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At least 991 records · Page 55Linked to original sources

Simulating ungulate herbivory across forest landscapes: A browsing extension for LANDIS-II

Browsing ungulates alter forest productivity and vegetation succession through selective foraging on species that often dominate early succession. However, the long-term and large-scale effects of browsing on forest succession are not possible to project without the use of simulation models. To explore the effects of ungulates on succession in a spatially explicit manner, we developed a Browse Extension that simulates the effects of browsing ungulates on the growth and survival of plant species cohorts within the LANDIS-II spatially dynamic forest landscape simulation model framework. We demonstrate the capabilities of the new extension and explore the spatial effects of ungulates on forest composition and dynamics using two case studies. The first case study examined the long-term effects of persistently high white-tailed deer browsing rates in the northern hardwood forests of the Allegheny National Forest, USA. In the second case study, we incorporated a dynamic ungulate population model to simulate interactions between the moose population and boreal forest landscape of Isle Royale National Park, USA. In both model applications, browsing reduced total aboveground live biomass and caused shifts in forest composition. Simulations that included effects of browsing resulted in successional patterns that were more similar to those observed in the study regions compared to simulations that did not incorporate browsing effects. Further, model estimates of moose population density and available forage biomass were similar to previously published field estimates at Isle Royale and in other moose-boreal forest systems. Our simulations suggest that neglecting effects of browsing when modeling forest succession in ecosystems known to be influenced by ungulates may result in flawed predictions of aboveground biomass and tree species composition.

Ecological Modelling↗

Space matters: Host spatial structure and the dynamics of plague transmission

The development of models to elucidate the transmission pathways and dynamics of wildlife diseases remains challenging. Sylvatic plague, caused by the bacterium Yersinia pestis ( Yp ), is an infectious zoonotic disease that primarily affects wild rodents, including prairie dogs ( Cynomys spp.) in North America. Proposed transmission pathways for Yp include flea bites, direct contacts between hosts, and environmental reservoirs (e.g. soil, carcasses). We developed a spatially explicit, agent-based model of Yp transmission to explore the effects of alternative transmission pathways, different disease initiation mechanisms (host or fleas), parameter uncertainty, and spatial structure of hosts. A particularly novel aspect of our model was the integration of ecological models with traditional disease models. Specifically, we used estimates from spatial capture-recapture models to generate data-driven spatial distributions, densities, and contact rates to capture the spatial structure of prairie dogs. We simulated ~9 million scenarios across a wide range of parameter values and conducted sensitivity analyses to determine the most influential parameters on the number of flea-days (sum of the mean number of fleas on hosts each day of the simulation), number of newly infected hosts per day, the time to depopulation (<20 prairie dogs remaining), and the proportion of the prairie dog population remaining at the end of the simulation (after 150 days). When including spatial structure, we found the probability of transmission via environmental sources of Yp (i.e. carcasses) had the greatest influence on model results when Yp infection was initiated in prairie dog hosts, rather than in fleas. Conversely, the mechanism of transmission by fleas to prairie dogs had the greatest influence on model results when Yp infection was initiated in fleas (i.e. via introduction by carnivores, a migrant prairie dog, or other mammalian host). Uncertainty in parameter estimates, particularly those related to the transmission pathways of Yp, continue to hamper efforts to realistically model plague dynamics in wild rodents. Our results elucidate the complexity of the flea-plague-prairie dog system and reiterate the importance of research on Yp transmission mechanisms to provide a full understanding of this disease. Our results also emphasize the importance of realistic estimates of spatial structure for exploring transmission dynamics of wildlife diseases and provide a framework for generating a data-driven description of spatial structure.

