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Continuous water sampling and water analysis in estuaries

Salinity, temperature, light transmission, oxygen saturation, pH, pCO2, chlorophyll a fluorescence, and the concentrations of nitrate, nitrite, dissolved silica, orthophosphate, and ammonia are continuously measured with a system designed primarily for estuarine studies. Near-surface water (2-m depth) is sampled continuously while the vessel is underway; on station, water to depths of 100 m is sampled with a submersible pump. The system is comprised of commercially available instruments, equipment, and components, and of specialized items designed and fabricated by the authors. Data are read from digital displays, analog strip-chart recorders, and a teletype printout, and can be logged in disc storage for subsequent plotting. Data records made in San Francisco Bay illustrate physical, biological, and chemical estuarine processes, such as mixing and phytoplankton net production. The system resolves large- and small-scale events, which contributes to its reliability and usefulness.

Open-File Report↗

Mineral potential of selected felsic plutons in the eastern and southeastern Arabian Shield, Kingdom of Saudi Arabia

Sixteen well-defined geochemical anomalies associated with felsic plutons and (or) muscovite-bearing plutons of Proterozoic age have been identified in the eastern and southeastern Arabian Shield. The majority of these plutons are highly evolved, granitophile-element-enriched muscovite-bearing granites that are weakly peraluminous. A followup study of the mineral potential of these plutons included detailed geologic mapping, extensive geochemical sampling, ground traverses, and petrographic and petrologic studies. A total of 212 samples were collected for geochemical analysis, and a lesser number were collected for petrographic studies. Most of the plutons studied are similar to metallogenically specialized granites described elsewhere in the world and found associated with deposits of tin, tungsten, or molybdenum and other rare metals. Only four of the plutons, the Sitarah, Tarban, and Gaharra monzogranites and the Bwana granite, contained highly anomalous amounts of tin, tungsten, or molybdenum and altered zones- and (or) numerous quartz veins and otherwise appeared to have noteworthy mineral potential. Additional work on at least these four plutons is suggested.

Open-File Report↗

Test and calibration of the Digital World-Wide Standardized Seismograph

During the past decade there has been steady progress in the modernization of the global seismograph network operated by the U.S. Geological Survey (USGS). The World-Wide Standardized Seismograph Network (WWSSN) has been augmented by new stations with advanced instrumentation, including the Seismic Research Observatories (SRO) and the modified High-Gain Long-Period (ASRO) stations. One goal in the modernization effort has been to improve signal resolution in the long-period band. A second goal has been to generate a global digital data base to support contemporary computer-based analysis and research. In 1976, a Panel on Seismograph Networks was established by the Committee on Seismology of the National Academy of Sciences to review progress in network seismology and recommend actions that would lead to an improved global data base for seismology. One recommendation in the Panel report (Engdahl, 1977) called for upgrading selected WWSSN stations by the installation of digital recorders. This was viewed as an economical way of expanding the digital network, which had proven itself to be a very promising new tool for earthquake and explosion research. Funds for the development and assembly of 15 digital recorders were provided to the USGS by the Defense Advanced Research Projects Agency and an ad Inoc panel of scientists was convened by the Committee on Seismology to advise the USGS on the selection of stations to be upgraded and on data recording requirements, A total of 19 digital World-Wide Standardized Seismograph (DWWSS) systems will be operational when all are installed. The additional systems were made available through purchase by the USGS and other organizations; for example, the University of Bergen purchased and installed a DWWSS-type recorder and agreed to furnish the USGS with the data. A list of operational and planned DWWSS network stations is given in Table 1.1. As one might expect, the digital recorder turned out to be somewhat more sophisticated than the original concept. It was decided to record three components of long-period data continuously, three components of intermediateperiod data in an event mode, and the vertical-component short-period data in and event mode (with the capability of adding short-period horizontal channels in the future). Special amplifiers were developed for use with the WWSS seismometers, and a 16-bit fixed-point analog-to-digital converter was chosen to provide increased resolution (as opposed to a 16-bit gain-ranged encoder). The microprocessor-based digital recording systems were developed and assembled at the USGS Albuquerque Seismological Laboratory (ASL) and ASL-based technicians began installation at WWSSN stations in 1980. The current and proposed locations of the DWWSSN stations, together with other stations in the Global Digital Seismograph Network (GDSN), are shown on the map in Figure 1.1. A system was operated at Albuquerque for about 18 months, serving as a test bed for evaluation studies. Although the network hardware has been available for some time, the installation of the DWWSSN has proceeded slowly. The National Science Foundation supported installation of six stations and the USGS is funding installation of most of the others; however, the network completion date is conjectural because of funding uncertainties. The DWWSSN stations are supported with supplies and technical assistance from ASL (subject to availability of funds). Data recorded on magnetic tapes are mailed to ASL where they are reviewed for quality, then merged with other GDSN station data on the network-day tapes. Hoffman (1980) provides a description of the network-day tape format. Zirbes and Buland (1981) have developed and published user software for reading and interpreting the day tapes. This report will serve several purposes. One is to provide nominal system transfer functions and calibration information that are needed in the analysis of DWWSSN data. A second purpose is to report on an evaluation of operating characteristics (calibration stability, noise levels, and linearity) that may limit the usefulness of the data and to determine if modifications may be needed to improve the data. It is not an exhaustive study in this respect. We continue to depend mostly on data user feedback to point out deficiencies and we solicit comments whenever anomalies are observed in the data.

