km or more. Whole-rock geochemical analyses of the altered rocks from deposit-proximal and deposit-distal settings reveal generally lower SiO 2 /Al 2 O 3 ratios and higher Fe 2 O 3 T /MgO ratios compared to those of unaltered clastic metasedimentary rocks of the Nome Complex and of average shale or graywacke. The deposit-proximal samples are also characterized by anomalously high Zn, Pb, Hg, and Sb, relative to the unaltered metasediments. These data, together with mass change calculations, suggest that the aluminous rocks formed as replacements of permeable graywacke in semi-conformable alteration zones, beneath the seafloor contemporaneously with Zn-and/or Pb-rich sulfide mineralization. Exposures of all three stratabound Zn-Pb deposits show evidence of deformation and recrystallization that occurred in a largely brittle deformational regime. This evidence includes small faults and veins that cut foliation and localized zones of breccia. Sulfide minerals, fluorite, quartz, chlorite, and carbonate minerals crystallized within these structures, which probably formed during Cretaceous deformation of the Nome Complex. Previous studies of the Zn-Pb(-Ag-Au-Ba-F) deposits and occurrences have invoked models of epigenetic veins, volcanogenic massive sulfides (VMS), or carbonate- replacement deposits (CRD). In contrast, our field and laboratory data (including sulfur isotopes; Shanks et al., this volume) suggest that these Zn- and/or Pb-rich deposits represent different levels of sediment-hosted, seafloor-hydrothermal systems, with stratabound and locally stratiform deposits such as Aurora Creek and Wheeler North having formed on the seafloor and/or in the shallow subsurface like many sedimentary-exhalative (SEDEX) deposits worldwide. The deformed veins such as Quarry and Galena are interpreted to have formed deep in the subsurface, possibly as feeders to overlying SEDEX deposits such as Aurora Creek. Formation of all of the Zn- and Pb-rich deposits and occurrences took place during episodic rifting of the continental margin between the Ordovician and Mississippian(?). Regional relationships are consistent with at least some of the deposits having formed in Late Devonian–Mississippian(?) time.

Alaska↗

Experimental alteration of artificial and natural impact melt rock from the Chesapeake Bay impact structure

The alteration or transformation of impact melt rock to clay minerals, particularly smectite, has been recognized in several impact structures (e.g., Ries, Chicxulub, Mj??lnir). We studied the experimental alteration of two natural impact melt rocks from suevite clasts that were recovered from drill cores into the Chesapeake Bay impact structure and two synthetic glasses. These experiments were conducted at hydrothermal temperature (265 ??C) in order to reproduce conditions found in meltbearing deposits in the first thousand years after deposition. The experimental results were compared to geochemical modeling (PHREEQC) of the same alteration and to original mineral assemblages in the natural melt rock samples. In the alteration experiments, clay minerals formed on the surfaces of the melt particles and as fine-grained suspended material. Authigenic expanding clay minerals (saponite and Ca-smectite) and vermiculite/chlorite (clinochlore) were identified in addition to analcime. Ferripyrophyllite was formed in three of four experiments. Comparable minerals were predicted in the PHREEQC modeling. A comparison between the phases formed in our experiments and those in the cores suggests that the natural alteration occurred under hydrothermal conditions similar to those reproduced in the experiment. ?? 2009 The Geological Society of America.

Special Paper of the Geological Society of America↗

Construction and modification of debris-flow alluvial fans as captured in the geomorphic and sedimentary record: Examples from the western Sangre de Cristo Mountains, south-central Colorado