Ecological Modelling↗

Opportunities for improved consideration of cultural benefits in environmental decision-making

Many cultural benefits of ecosystem services (ES) are difficult to capture in standard ES assessments. Scholars and practitioners often respond to this gap by seeking to develop new scientific methods to capture and integrate the plural values associated with diverse cultural benefits categories. This increasing emphasis on value pluralism represents an essential step toward recognitional justice within ES theory and practice. However, current approaches continue to rest on the assumption that ES-knowledge is only made available to decision-makers through scientific documentation. As a result, scholars and decision-makers fail to account for the role of knowledge pluralism as a core element of recognitional justice, and a key enabling factor for meaningful consideration of the plural values linked to cultural benefits of ES. In this paper, we contribute to a pluralist theory of cultural-benefits-knowledge, and ES-knowledge more broadly. Using a critical interpretive synthesis of environmental management literature, we conceptualize a wider range of knowledge forms that convey cultural benefits, based on the knowledge-as-practice concept in addition to the knowledge-as-product concept more familiar to Western actors. As part of the synthesis, we explore when and how diverse forms of cultural-benefits-knowledge intersect with decision-making processes, and the value aspects and categories of cultural benefits most frequently conveyed by each form of knowledge. Our synthesizing argument offers a critique of the concept of “ES-knowledge-use,” proposing a shift in focus toward “learning opportunities” that exist across phases of decision-making. We demonstrate that attention to a greater diversity of knowledge forms (knowledge pluralism), and a fuller spectrum of opportunities to integrate them (learning opportunities) can support more meaningful consideration of the plural values associated with cultural benefits of ES (value pluralism). In combination, attention to knowledge pluralism and value pluralism can help bring the ES approach into alignment with environmental justice through the recognition and legitimization of multiple identities, well-beings, and human-nature relationships, as reflected in meaningful consideration of the diverse cultural benefits of ES.

Ecosystem Services↗

Quantifying the effects of wildfire on changes in soil properties by surface burning of soils from the Boulder Creek Critical Zone Observatory

Study region This study used intact soil cores collected at the Boulder Creek Critical Zone Observatory near Boulder, Colorado, USA to explore fire impacts on soil properties. Study focus Three soil scenarios were considered: unburned control soils, and low- and high-temperature burned soils. We explored simulated fire impacts on field-saturated hydraulic conductivity, dry bulk density, total organic carbon, and infiltration processes during rainfall simulations. New hydrological insights for the region Soils burned to high temperatures became more homogeneous with depth with respect to total organic carbon and bulk density, suggesting reductions in near-surface porosity. Organic matter decreased significantly with increasing soil temperature. Tension infiltration experiments suggested a decrease in infiltration rates from unburned to low-temperature burned soils, and an increase in infiltration rates in high-temperature burned soils. Non-parametric statistical tests showed that field-saturated hydraulic conductivity similarly decreased from unburned to low-temperature burned soils, and then increased with high-temperature burned soils. We interpret these changes result from the combustion of surface and near-surface organic materials, enabling water to infiltrate directly into soil instead of being stored in the litter and duff layer at the surface. Together, these results indicate that fire-induced changes in soil properties from low temperatures were not as drastic as high temperatures, but that reductions in surface soil water repellency in high temperatures may increase infiltration relative to low temperatures.

Colorado↗

Global climate change implications for coastal and offshore oil and gas development

The discussion and debate about climate change and oil and gas resource development has generally focused on how fossil fuel use affects the Earth's climate. This paper explores how the changing climate is likely to affect oil and gas operations in low-lying coastal areas and the outer continental shelf. Oil and gas production in these regions comprises a large sector of the economies of many energy producing nations. Six key climate change drivers in coastal and marine regions are characterized with respect to oil and gas development: changes in carbon dioxide levels and ocean acidity, air and water temperature, precipitation patterns, the rate of sea level rise, storm intensity, and wave regime. These key drivers have the potential to independently and cumulatively affect coastal and offshore oil and gas exploration, production, and transportation, and several impacts of climate change have already been observed in North America.

Energy Policy↗

Non-mercury methylating microbial taxa are integral to understanding links between mercury methylation and elemental cycles in marine and freshwater sediments