Open-File Report↗

Prairie basin wetlands of the Dakotas: a community profile

This description of prairie basin wetlands of the Dakotas is part of a series of community profiles on ecologically important wetlands of national significance. The shallow wetlands of the Dakotas form the bulk of the portion of the Prairie Pothole Region lying within the United States. This region is famous as the producer of at least half of North America's waterfowl and an unknown, but large, proportion of other prairie-dwelling marsh and aquatic birds.The wetlands described here lie in relatively small, shallow basins that vary greatly in their ability to maintain surface water, and in their water chemistry, which varies from fresh to hypersaline. These wetlands occur in a wide variety of hydrological settings, in an area where annual and seasonal precipitation varies greatly in form and amount. Thus the presence of surface water in these wetlands is largely unpredictable. Superimposed on these phenomena are the effects of a variety of land uses, including pasture, cultivation, mechanical forage removal, idle conditions and burning. All those factors greatly affect the plant and animal communities found in these basins.This profile covers lacustrine and palustrine basins with temporarily flooded, seasonally flooded, and semipermanently flooded water regimes. Basins with these water regimes compose about 90% of the basins in the Prairie Pothole Region of the Dakotas. This profile outlines the wetland subsystems, classes and subclasses that occur in these basins, and provides a useful reference to their geologic, climatic, hydrologic, and pedologic setting.Detailed information on the biotic environment of the wetlands dealt with in this profile will be useful to scientists and resource managers. Special recognition is paid to the macrophyte and invertebrate communities, which have dynamic qualities found in few other of the world's wetland ecosystems.The most noteworthy animal inhabitants of these basins are waterfowl, which are a resource of international concern. Because of the importance of this resource, much research on the habitat use and feeding ecology of breeding waterfowl has been conducted in the region. These topics receive special attention in this profile.The Prairie Pothole Region is a major world supplier of cereal grains. Consequently, wetlands in the region are often drained for crop production or otherwise cropped when water conditions permit. These practices degrade the value of wetlands for most species of wildlife and conflict with the aims of conservationists. The subject of human uses and impacts to prairie wetlands is thus an important part of this profile.

Biological Report↗

Prevention, early detection and containment of invasive, nonnative plants in the Hawaiian Islands: current efforts and needs