Debris-flow alluvial fans are iconic features of dynamic landscapes and are hypothesized to record tectonic and climatic change. Here, we highlight their complex formation and evolution through an exemplary suite of Quaternary debris-flow alluvial fans emanating from the western range front of the Sangre de Cristo Mountains in south-central Colorado, USA. To evaluate the constructive and modifying processes that produce fan form and the associated sedimentary signatures, we applied a combined geomorphologic and sedimentologic approach using sedimentary facies analysis, soils mapping, high-resolution topographic data, and luminescence geochronology to document timing of fan construction and modification. We explored two subsets of fans in the study area: a southern set sourced from the extensively glaciated drainages of the Blanca Peak massif, and a northern set from the unglaciated drainages south of Great Sand Dunes National Park. Both sets of fans have: (1) active and successively abandoned surfaces that show evolving degradation of primary features through modification by secondary processes, (2) associated facies that display distinct characteristics representative of primary depositional and secondary modifying sedimentary processes, and (3) evidence of primary debris flow with subsequent modification by secondary processes. We found that surface geomorphology and facies assemblages in exposed alluvial-fan deposits represent sediment transport processes on both active and abandoned lobes. The link between fan surface morphologies and the sedimentary facies of their deposits provides a basis for an evolutionary process–based interpretation of debris-flow alluvial-fan geomorphology and provides a better understanding of complexities in buried paleosurfaces (intraformational progressive unconformities), surficial deformation, and landform development as recorded in debris-flow fan deposits in the sedimentary record.

Colorado↗

Varied records of early Wisconsinan alpine glaciation in the western United States derived from weathering-rind thicknesses

Weathering-rind thicknesses were measured on volcanic clasts in sequences of glacial deposits in seven mountain ranges in the western United States and in the Puget lowland. Because the rate of rind development decreases with time, ratios of rind thicknesses provide limits on corresponding age ratios. In all areas studied, deposits of late Wisconsinan age are obvious; deposits of late Illinoian age (ca. 140 ka) also seem to be present in each area, although independent evidence for their numerical age is circumstantial. The weathering-rind data indicate that deposits that have intermediate ages between these two are common, and ratios of rind thicknesses suggest an early Wisconsinan age (about 60 to 70 ka) for some of the intermediate deposits. Three of the seven studied alpine areas (McCall, Idaho; Yakima Valley, Washington; and Lassen Peak, California) appear to have early Wisconsinan drift beyond the extent of late Wisconsinan ice. In addition, Mount Rainier and the Puget lowland, Washington, have outwash terraces but no moraines of early Wisconsinan age. The sequences near West Yellowstone, Montana; Truckee, California; and in the southern Olympic Mountains have no recognized moraines or outwash of this age. Many of the areas have deposits that may be of middle Wisconsinan age. Differences in the relative extents of early Wisconsinan alpine glaciers are not expected from the marine oxygen-isotope record and are not explained by any simple trend in climatic variables or proximity to oceanic moisture sources. However, alpine glaciers could have responded more quickly and more variably than continental ice sheets to intense, short-lived climatic events, and they may have been influenced by local climatic or hypsometric effects. The relative sizes of early and late Wisconsinan alpine glaciers could also reflect differences between early and late Wisconsinan continental ice sheets and their regional climatic effects.

California, Colorado, Idaho, Montana, Nevada, Oreg↗

Freshwater cyanotoxin mixtures in recurring cyanobacterial blooms in Voyageurs National Park

Algal and cyanobacterial blooms can foul water systems, inhibit recreation, and produce cyanotoxins, which can be toxic to humans, domestic animals, and wildlife. Blooms that recur yearly present a special challenge, in that chronic effects of most cyanotoxins are unknown. To better understand cyanotoxin timing, possible environmental triggers, and inter-relations among taxa and toxins in bloom communities, recurring cyanobacterial blooms were investigated at three recreational sites in Kabetogama Lake in Voyageurs National Park from 2016-2019. Results indicated that peak neurotoxin concentrations occurred before peak microcystin concentrations and that toxin-forming cyanobacteria were present before visible blooms, which is a serious human health concern. Two cyanotoxin mixture models (MIX) and two microcystin (MC) models were developed using near-real-time environmental variables and additional comprehensive variables based on laboratory analyses. Comprehensive models explained more variability than the environmental models and neither MIX model was a better fit than the MC models. However, the MIX models produced no false negatives, indicating that all observations above human-health regulatory guidelines were simulated by the MIX models. The results show that a model based on a cyanotoxin mixture is more protective of human health than a model based on microcystin alone. In 2019, 7 of 19 toxins were detected in various mixtures. The potential toxin producing cyanobacteria, Microcystis , was significantly correlated with microcystin-YR, while Pseudanabaena sp. and Synechococcus sp. were negatively correlated to several toxins. Jaccard and Sorenson indices indicated strong same-day similarities among the three bloom communities. Nitrogen-fixing cyanobacteria were present at every site, and when combined with internal loading of phosphorus, might explain similarities among sites, and why seasonal differences, even in samples from the same site, were stronger. Information from this dissertation adds to the body of work on recurring blooms and under-studied toxins and toxin mixtures, providing a better understanding of future research options for freshwater cyanotoxins in and outside of Voyageurs National Park.