The goal of this study was to explore the role of non-mercury (Hg) methylating taxa in mercury methylation and to identify potential links between elemental cycles and Hg methylation. Statistical approaches were utilized to investigate the microbial community and biochemical functions in relation to methylmercury (MeHg) concentrations in marine and freshwater sediments. Sediments were collected from the methylation zone (top 15 cm) in four Hg-contaminated sites. Both abiotic (e.g., sulfate, sulfide, iron, salinity, total organic matter, etc.) and biotic factors (e.g., hgcA , abundances of methylating and non-methylating taxa) were quantified. Random forest and stepwise regression were performed to assess whether non-methylating taxa were significantly associated with MeHg concentration. Co-occurrence and functional network analyses were constructed to explore associations between taxa by examining microbial community structure, composition, and biochemical functions across sites. Regression analysis showed that approximately 80% of the variability in sediment MeHg concentration was predicted by total mercury concentration, the abundances of Hg methylating taxa, and the abundances of the non-Hg methylating taxa. The co-occurrence networks identified Paludibacteraceae and Syntrophorhabdaceae as keystone non Hg methylating taxa in multiple sites, indicating the potential for syntrophic interactions with Hg methylators. Strong associations were also observed between methanogens and sulfate-reducing bacteria, which were likely symbiotic associations. The functional network results suggested that non-Hg methylating taxa play important roles in sulfur respiration, nitrogen respiration, and the carbon metabolism-related functions methylotrophy, methanotrophy, and chemoheterotrophy. Interestingly, keystone functions varied by site and did not involve carbon- and sulfur-related functions only. Our findings highlight associations between methylating and non-methylating taxa and sulfur, carbon, and nitrogen cycles in sediment methylation zones, with implications for predicting and understanding the impact of climate and land/sea use changes on Hg methylation.

Environmental Pollution↗

Supporting cost-effective watershed management strategies for Chesapeake Bay using a modeling and optimization framework

Extensive efforts to adaptively manage nutrient pollution rely on Chesapeake Bay Program's (Phase 6) Watershed Model, called Chesapeake Assessment Scenario Tool (CAST), which helps decision-makers plan and track implementation of Best Management Practices (BMPs). We describe mathematical characteristics of CAST and develop a constrained nonlinear BMP-subset model, software, and visualization framework. This represents the first publicly available optimization framework for exploring least-cost strategies of pollutant load control for the United States' largest estuary . The optimization identifies implementation options for a BMP subset modeled with load reduction effectiveness factors, and the web interface facilitates interactive exploration of >30,000 solutions organized by objective, nutrient control level, and for ~200 counties. We assess framework performance and demonstrate modeled cost improvements when comparing optimization-suggested proposals with proposals inspired by jurisdiction plans. Stakeholder feedback highlights the framework's current utility for investigating cost-effective tradeoffs and its usefulness as a foundation for future analysis of restoration strategies.

Chesapeake Bay watershed↗

When do we need multiple infectious disease models? Agreement between projection rank and magnitude in a multi-model setting

Mathematical models are useful for public health planning and response to infectious disease threats. However, different models can provide differing results, which can hamper decision making if not synthesized appropriately. To address this challenge, multi-model hubs convene independent modeling groups to generate ensembles, known to provide more accurate predictions of future outcomes. Yet, these hubs are resource intensive, and how many models are sufficient in a hub is not known. Here, we compare the benefit of predictions from multiple models in different contexts: (1) decision settings that depend on predictions of quantitative outcomes (e.g., hospital capacity planning), where assessments of the benefits of multi-model ensembles have largely focused; and (2) decisions settings that require the ranking of alternative epidemic scenarios (e.g., comparing outcomes under multiple possible interventions and biological uncertainties). We develop a mathematical framework to mimic a multi-model prediction setting, and use this framework to quantify how frequently predictions from different models agree. We further explore multi-model agreement using real-world, empirical data from 14 rounds of U.S. COVID-19 Scenario Modeling Hub projections. Our results suggest that the value of multiple models could be different in different decision contexts, and if only a few models are available, focusing on the rank of alternative epidemic scenarios could be more robust than focusing on quantitative outcomes. Although additional exploration of the sufficient number of models for different contexts is still needed, our results indicate that it may be possible to identify decision contexts where it is robust to rely on fewer models, a finding that can inform the use of modeling resources during future public health crises.