Introduction: Invasive, non-native plants (or environmental weeds) have long been recognized as a major threat to the native biodiversity of oceanic islands (Cronk & Fuller, 1995; Denslow, 2003). Globally, several hundred non-native plant species have been reported to have major impacts on natural areas on oceanic islands (Kueffer et al ., 2009). In Hawaii, at least some 50 non-native plant species reach dominance in natural areas (Kueffer et al ., 2009) and many of them are known to impact ecosystem processes or biodiversity. One example is the invasive Australian tree fern ( Cyathea cooperi ), which has been shown to be very efficient at utilizing soil nitrogen and can grow six times as rapidly in height, maintain four times more fronds, and produce significantly more fertile fronds per month than the native Hawaiian endemic tree ferns, Cibotium spp. (Durand & Goldstein, 2001a, b). Additionally, while native tree ferns provide an ideal substrate for epiphytic growth of many understory ferns and flowering plants, the Australian tree fern has the effect of impoverishing the understory and failing to support an abundance of native epiphytes (Medeiros & Loope, 1993). Other notorious examples of invasive plant species problematic for biodiversity and ecosystem processes in Hawaii include miconia ( Miconia calvescens ), strawberry guava ( Psidium cattleianum ), albizia ( Falcataria moluccana ), firetree ( Morella faya ), clidemia ( Clidemia hirta ), kahili ginger ( Hedychium gardnerianum ), and fountain grass ( Pennisetum setaceum ), to name just a few. Fireweed ( Senecio madagascariensis ) is a recent example of a seriously problematic invasive species for Hawaii’s agriculture and is damaging certain high-elevations native ecosystems as well. The threat of invasive plants has long been recognized in Hawaii and is well documented (e.g. Cox, 1999; Loope & Kraus, 2009 in press; Loope et al ., 2004; Mooney & Drake, 1986; Stone & Scott, 1985; Stone et al. , 1992). In many respects, Hawaii may be near the forefront among national and international efforts to address the burgeoning threat of invasive plants, perhaps especially in the field of outreach and education (Holt, 1996; Van Driesche & Van Driesche, 2000). However, given the scale of the problem many challenges still need to be addressed and gaps in the existing management system need to be identified. In particular, it appears that new non-native plant species are still introduced to the Hawaiian Islands at a high rate with little or no regard for their potential invasiveness. In fact, a Pacific-wide and a global survey of non-native plants on oceanic islands have both shown that on Hawaii among all archipelagos by far the highest number of problematic invasive species known from other areas in the world is already present (Denslow et al . 2009, Kueffer et al . 2009). Hawaii lacks an effective mechanism for tracking what species are present or incoming. For instance, early detection nursery surveys conducted on Maui in 2008 found over 300 species of cultivated vascular plants that have not previously been recorded in Hawaii (Starr et al. , in prep.). In spite of an innovative Hawaii Biological Survey (e.g. Eldredge & Evenhuis, 2003), there is no mechanism for recording presence of a species until it becomes naturalized. Some of these new introductions may quickly become serious pests. Fireweed, first recorded in Hawaii on the Big Island in the early 1980s, is now considered one of the Kueffer & Loope 2009 5/48 worst weeds of pastures and is also invading natural areas from near sea level to above 10,000 feet. Although the cultivated and as yet non-invasive Cortaderia selloana has been present in Hawaii for 50 years or more, the morphologically similar Cortaderia jubata was simultaneously found to be present on Maui and invading on a large scale in 1989. It played an important role in inspiring the establishment of the Maui Invasive Species Committee (MISC) in 1997, and MISC now spends roughly $200,000 per year removing and containing C. jubata to keep it from becoming widespread in high elevation conservation lands of East and West Maui. The existence of many similar examples shows that to date regulatory action to prevent new invasive plant species from establishing and spreading in Hawaii has not yet been as successful as it needs to be. In particular, because some problematic invasive species known from other areas in the world (Kueffer et al ., 2009; Weber, 2003) have not yet been recorded from Hawaii, preventive measures against the introduction and spread of such likely invasive species is therefore an urgent need for Hawaii. Indeed, regulation of importation and early detection and eradication of introduced species before they become abundant and widespread are widely considered the most cost-efficient and often only effective measures against the threat of new invasive species (Kueffer & Hirsch Hadorn, 2008; Wittenberg & Cock, 2001). Timing seems favorable for Hawaii to achieve effective protection against the threat of new invasive species through prevention, early detection, and eradication/containment. Through the establishment and evolution of Invasive Species Committees (ISCs) on each major Hawaiian island, the institutional capacity has been built up for prevention, early detection, containment, and outreach at an island scale. Weed risk assessment (Daehler et al ., 2004) and early detection methodologies (Starr et al. , in review-a, b) have been developed and tested specifically for Hawaii. Containment strategies have been successful (e.g., Special Ecological Areas in Hawaii Volcanoes National Park), and so have eradications of particular species on an island scale (e.g. mullein ( Verbascum thapsus ) and other species on Maui, fireweed ( Senecio madagascariensis ) on Kauai). These successful management strategies may be further strengthened through recently developed novel approaches in research (e.g. remote sensing, species distribution modelling, and molecular genetics tools). Another major recent achievement is the gained support of the plant industry for preventive measures against invasive species (see p. 13ff). Last but not least, regulatory action is also moving forward. Passage of House Bill 2517 by the 2008 Hawaii House and Senate and prompt signing of the bill into law by the Governor provides hope that action to ban the sale of a meaningful suite of restricted weeds can quickly proceed through the rulemaking phase into the implementation phase. This report documents these achievements and experiences and provides a range of perspectives on how to further develop prevention, early detection and containment of invasive species in Hawaii. The report is based on a symposium and workshop held at the 2008 Hawaii Conservation Conference in Honolulu on 31 July 2008.

Hawaii↗

Biological review of 82 species of coral petitioned to be included in the Endangered Species Act