Minnesota↗

Use of vehicle counters to index and evaluate potential shifts in angler effort following implementation of more restrictive panfish regulations in Wisconsin lakes

Objective: Understanding angler responses to fisheries management actions such as regulation changes have important implications for the effectiveness and efficacy of such management strategies. We examined the ability of remote vehicle counters to provide a relative index of angler effort and present a case study demonstrating use of vehicle counters to assess potential changes in angler effort associated with implementation of more restrictive panfish regulations in a subset of Wisconsin lakes. Methods: We compared vehicle counts with compulsory creel and game-camera based estimates of angler hours and number of angling parties. During 2016, a series of more restrictive panfish regulations were implemented across 132 Wisconsin lakes. We deployed vehicle counters at a subset of lakes within each regulation type during pre- (2015 and 2016) and post-regulation time periods (2021 and 2022) to assess whether the distribution of angler effort (as indexed using vehicle counters) among regulation types may have shifted in response to regulation implementation. Result: At lakes with paired vehicle counters and compulsory creel data, vehicle counts explained 57-72% of variation in daily angler effort (h) and 65-85% of variation in daily number of angling parties. Across lakes with paired vehicle counters and game cameras, vehicle counters explained 77% of variation in the number of apparent angling parties; however, effectiveness of vehicle counters for explaining variation in number of apparent angling parties varied among lakes. Vehicle counters explained 63-74% of variation in number of apparent angling parties when considering paired vehicle counter-game camera observations pooled within regulation types. We did not observe any systematic shifts in effort indicative of redistribution of angler effort in response to panfish regulations. Conclusion: Results suggest that, given appropriate validation measures, vehicle counters could be used as a cost-effective tool to index angler effort, particularly when interest lies in understanding effort dynamics over large spatial scales. Our findings suggest a localized scale for implementation of specialized regulations may be appropriate given angler behaviors and preferences for Wisconsin panfish.

Wisconsin↗

40Ar/39Ar ages of late Cenozoic volcanic rocks within and around the Carbondale and Eagle collapse centers, Colorado: Constraints on the timing of evaporite-related collapse and incision of the Colorado River

40 Ar/ 39 Ar dating results of 133 samples from 84 late Cenozoic volcanic rocks provide emplacement ages that constrain the timing of evaporite collapse and the incision rates of the Colorado River. Our samples are from areas in west-central Colorado, both within and outside of the Carbondale and Eagle collapse centers. Significant pulses of volcanic activity occurred in the intervals from 24 to 22, 16 to 13, 11 to 9, and 8 to 7 Ma. In addition, small flows, widely spaced in time and space were emplaced during the last 4 m.y. Although individual basaltic flows appear to be chemically and isotopically homogeneous, there are significant geochemical and isotopic differences between flows, even between some flows that apparently have the same age within the limits of analytical precision. A low-relief early to middle Miocene erosional surface has been postulated in west-central Colorado. Our studies are consistent with the existence of a low-relief paleotopographic surface that is now at a minimum elevation range of ~2.9–3.4 km outside areas of collapse. Elevation departures from this range suggest that 1000 m of subsidence due to evaporite removal has locally occurred in the Carbondale and Eagle collapse centers. 40 Ar/ 39 Ar ages from downdropped and disrupted basaltic flows in the Carbondale center constrain initial collapse to >13 Ma, the timing of much of the evaporite-related collapse to the past 10–8 m.y., and an increase in the rate of collapse during the last 3 m.y. Ages and elevations of basaltic rocks above the Colorado River in Glenwood Canyon are used to calculate average apparent incision rates for the Colorado River in Glenwood Canyon of 24 mm/k.y. from 7.8 to 3.0 Ma. The average apparent incision rate increased by an order of magnitude to 242 mm/k.y. during the last 3 m.y