Epidemics↗

Unburned habitat essential for amphibian breeding persistence following wildfire

Wildfire regimes are changing rapidly with widespread increase in the intensity, frequency, and duration of fire activity, especially in the western United States. Limited studies explore the impacts of wildfires on aquatic taxa and few focus on lentic habitats that are essential for amphibians, many of which are of conservation concern. We capitalized on existing pre-fire surveys for anuran species and resurveyed a random subset of wetlands across a gradient of soil burn severity to investigate the short-term effects of wildfire on a relict population of wood frogs in the southern Rocky Mountains. We also investigated whether maps created to support rapid post-fire emergency response activities (i.e., United States Forest Service Burned Area Emergency Response program) accurately characterize soil burn severity around small habitat features (i.e., ponds) that serve as important amphibian breeding and rearing habitat. Soil burn severity reflects fire impacts on soil and surface organic layers, including vegetation loss and changes in soil structure and function. We found that wood frog ( Lithobates sylvaticus ) breeding persistence following fires was negatively influenced by the percentage of their terrestrial habitat (100 m buffer surrounding breeding ponds) that was burned. Wood frog colonization probability of previously unoccupied ponds was low (∼ 0.10) and unaffected by soil burn severity. Importantly, we found that remotely sensed data typically produced to predict flooding and erosion at broad (catchment) scales is a poor representation of the amount and variation in soil burn severity surrounding small habitat features, suggesting that additional field sampling is necessary to understand wildfire responses for species that rely on these small habitat features. Understanding short-term geographic- and species-specific variation in response to wildfires provides the basis to explore time to recovery (e.g., when wood frogs return to burned breeding sites) or to determine if declines in breeding distributions intensify over time.

Wyoming↗

Assessment of transfer patterns and origins of in-channel wood in large rivers using repeated field surveys and wood characterisation (the Isère River upstream of Pontcharra, France)

When and whence does wood enter large mountain alluvial rivers? How stable through time are characteristics and quantities of wood deposited in a reach? These simple questions related to the complex practice of wood budgeting are explored on the Isère River in France. We hypothesise that (i) the wood originates from the riparian zone all along the alluvial reach and that (ii) the characters and quantity of wood in the reach can vary through time according to flood occurrence and provenance. In order to validate these hypotheses, two complementary approaches were performed: (i) wood pieces were surveyed along 190 km river length and taxonomy, in-channel wood macromorphology, and dendrochemistry were used to infer wood origin (local vs. upstream, respective subbasin contributions) and transport conditions; (ii) wood movement was monitored using both tracking techniques in specific sampling plots and with an experiment orchestrated using wood placement coupled with a significant artificial flood. Surveys were done over a period of 3 years so as to include two distinct sampling events to explore wood deposition and mobilisation within a channel network under different flood conditions. One of the subbasins, the Arly River, underwent a 1-in-30-year flood in 2004, allowing us to assess its effect on in-channel wood quantity and characteristics. Results confirm that wood is primarily introduced by erosion from river banks but they are not always as close as expected from the sites of deposition. Temporal variability of wood introduced, deposited, and transferred downstream is also significant in terms of abundance and origin as shown by dendrochemical and macromorphological signatures. The types of wood observed along the channel length changes through time. Large flood signature can be detected from wood characteristics and uplands make a slight contribution. But in average, wood characteristics do not change much (no significant difference between years and tributaries in wood characteristics based on discriminant analysis). Data suggest that the interannual variability is fairly low, so that the diversity of wood characteristics is maintained by the complex and multiple sources of wood in the network. Further research is needed to better understand such patterns and to study physical breakage in space and time to better infer distance between sources and depositional zones.