list 83 coral species as threatened or endangered under the U.S. Endangered Species Act. The petition was based on a predicted decline in available habitat for the species, citing anthropogenic climate change and ocean acidification as the lead factors among the various stressors responsible for the potential decline. The NMFS identified 82 of the corals as candidate species, finding that the petition provided substantive information for a potential listing of these species. The NMFS established a Biological Review Team (BRT) to prepare this Status Review Report that examines the status of these 82 candidate coral species and evaluates extinction risk for each of them. This document makes no recommendations for listing, as that is a separate evaluation to be conducted by the NMFS. The BRT considered two major factors in conducting this review. The first factor was the interaction of natural phenomena and anthropogenic stressors that could potentially contribute to coral extinction. After extensive review of available scientific information, the BRT considers ocean warming, disease, and ocean acidification to be the most influential threats in posing extinction risks to the 82 candidate coral species between now and the year 2100. Threats of local origin but having widespread impact, such as sedimentation, nutrient enrichment, and fishing, were considered of medium importance in determining extinction risks. It is acknowledged that many other threats (e.g., physical damage from storms or ship groundings, invasive species or predator outbreaks, collection and trade) also negatively affect corals, often acutely and dramatically, but generally at relatively small local scales. These local threats were considered to be of limited scope and not deemed to contribute appreciably to the risk of species extinction, except in those special cases where species have restricted geographic or habitat ranges or species have already undergone precipitous population declines such that these local threats further contribute to depensatory processes that can magnify extinction risks (e.g., feedback-loops whereby individual survival decreases with smaller population size). The BRT acknowledges that local and global threats operate on different time scales and, though there is high confidence in the general progression of some key global threats, such as ocean warming and ocean acidification, there is much less certainty in the timing and spatial patterns of these threats. There is also substantial uncertainty in the abilities of the 82 candidate coral species to tolerate or adapt to each of the threats examined, as well as uncertainty in the dynamics of multiple simultaneous stresses. The BRT specifically identified increasing human population levels and the intensity of their collective human consumption as the root drivers of almost all global and local threats to coral species. In evaluating future threat impacts, the BRT attempted to project current trends, without assumptions of future policy changes or technological advances that could potentially alter the projections used in this analysis.

NOAA Technical Memorandum↗

Rhenium

Rhenium is one of the rarest elements in Earth’s continental crust; its estimated average crustal abundance is less than 1 part per billion. Rhenium is a metal that has an extremely high melting point and a heat-stable crystalline structure. More than 80 percent of the rhenium consumed in the world is used in high-temperature superalloys, especially those used to make turbine blades for jet aircraft engines. Rhenium’s other major application is in platinum-rhenium catalysts used in petroleum refining. Rhenium rarely occurs as a native element or as its own sulfide mineral; most rhenium is present as a substitute for molybdenum in molybdenite. Annual world mine production of rhenium is about 50 metric tons. Nearly all primary rhenium production (that is, rhenium produced by mining rather than through recycling) is as a byproduct of copper mining, and about 80 percent of the rhenium obtained through mining is recovered from the flue dust produced during the roasting of molybdenite concentrates from porphyry copper deposits. Molybdenite in porphyry copper deposits can contain hundreds to several thousand grams per metric ton of rhenium, although the estimated rhenium grades of these deposits range from less than 0.1 gram per metric ton to about 0.6 gram per metric ton. Continental-arc porphyry copper-(molybdenum-gold) deposits supply most of the world’s rhenium production and have large inferred rhenium resources. Porphyry copper mines in Chile account for about 55 percent of the world’s mine production of rhenium; rhenium is also recovered from porphyry copper deposits in the United States, Armenia, Kazakhstan, Mexico, Peru, Russia, and Uzbekistan. Sediment-hosted strata-bound copper deposits in Kazakhstan (of the sandstone type) and in Poland (of the reduced-facies, or Kupferschiefer, type) account for most other rhenium produced by mining. These types of deposits also have large amounts of identified rhenium resources. The future supply of rhenium is likely to depend largely on the capacity of the specialized processing facilities needed to recover rhenium from molybdenite concentrates. The environmental consequences of rhenium recovery are closely linked to the consequences of mining large porphyry copper and strata-bound copper deposits; no additional environmental impact from recovery of rhenium from these deposits has been identified. No information is available regarding the potential toxic effects of rhenium on humans, partly because of the low natural abundance of rhenium.

Professional Paper↗

Portrayal of drainage and vegetation on topographic maps

Accurate measurements of drainage networks are necessary for studies in many scientific disciplines, especially hydrology. To this end, topographic maps must show accurate classification as well as a consistent pattern of the stream network. A recent study in Georgia has developed two photo-interpretive keys which permit accurate drainage classification during the normal stereo-compilation procedures in map-making. The study was made in the Tired Creek basin in the Coastal Plain, and in the Yellow River basin in the Piedmont Province. In the Tired Creek basin, the perennial stream channels were associated with blackgum swamps which showed as a characteristic pattern on the aerial photographs of the area. Although the areas were classed as evergreen forest on specially-compiled vegetation maps without field checking, the classification was relatively consistent, indicating that the perennial channels could be identified accurately within the basin. In the Yellow River basin origins of perennial flow were found in valleys having concave-upward profiles. Valleys with convex-upward profiles remained ephemeral up to their juncture with a larger stream. Field checks indicated better than 80 percent accuracy in delineating these points of origin of perennial flow through stereoscopic viewing of the aerial photographs of the area. Vegetative difference above and below the origins of perennial flow were to subtle to be readily discerned on the photographs. Errors in classifying vegetation on special maps were attributed mainly to inexperience and to faulty criteria for for classification. Proposals are presented to improve portrayal of both drainage and vegetation on topographic maps. The proposed drainage criteria suggest portrayal of all perennial streams as well as ephemeral drainage below the first branching. The proposed vegetation criteria suggest classification of forest and shrubs, with further sub-division of distinctive patterns of vegetation easily recognized on the aerial photographs.