Colorado↗

Monitoring lahars

Introduction Lahars, or debris flows that originate from a volcano (Pierson and Scott, 1985; Pierson, 1995), are among the most destructive, far-reaching, and persistent hazards on stratovolcanoes. Lahars may be triggered by syneruptive rapid melting of snow and ice, lake breakouts, or heavy rains in conjunction with large eruptive columns. Alternatively, lahars can follow eruptions, when clastic deposits are mobilized by heavy rainfall or lake breakouts, occurring sporadically for years to decades after large eruptions. Some lahars can travel many tens of kilometers in river drainages stemming from volcanoes, as during the 1980 eruption of Mount St. Helens (Washington) (for example, Janda and others, 1981), recent eruptions of Redoubt Volcano (Alaska) (fig. H1; Dorava and Meyer, 1994; Waythomas and others, 2013), and the 1991 eruption of Mount Pinatubo (Philippines) (Major and others, 1996; Pierson and others, 1996). Large lahars are less likely in the absence of eruptive activity, but still possible. The Electron Mudflow at Mount Rainier (approximately A.D. 1500), Wash., is an example of a potential noneruptive lahar, likely initiated by a spontaneous collapse of weak rock, that reached the Puget Lowland after it flowed dozens of kilometers without a recognized eruptive trigger (Sisson and Vallance, 2009). The extreme hazard posed by lahars was demonstrated tragically by the 1985 Nevado del Ruiz (Colombia) catastrophe that claimed the lives of more than 20,000 people (Naranjo and others, 1986). The potential to provide warnings of minutes to hours in advance of lahar arrival in a populated area (for example, Voight, 1990) is a strong reason to provide special monitoring attention to the hazard. Populated river valleys are located downstream from many very high threat and high threat volcanoes, and these areas could be affected by lahars (for example, Hoblitt and others, 1998). The volume and mobility of lahars are two characteristics that can influence the extent of downstream effects (for example, George and others, 2022). The flows that reach the farthest downstream are mobile and voluminous. Additionally, entrainment of material as a lahar travels downstream may increase the volume, and a lahar that starts small may grow to a destructive size under certain conditions. Increasingly, stratovolcanoes host recreational enthusiasts who could be affected by relatively localized geologic hazards, such as rainfall-induced debris flows, glacial outburst floods, rockfalls, and avalanches. These types of events can be common on many volcanoes, occurring seasonally in the case of debris flows and several times per year in the case of avalanches and rockfalls (for example, Allstadt and others, 2018). Many very high threat stratovolcanoes, especially within the contiguous United States, have low eruption frequencies (less than once per century), such that monitoring networks could be used more often for detection and characterization of small surface flows than for identification of volcanic unrest. Such information can be used to validate avalanche forecasts, inform rescue efforts, or notify other agencies of potentially damaged infrastructure (for example, roads, powerlines, or trails). Note that although many of these smaller surface flows create seismic and infrasound waves, the signals are typically highly distorted by the complex volcanic topography and geology. In general, the smaller the flow, the weaker the geophysical signals that it generates, and thus a denser geophysical network is required to study smaller flows (for example, Allstadt and others, 2018). Lahar detection may not be an appropriate or necessary monitoring capability for all volcanoes. Some very high threat volcanoes, like Kīlauea and Mauna Loa, have no lahar hazards currently, and thus no detection, tracking, and characterization capabilities for lahars are needed. At other very high threat volcanoes, such as Pavlof Volcano, Alaska, lahars might be common but pose minimal threat because the volcano is so remote. Ideally, the local observatory would understand the combination of hazard and risk associated with surface flows and assign monitoring and detection capabilities appropriately. Several volcano monitoring techniques (for example, Real-Time Seismic Amplitude Measurement [RSAM], amplitude-based locations, and infrasound array processing) can be adapted to also detect, characterize, and track debris flows, lahars, and other surface flows, so instrumentation installed for detecting volcanic unrest and eruptions can have multiple purposes. The utility of instrumentation for the purpose of monitoring unrest and lahars further justifies the importance and utility of a dense network of monitoring stations, even if the volcano remains quiescent.