Isère River↗

Excursions in fluvial (dis)continuity

Lurking below the twin concepts of connectivity and disconnectivity are their first, and in some ways, richer cousins: continuity and discontinuity. In this paper we explore how continuity and discontinuity represent fundamental and complementary perspectives in fluvial geomorphology, and how these perspectives inform and underlie our conceptions of connectivity in landscapes and rivers. We examine the historical roots of continuum and discontinuum thinking, and how much of our understanding of geomorphology rests on contrasting views of continuity and discontinuity. By continuum thinking we refer to a conception of geomorphic processes as well as geomorphic features that are expressed along continuous gradients without abrupt changes, transitions, or thresholds. Balance of forces, graded streams, and hydraulic geometry are all examples of this perspective. The continuum view has played a prominent role in diverse disciplinary fields, including ecology, paleontology, and evolutionary biology, in large part because it allows us to treat complex phenomena as orderly progressions and invoke or assume equilibrium processes that introduce order and prediction into our sciences. In contrast the discontinuous view is a distinct though complementary conceptual framework that incorporates non-uniform, non-progressive, and non-equilibrium thinking into understanding geomorphic processes and landscapes. We distinguish and discuss examples of three different ways in which discontinuous thinking can be expressed: 1) discontinuous spatial arrangements or singular events; 2) specific process domains generally associated with thresholds, either intrinsic or extrinsic; and 3) physical dynamics or changes in state, again often threshold-linked. In moving beyond the continuous perspective, a fertile set of ideas comes into focus: thresholds, non-equilibrium states, heterogeneity, catastrophe. The range of phenomena that is thereby opened up to scientific exploration similarly expands: punctuated episodes of cutting and filling, discretization of landscapes into hierarchies of structure and control, the work of extreme events. Orderly and progressive evolution towards a steady or ideal state is replaced by chaotic episodes of disturbance and recovery. Recent developments in the field of geomorphology suggest that we may be on the cusp of a new paradigm that recognizes that both continuous and discontinuous processes and mechanisms play a role in fluvial processes and landscape evolution with neither holding sway over the other and both needed to see rivers as they are.

Geomorphology↗

Geothermal Play Fairway Analysis, Part 2: GIS methodology

Play Fairway Analysis (PFA) in geothermal exploration originates from a systematic methodology developed within the petroleum industry and is based on a geologic, geophysical, and hydrologic framework of identified geothermal systems. We tailored this methodology to study the geothermal resource potential of the Snake River Plain and surrounding region, but it can be adapted to other geothermal resource settings. We adapted the PFA approach to geothermal resource exploration by cataloging the critical elements controlling exploitable hydrothermal systems, establishing risk matrices that evaluate these elements in terms of both probability of success and level of knowledge, and building a code-based ‘processing model’ to process results.

Geothermics↗

Pliocene Model Intercomparison Project Phase 3 (PlioMIP3) – Science plan and experimental design

The Pliocene Model Intercomparison Project (PlioMIP) was initiated in 2008. Over two phases PlioMIP has helped co-ordinate the experimental design and publication strategy of the community, which has included an increasing number of climate models and modelling groups from around the world. It has engaged with palaeoenvironmental scientists to foster new data synthesis supporting the construction of new model boundary conditions, as well as to facilitate new data-model comparisons. The work has advanced our understanding of Pliocene climates and environments, enhanced our knowledge regarding the ability of complex climate and Earth System models to accurately simulate climate change, and helped to refine our estimates of how sensitive the climate system is to forcing conditions. In this community protocol paper, we outline the scientific plan for PlioMIP Phase 3 (PlioMIP3). This plan provides the required guidance to participating modelling groups from around the world to successfully set up and perform PlioMIP3 climate model experiments. The project is open to new participants from the scientific community (both from the climate modelling and geosciences communities). In PlioMIP3, we retain the PlioMIP2 Core experiments ( Eoi 400 , E 280 ) and extend the Core requirements to include either an experiment focussed on the Early Pliocene or an alternative Late Pliocene simulation (or both). These additions (a) allow a comparison of Early and Late Pliocene warm intervals and help build research connections and synergy with the MioMIP (Miocene Model Intercomparison Project - also known as DeepMIP-Miocene) and PlioMioVAR projects (Pliocene-Miocene Variability Working Group), and (b) create an alternative time slice simulation for 3.205 Ma (MIS KM5c) through removal of some of the largest palaeogeographic differences introduced between PlioMIP1 and 2 resulting in minimal land-sea mask variations from the modern. In addition, we present ten optional experiments designed to enhance our assessment of climate sensitivity and to explore the uncertainty in greenhouse gas-related forcing. For the first time, we introduce orbital sensitivity experiments into the science plan, as well as simulations incorporating dynamic vegetation-climate feedbacks and an experiment designed to examine the potential significance of East Antarctic Ice Sheet boundary condition uncertainty. These changes enhance palaeo-to-future scientific connections and enable an exploration of the significance of palaeogeographic uncertainties on climate simulations.