Open-File Report↗

Bedrock aquifers in the lower Dirty Devil River basin area, Utah, with special emphasis on the Navajo sandstone

The lower Dirty Devil River basin area in southeastern Utah has an area of about 4,300 square miles (11,140 square kilometers) and ranges in altitude from about 3,700 to more than 11,000 feet (1,130 to 3,350 meters) above mean sea level. Precipitation, the main source of water in the area, ranges from slightly less than 6 inches (152 millimeters) per year in the lowlands to more than 30 inches per year (762 millimeters) in the Henry Mountains and along the western boundary.

Utah↗

Digital mapping techniques '04, workshop proceedings : May 16-19, 2004, Portland, Oregon

The Digital Mapping Techniques ‘04 (DMT’04) workshop was attended by about 100 technical experts from 40 agencies, universities, and private companies, including representatives from 22 state geological surveys (see Appendix A). This workshop was similar in nature to the previous seven meetings, held in Lawrence, Kansas (Soller, 1997), in Champaign, Illinois (Soller, 1998), in Madison, Wisconsin (Soller, 1999), in Lexington, Kentucky (Soller, 2000), in Tuscaloosa, Alabama (Soller, 2001), in Salt Lake City, Utah (Soller, 2002), and in Millersville, Pennsylvania (Soller, 2003). This year’s meeting was hosted by the Oregon Department of Geology and Mineral Industries, from May 16–19, 2004, on the Portland State University campus in Portland, Oregon. As in the previous meetings, the objective was to foster informal discussion and exchange of technical information. This objective was well met, as attendees continued to share and exchange knowledge and information, and to renew friendships and collegial work begun at past DMT workshops. All the DMT workshops have been coordinated by the Association of American State Geologists (AASG) and U.S. Geological Survey (USGS) Data Capture Working Group, which was formed in August 1996, to support the AASG and the USGS in their effort to build a National Geologic Map Database (see Soller, Berg, and Stamm, this volume, and http://ngmdb.usgs.gov/info/standards/datacapt/ ). The Working Group was formed because increased production efficiencies, standardization, and quality of digital map products were needed for the National database—and for the State and Federal geological surveys—to provide more high-quality digital maps to the public. At the 2004 meeting, oral and poster presentations and special discussion sessions emphasized: 1) methods for creating and publishing map products (here, “publishing” includes Web-based release); 2) field data capture software and techniques; 3) digital cartographic techniques; 4) migration of digital maps into ArcGIS Geodatabase format; 5) analytical GIS techniques; 6) continued development of the National Geologic Map Database; and 7) progress toward building and implementing a standard geologic map data model and standard science language for the U.S. and for North America.

Open-File Report↗

Summary and Analysis of the U.S. Government Bat Banding Program

This report summarizes the U.S. Government Bat Banding Program (BBP) from 1932 to 1972. More than 2 million bands were issued during the program, of which approximately 1.5 million bands were applied to 36 bat species by scientists in many locations in North America including the U.S., Canada, Mexico, and Central America. Throughout the BBP, banders noticed numerous and deleterious effects on bats, leading to a moratorium on bat banding by the U.S. Fish and Wildlife Service, and a resolution to cease banding by the American Society of Mammalogists in 1973. One of the main points of the memorandum written to justify the moratorium was to conduct a 'detailed evaluation of the files of the bat-banding program.' However, a critical and detailed evaluation of the BBP was never completed. In an effort to satisfy this need, I compiled a detailed history of the BBP by examining the files and conducting a literature review on bat banding activities during the program. I also provided a case study in managing data and applying current mark-recapture theory to estimate survival using the information from a series of bat bands issued to Clyde M. Senger during the BBP. The majority of bands applied by Senger were to Townsend's big-eared bat (Corynorhinus townsendii), a species of special concern for many states within its geographic range. I developed a database management system for the bat banding records and then analyzed and modeled survival of hibernating Townsend's big-eared bats at three main locations in Washington State using Cormack-Jolly-Seber (CJS) open models and the modeling capabilities of Program MARK. This analysis of a select dataset in the BBP files provided relatively precise estimates of survival for wintering Townsend's big-eared bats. However, this dataset is unique due to its well-maintained and complete state and because there were high recapture rates over the course of banding; it is doubtful that other unpublished datasets of the same quality exist buried in the BBP files for further analyses. Lastly, I make several recommendations based on the findings of this summary and analysis, the most important of which is that marking bats with standard metal or split-ring forearm bands should not be considered for mark-recapture studies unless the information sought and the potential for obtaining unbiased estimates from that information vastly outweighs the potential negative effects to the bats.