Scientific Investigations Report↗

Integrated hierarchical models to inform management of transitional habitat and the recovery of a habitat specialist

Quantifying the contribution of habitat dynamics relative to intrinsic population processes in regulating species persistence remains an ongoing challenge in ecological and applied conservation. Understanding these drivers and their relationship is essential for managing habitat‐dependent species, especially those that specialize in transitional habitats. Limitations in the ability of natural disturbance to mediate transitional habitat dynamics have resulted in a decline in early‐ and mid‐successional vegetation structure and prompted the need for aggressive habitat management to replace natural perturbations and increase habitat structural complexity. We describe a collaborative effort with a group of independent land managers to design an adaptive management program for restoring an imperiled ecosystem and recovering declining populations of an endemic habitat specialist. We developed a set of integrated, hierarchical models to estimate management‐mediated transition rates among vegetation classes in two dominant scrub communities and the species response (local colonization and extinction probabilities) as a function of habitat state. Models were fit using a long‐term data set of habitat and occupancy observations from 361 Florida scrub‐jay territories across two Florida counties. Occupancy model results correspond closely to previous approaches of estimating differential survival and reproductive success associated with habitat conditions, with highest colonization and lowest extinction rates estimated for those habitat states found to have the highest rates of survival and reproduction. In addition to offering an innovative approach for jointly modeling habitat and species population dynamics, the program we describe will also be of interest from a management perspective by providing guidance for developing collaborative, adaptive management frameworks from the ground up. We engaged land managers via workshops to specify objectives and desired state‐variable conditions, identify management alternatives, and elicit consensus opinions on model parameters. Treating expert opinions as pseudo‐observations to define Dirichlet priors allowed us to make use of existing management knowledge. Formal learning was then accumulated by updating transition probability estimates as management activities were implemented over the study period. We believe this adaptive management framework provides a useful approach for increasing our understanding of complex ecological relationships and hope that it will be adopted by others who have interest in informing management and conservation efforts.

Florida↗

Palynology and palynostratigraphy of the Hell Creek Formation in North Dakota: A microfossil record of plants at the end of Cretaceous time

The Hell Creek Formation of North Dakota preserves a rich and varied palynoflora including pollen, spores, and algal cysts; this palynoflora provides insight into the nature of plant life in the region in late Maastrichtian time. This palynological record supplements extensive data from the same ancient vegetation preserved in the megafloral record, and it provides background biostratigraphic data necessary to determine the nature of the Cretaceous-Tertiary (K-T) boundary event. This study of the Hell Creek palynoflora is based upon occurrences of palynomorphs in 71 samples from 20 measured sections in Bowman and Slope Counties, southwestern North Dakota . The palynoflora documented includes 115 or more palynomorph species, 98 of which are described. Three new genera are proposed, three new species are described, and five new nomenclatural combinations are made. The new taxa are Palaeoisoetes gen. nov., Styxpollenites gen. nov., Tschudypollis gen. nov., Aquilapollenites marmarthensis sp. nov., Osmundacidites stanleyi sp. nov., Styxpollenites calamitas sp. nov., Polyatriopollenites levis (Stanley 1965) comb. nov., Palaeoisoetes subengelmannii (Elsik 1968) comb. nov., Triporopollenites triplicatus (Anderson 1960) comb. nov., Tschudypollis retusus (Anderson 1960) comb. nov., and Tschudypollis thalmannii (Anderson 1960) comb. nov. The palynofloral taxa include 67 angiosperms, eight gymnosperms, 19 pteridophytes, and three bryophytes. Of these, 33 are regarded as characteristically uppermost Cretaceous taxa (K taxa). A few of the K taxa do not range all the way to the K-T boundary. Extinction of the Hell Creek palynoflora at the K-T boundary is ∼30%. The Hell Creek Formation is within theWodehouseia spinata Assemblage Zone.

North Dakota↗