Global and Planeatary Change↗

Developing post-alert messaging for ShakeAlert, the earthquake early warning system for the West Coast of the United States of America

As ShakeAlert, the earthquake early warning system for the West Coast of the U.S., begins its transition to operational public alerting, we explore how post-alert messaging might represent system performance. Planned post-alert messaging can provide timely, crucial information to both emergency managers and ShakeAlert operators as well as calibrate expectations among various publics or public user groups and inform their responses to future alerts. There is a concern among the scientists and emergency managers that false alerts may negatively impact trust in the system, so quickly disseminated post-alert messages are necessary. For a new early warning system, such as ShakeAlert, this is particularly relevant given that the potentially affected population is likely to be unfamiliar with this system. We address this concern in six steps: (1) assessment of ShakeAlert performance to date, (2) characterization of human behavior and response to earthquake alerts, (3) presentation of a decision tree for issuing post-alert messages, (4) design of a critical set of post-alert messaging scenarios, (5) elaboration of these scenarios with message templates for a variety of communication channels, and (6) development of a typology of earthquake alerts. We further explore methods for monitoring and evaluating ShakeAlert post-alert messaging, for continuous improvement to the system.

California, Oregon, Washington, Idaho, Nevada, Uta↗

Adapting to climate change on desert rangelands: A multi-site comparison of grazing behavior plasticity of heritage and improved beef cattle

Climate change is amplifying the spatiotemporal heterogeneity of desert rangeland forages through its impact on precipitation variability. Foraging behavior plasticity (an animal's ability to alter its behavior to cope with environmental variation) could be a key trait for climate adaptation of beef cattle in arid environments. We analyzed GPS-derived movement and activity data of Criollo and commercial beef cattle from eight studies conducted at sites in North and South America to determine whether seasonal and year-to-year behavior plasticity varied significantly between breeds. We calculated dormant/brown season or driest year percent change in foraging behavior relative to growing/green season or wettest year. Compared to commercial beef breeds, Criollo cattle exhibited significantly greater seasonal adjustment in daily distance traveled (20% increase vs. 2% decrease, P ≤ 0.02) and daily grazing effort (25% vs. 1.5% increase, P = 0.01) during the dormant/brown vs. growing/green season. Increase in daily area explored during the dormant/brown season was almost three times greater in Criollo vs. commercial beef cattle (P = 0.09). Seasonal adjustment in daily time spent grazing was similar for Criollo and commercial beef breeds. Increase in daily area explored during the dormant/brown season of dry vs. wet years was three times greater for Criollo vs. commercial beef breeds (P = 0.03). Criollo cattle tended (P = 0.09) to exhibit greater behavior adjustment than commercial beef counterparts in daily distance traveled during the dormant/brown season of dry vs. wet years (22% vs. 4% increase, respectively). No breed differences in adjustment of time spent grazing (P = 0.36) or grazing effort (P = 0.20) during dormant/brown season of dry vs. wet years were observed. Dry vs. wet year grazing behavior adjustments during the growing/green season were similar for both breeds. Grazing behavior plasticity observed in Criollo cows could be a critical trait for desert beef herds in the face of increasingly variable rainfall patterns occurring as a result of climate change.

Journal of Arid Environments↗

Estimating streamflow permanence with the watershed erosion prediction project model: Implications for surface water presence modeling and data collection

Many data collection efforts and modeling studies have focused on providing accurate estimates of streamflow while fewer efforts have sought to identify when and where surface water is present and the duration of surface water presence in stream channels, hereafter referred to as streamflow permanence. While physically-based hydrological models are frequently used to explore how water quantity may be influenced by various climatic and basin characteristics at local, regional, national, and global extents they are less often used to explore streamflow permanence. Herein, the Watershed Erosion Prediction Project (WEPP) hydrological model is applied to watersheds in the humid H. J. Andrews Experimental Forest (HJA) and watersheds of the arid Willow and Whitehorse creeks (WW), both in Oregon, to simulate daily (WW) and annual (HJA and WW) streamflow permanence. One thousand parameter combinations were tested to calibrate WEPP to observed streamflow in the HJA watersheds and one hundred parameter combinations were tested to calibrate WEPP to observed surface water presence time series data in WW watersheds. When calibrated to observed streamflow, WEPP correctly classified annual streamflow permanence for 83% of HJA stream reaches. In the WW, WEPP simulations correctly classified 63–93% of daily streamflow permanence observations and 59-87% of annual streamflow permanence classifications. Inclusion of a dry-day threshold (the maximum number of days a stream reach could be modeled ‘dry’ but still classified as permanent for the year) improved annual accuracy in three WW watersheds from 2-10%. Parameter sets that produced the best daily accuracies in WW resulted in poor annual accuracies. Results highlight the importance of evaluating physically-based streamflow permanence models on both permanent and nonpermanent streams at daily and annual time scales to ensure evaluation metrics are appropriate for interpretation purposes. Additionally, results suggest that strategic collection of surface water presence observations and streamflow observations may support robust calibration of physically based models to simulate streamflow permanence moving forward.