Open-File Report↗

Ground motion issues for seismic analysis of tall buildings: A status report

The Pacific Earthquake Engineering Research Center (PEER) is coordinating a major multidisciplinary programme, the Tall Buildings Initiative (TBI), to address critical technical issues related to the design and analysis of new tall buildings located in coastal California. The authors of this paper, listed alphabetically, are involved in various research studies related to ground motion modelling, selection, modification and simulation for analysis of tall buildings. This paper summarizes the scope and progress of ongoing activities related to ground motion issues for response history analysis of tall buildings.

Structural Design of Tall and Special Buildings↗

Principles for selecting earthquake motions in engineering design of large dams

This report gives a synopsis of the various tools and techniques used in selecting earthquake ground motion parameters for large dams. It presents 18 charts giving newly developed relations for acceleration, velocity, and duration versus site earthquake intensity for near- and far-field hard and soft sites and earthquakes having magnitudes above and below 7. The material for this report is based on procedures developed at the Waterways Experiment Station. Although these procedures are suggested primarily for large dams, they may also be applicable for other facilities. Because no standard procedure exists for selecting earthquake motions in engineering design of large dams, a number of precautions are presented to guide users. The selection of earthquake motions is dependent on which one of two types of engineering analyses are performed. A pseudostatic analysis uses a coefficient usually obtained from an appropriate contour map; whereas, a dynamic analysis uses either accelerograms assigned to a site or specified respunse spectra. Each type of analysis requires significantly different input motions. All selections of design motions must allow for the lack of representative strong motion records, especially near-field motions from earthquakes of magnitude 7 and greater, as well as an enormous spread in the available data. Limited data must be projected and its spread bracketed in order to fill in the gaps and to assure that there will be no surprises. Because each site may have differing special characteristics in its geology, seismic history, attenuation, recurrence, interpreted maximum events, etc., as integrated approach gives best results. Each part of the site investigation requires a number of decisions. In some cases, the decision to use a 'least ork' approach may be suitable, simply assuming the worst of several possibilities and testing for it. Because there are no standard procedures to follow, multiple approaches are useful. For example, peak motions at a site may be obtained from several methods that involve magnitude of earthquake, distance from source, and corresponding motions; or, alternately, peak motions may be assigned from other correlations based on earthquake intensity. Various interpretations exist to account for duration, recurrence, effects of site conditions, etc. Comparison of the various interpretations can be very useful. Probabilities can be assigned; however, they can present very serious problems unless appropriate care is taken when data are extrapolated beyond their data base. In making deterministic judgments, probabilistic data can provide useful guidance in estimating the uncertainties of the decision. The selection of a design ground motion for large dams is based in the end on subjective judgments which should depend, to an important extent, on the consequences of failure. Usually, use of a design value of ground motion representing a mean plus one standard deviation of possible variation in the mean of the data puts one in a conservative position. If failure presents no hazard to life, lower values of design ground motion may be justified, providing there are cost benefits and the risk is acceptable to the owner. Where a large hazard to life exists (i.e., a dam above an urbanized area) one may wish to use values of design ground motion that approximate the very worst case. The selection of a design ground motion must be appropriate for its particular set of circumstances.

Open-File Report↗

Early results from the Northern Gulf of Mexico Ecosystem Change and Hazard Susceptibility Project

The northern Gulf of Mexico coastal region and its diverse ecosystems are threatened by population and development pressure and by the impacts of rising sea level and severe storms such as the series of hurricanes that has impacted the northern Gulf in recent years. In response to the complex management issues facing the region, the U.S. Geological Survey (USGS) organized a multidisciplinary research program to coordinate the activities of USGS and other scientists working in the northern Gulf of Mexico region (fig. 1). The Northern Gulf of Mexico (NGOM) Ecosystem Change and Hazard Susceptibility Project aims to develop a thorough understanding of the dynamic coastal ecosystems on the northern Gulf coast, the impact of human activities on these ecosystems, and the vulnerability of ecosystems and human communities to more frequent and more intense hurricanes in the future. A special issue of Geo-Marine Letters published in December 2009 is devoted to early results of studies completed as part of this project. These studies, which have been conducted at sites throughout the northern Gulf region, from the Chandeleur Islands to Apalachicola Bay, have focused on three themes: (1) The underlying geologic framework that exerts controls over coastal processes (2) The impact of human activities on nearshore water quality (3) Hurricanes and associated effects

Fact Sheet↗

Wildlife and habitat damage assessment from Hurricane Charley: Recommendations for recovery of the J. N. "Ding" Darling National Wildlife Refuge Complex

&bull; On 13 August 2004, the first of four hurricanes to strike Florida in <6 weeks came ashore near J. N. &ldquo;Ding&rdquo; Darling National Wildlife Refuge (JNDDNWR) Complex, Sanibel Island, Florida. The eye of Category 4 Hurricane Charley passed just north of Sanibel Island with maximum sustained winds of 145 mph (123 knots) and a storm surge of 0.3-2.7 m (1-9 ft). Three USGS-BRD scientists (coastal ecologist and research wildlife biologists) and a USFWS wildlife biologist surveyed the storm damage to JNDDNWR Complex on the ground from 20-24 September 2004. &bull; At the request of United States Fish and Wildlife Service refuge staff, the USGS team concentrated on assessing damage to wetlands and habitat for selected bird populations (especially mangrove forests, Mangrove Cuckoos [Coccyzus minor], and Black-whiskered Vireo [Vireo altiloquus]), waterbird rookeries (mangrove islands), impoundments (waterbirds and waterfowl), sea grass beds (manatees), and upland hardwood hammocks and ridges (threatened eastern indigo snake [Drymarchon couperi]). &bull; The refuge complex sustained moderate to catastrophic damage to vegetation, especially mangrove forests and waterbird nesting or roosting islands. Lumpkin Island, Hemp Island, and Bird Key waterbird nesting areas had >50% and sometimes 90% of their vegetation severely damaged (dead, broken tree stems, and tipped trees). The Shell Mound Trail area of JNDDNWR sustained catastrophic damage to its old growth mangrove forests. Direct storm mortality and injury to manatees in the area of the JNDDNWR Complex was probably slight as manatees may have several strategies to reduce storm mortality. Damage to seagrass beds, an important habitat for manatees, fishes and invertebrates, is believed to be limited to the breach at North Captiva Island. At this breach, refuge staff documented inundation of beds by sand and scarring by trees dragged by winds. &bull; Because seagrass beads and manatee habitat extend beyond refuge boundaries (see p. 28), a regional approach with partner agencies to more thoroughly assess storm impacts and monitor recovery of seagrass and manatees is recommended. &bull; Besides intensive monitoring of waterbirds and their nesting habitat (pre- and post-storm), the survey team recommends that the Mangrove Cuckoo be used as an indicator species for recovery of mangrove forests and also for monitoring songbirds at risk (this songbird is habitat-area sensitive). Black-whiskered Vireo may be another potential indicator species to monitor in mangrove forests. Monitoring for these species can be done by distance sampling on transects or by species presenceabsence from point counts. &bull; Damaged vegetation should be monitored for recovery (permanent or long-term plots), especially where previous study plots have been established and with additional plots in mangrove forests of waterbird nesting islands and freshwater wetlands. &bull; Potential loss of wetlands (and information for management) may be prevented by water level monitoring (3 permanent stations), locating the positions (GPS-GIS) and maintaining existing water control structures, creating a GIS map of the refuge with accurate vertical data, and monitoring and eradicating invasive plants. Invasive species, including Brazilian pepper (Schinus terebinthifolius) and air potato (Dioscorea bulbifora), were common in a very limited survey and may become more dominant in areas damaged by the storm. Special attention is needed to eradicate these exotic plants. &bull; As an important monitoring goal, the survey team recommends that species presence-absence data analysis (with probability of detection) be used to determine changes in animal communities. This could be accomplished possibly with comparison to other storm-damaged and undamaged refuges in the Region. This information may be helpful to refuge managers when storms return in the future.

Florida↗

Ground-water-supply possibilities in parts of Bear Lake and Caribou Counties, Idaho

Ground-water possibilities in parts of Bear Lake and Caribou counties, Idaho, were studied briefly, with special reference to the vicinities of Dingle and Montpelier and to the availability of ground water for expected industrial developments. The work was part of the ground-water investigations by the Geological Survey in cooperation with the state of Idaho. Most of the factual information herein was obtained from well drillers, farmers, and municipal water engineers. Geological examination was made of apparently favorable areas and water samples were collected from wells at Dingle Station and south of Wardboro.

Idaho↗

Status and understanding of groundwater quality in the San Francisco Bay groundwater basins, 2007—California GAMA Priority Basin Project