Oregon↗

India National Gas Hydrate Program Expedition 02 Summary of Scientific Results: Gas hydrate systems along the eastern continental margin of India

The primary objectives of the India National Gas Hydrate Program Expedition 02 (NGHP-02) were to obtain new data on the occurrence of gas hydrate systems and to advance the understanding of the controls on the formation of gas hydrate accumulations in the offshore of India. In accordance with the ultimate overall goal of the NGHP effort to assess the energy resource potential of marine gas hydrates in India, particular focus was placed on the exploration and evaluation of gas hydrate occurrences at high saturations in sand-rich systems. NGHP-02 operations were conducted from 3-March-2015 to 28-July-2015 off the eastern coast of India and included logging while drilling (LWD) operations at 25 locations, and coring and wireline logging operations at 10 locations, in the Krishna-Godavari and Mahanadi Basins. The formation of highly concentrated gas hydrate accumulations, which are more suitable for energy extraction, requires the presence of relatively coarse-grained sediments with porosity needed to support the migration and accumulation of gas, and the nucleation of gas hydrate. The results of downhole logging, coring and formation pressure testing operations during NGHP-02 have confirmed the presence of extensive sand-rich depositional systems throughout the deepwater portions of the Krishna-Godavari and Mahanadi Basins. Two areas of Krishna-Godavari Basin, referred to as Areas B and C, contain substantial gas hydrate accumulations in sand-rich systems and therefore represent ideal candidate sites for future gas hydrate production testing. This summary and technical report includes a comprehensive synthesis of the geologic, geophysical, geochemical, and physical property data acquired during NGHP-02 as it relates to the controls on gas hydrate occurrence, particularly with regards to sand-hosted accumulations. In the Mahanadi Basin, despite the confirmation of extensive reservoir capacity, gas supply at the NGHP-02 sites was insufficient to charge the reservoirs with gas hydrates. In the Krishna-Godavari Basin, extensive reservoir systems were confirmed with sediment grain-sizes ranging from coarse-silts to gravels. These reservoirs range from fully- to partially filled with gas hydrate. The gas is determined to be from only microbial sources, and in part migrated into the reservoirs from deeper systems. The controls on gas hydrate occurrence are complex and varied; and include substantial reservoir heterogeneity and sufficient permeability throughout the reservoirs and seals that allowed pervasive fluid flow into and through the hydrate-bearing systems. These discoveries are the most significant confirmation of the exploration approach that focuses on direct detection of hydrate reservoirs supported by comprehensive petroleum systems analyses.

Journal of Marine and Petroleum Geology↗

The new Landsat 8 potential for remote sensing of colored dissolved organic matter (CDOM)

Due to a combination of factors, such as a new coastal/aerosol band and improved radiometric sensitivity of the Operational Land Imager aboard Landsat 8, the atmospherically-corrected Surface Reflectance product for Landsat data, and the growing availability of corrected fDOM data from U.S. Geological Survey gaging stations, moderate-resolution remote sensing of fDOM may now be achievable. This paper explores the background of previous efforts and shows preliminary examples of the remote sensing and data relationships between corrected fDOM and Landsat 8 reflectance values. Although preliminary results before and after Hurricane Sandy are encouraging, more research is needed to explore the full potential of Landsat 8 to continuously map fDOM in a number of water profiles.

Marine Pollution Bulletin↗