Groundwater quality in the approximately 620-square-mile (1,600-square-kilometer) San Francisco Bay study unit was investigated as part of the Priority Basin Project of the Groundwater Ambient Monitoring and Assessment (GAMA) Program. The study unit is located in the Southern Coast Ranges of California, in San Francisco, San Mateo, Santa Clara, Alameda, and Contra Costa Counties. The GAMA Priority Basin Project is being conducted by the California State Water Resources Control Board in collaboration with the U.S. Geological Survey (USGS) and the Lawrence Livermore National Laboratory. The GAMA San Francisco Bay study was designed to provide a spatially unbiased assessment of the quality of untreated groundwater within the primary aquifer system, as well as a statistically consistent basis for comparing water quality throughout the State. The assessment is based on water-quality and ancillary data collected by the USGS from 79 wells in 2007 and is supplemented with water-quality data from the California Department of Public Health (CDPH) database. The primary aquifer system is defined by the depth interval of the wells listed in the CDPH database for the San Francisco Bay study unit. The quality of groundwater in shallower or deeper water-bearing zones may differ from that in the primary aquifer system; shallower groundwater may be more vulnerable to surficial contamination. The first component of this study, the status of the current quality of the groundwater resource, was assessed by using data from samples analyzed for volatile organic compounds (VOCs), pesticides, and naturally occurring inorganic constituents, such as major ions and trace elements. Water- quality data from the CDPH database also were incorporated for this assessment. This status assessment is intended to characterize the quality of groundwater resources within the primary aquifer system of the San Francisco Bay study unit, not the treated drinking water delivered to consumers by water purveyors. Relative-concentrations (sample concentration divided by the benchmark concentration) were used for evaluating groundwater quality for those constituents that have Federal and (or) California benchmarks. A relative-concentration greater than (>) 1.0 indicates a concentration greater than a benchmark, and a relative-concentration less than or equal to (≤) 1.0 indicates a concentration equal to or less than a benchmark. Relative-concentrations of organic and special-interest constituents were classified as low (relative- concentration ≤ 0.1), moderate (0.1 < relative- concentration ≤ 1.0), or high (relative-concentration > 1.0). Inorganic constituent relative- concentrations were classified as low (relative-concentration ≤ 0.5), moderate (0.5 < relative-concentration ≤ 1.0), or high (relative- concentration > 1.0). A lower threshold value of relative-concentration was used to distinguish between low and moderate values of organic constituents because organic constituents are generally less prevalent and have smaller relative-concentrations than naturally occurring inorganic constituents. Aquifer-scale proportion was used as the metric for evaluating regional-scale groundwater quality. High aquifer-scale proportion is defined as the percentage of the primary aquifer system that has relative-concentration greater than 1.0 for a particular constituent or class of constituents; proportion is based on an areal rather than a volumetric basis. Moderate and low aquifer-scale proportions were defined as the percentages of the primary aquifer system that have moderate and low relative-concentrations, respectively. Two statistical approaches—grid-based and spatially weighted—were used to evaluate aquifer-scale proportion for individual constituents and classes of constituents. Grid-based and spatially weighted estimates were comparable in the San Francisco Bay study unit (90-percent confidence intervals). Inorganic constituents with health-based benchmarks were present at high relative-concentrations in 5.1 percent of the primary aquifer system, and at moderate relative-concentrations in 25 percent. The high aquifer-scale proportion of inorganic constituents primarily reflected high aquifer-scale proportions of barium (3.0 percent) and nitrate (2.1 percent). Inorganic constituents with secondary maximum contaminant levels were present at high relative-concentrations in 14 percent of the primary aquifer system and at moderate relative-concentrations in 33 percent. The constituents present at high relative-concentrations included total dissolved solids (7.0 percent), chloride (6.1 percent), manganese (12 percent), and iron (3.0 percent). Organic constituents with health-based benchmarks were present at high relative-concentrations in 0.6 percent and at moderate relative-concentrations in 12 percent of the primary aquifer system. Of the 202 organic constituents analyzed for, 32 were detected. Three organic constituents were frequently detected (in 10 percent or more of samples): the trihalomethane chloroform, the solvent 1,1,1-trichloroethane and the refrigerant 1,1,2-trichlorotrifluoroethane. One special-interest constituent, perchlorate, was detected at moderate relative-concentrations in 42 percent of the primary aquifer system. The second component of this work, the understanding assessment, identified some of the primary natural and human factors that may affect groundwater quality by evaluating land use, physical characteristics of the wells, and geochemical conditions of the aquifer. Results from these evaluations were used to explain the occurrence and distribution of constituents in the study unit.

California↗

Preparing for a "Big One": The great southern California shakeout

The Great Southern California ShakeOut was a week of special events featuring the largest earthquake drill in United States history. On November 13, 2008, over 5 million Southern Californians pretended that the magnitude-7.8 ShakeOut scenario earthquake was occurring and practiced actions derived from results of the ShakeOut Scenario, to reduce the impact of a real, San Andreas Fault event. The communications campaign was based on four principles: 1) consistent messaging from multiple sources; 2) visual reinforcement: 3) encouragement of “milling”; and 4) focus on concrete actions. The goals of the ShakeOut established in Spring 2008 were: 1) to register 5 million people to participate in the drill; 2) to change the culture of earthquake preparedness in Southern California; and 3) to reduce earthquake losses in Southern California. Over 90% of the registrants surveyed the next year reported improvement in earthquake preparedness at their organization as a result of the ShakeOut.

California↗