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Geology of the Great Smoky Mountains National Park, Tennessee and North Carolina

The boundary between Tennessee and North Carolina is delimited for about 50 miles in midlength by the crests of the Great Smoky Mountains, which include some of the highest summits in the southeastern United States, and which culminate in Clingmans Dome (alt 6,642 ft). Ramifying spurs and foothills descend northwestward from the State line divide toward the Appalachian Valley in Tennessee, as well as southeastward toward the less regularly disposed mountains of the main part of the Blue Ridge in North Carolina. All the Great Smoky Mountains are heavily forested, the higher summits being covered by spruce and fir, and the lower slopes, by a great variety of hardwoods. Much of this forested mountain wilderness has been set aside for public benefit and enjoyment as Great Smoky Mountains National Park. For most visitors to Great Smoky Mountains National Park, prime attractions are its noble forests, its open coves set gemlike amongst them, the animals of the forests and coves, and the relics of the mountaineers who have made their homes there. Only now and then, when the visitor's trail through the forest must circuit a rough ledge of rock, can he realize that the forest and the soil on which it grows are a mere veneer—a thin cover over the ancient rocks of the mountains. In the Yosemite, the Grand Canyon, and most of our other national parks in the West, the situation is very different; there, the impact of the bedrock of the parks is overwhelming in relation to the plants and animals that live on the bedrock. The terrain of the Great Smoky Mountains, their soils, unconsolidated deposits, and details of slope sculpture tell a geologic story of the last few million years of earth history, a story dominated by the drastic fluctuations of the ice-age climate. Although the mountains themselves were not covered with glacial ice, the climate at this latitude approached glacial conditions, and the mountaintops were occasionally above tree line. Deposits of debris that resulted from the associated accelerated erosion of the hillsides during glacial intervals and the deeply weathered soils produced during the episodes of warm and humid interglacial climate are evident at many places. These climatic oscillations also controlled the flora and fauna. The complex process of adjustment of plants and animals to the prevailing climate is one of the factors that has produced their present great diversity. This latest phase of the geologic history is not further treated in this publication. Maps showing the younger deposits and interpretations based on them are included in the several recent U.S. Geological Survey Professional Papers referred to below. Our concern in this text and its accompanying map (pl. 1) is with the bedrock geology of the Great Smoky Mountains and their surroundings, and with the story of far earlier times in earth history—when there were no Great Smoky Mountains, and when the geography and the landscape were very different from those today. Because of the forest cover and the scantiness of rock outcrops, the bedrock geology of the Great Smoky Mountains is not easy to decipher, and this difficulty is compounded by the enigmatic nature of most of the rocks themselves. It thus has come about that knowledge of the geology of the mountains has lagged behind that in surrounding regions. Following pioneer investigations of Safford (1869) and of Keith (1895, 1896), little further geologic study of the mountains was made until after World War II. The present text and map summarize the results of the more recent investigations, details of which are given at much greater length in a set of U.S. Geological Survey Professional Papers (Hamilton, 1961; Hadley and Goldsmith, 1963; King, 1964; Neuman and Nelson, 1965).

North Carolina, Tennessee

Consideration of measurement error when using commercial indoor radon determinations for selecting radon action levels

An examination of year-long, in-home radon measurement in Colorado from commercial companies applying typical methods indicates that considerable variation in precision exists. This variation can have a substantial impact on any mitigation decisions, either voluntary or mandated by law, especially regarding property sale or exchange. Both long-term exposure (nuclear track greater than 90 days), and short-term (charcoal adsorption 4-7 days) exposure methods were used. In addition, periods of continuous monitoring with a highly calibrated alpha-scintillometer took place for accuracy calibration. The results of duplicate commercial analysis show that typical results are no better than ??25 percent with occasional outliers (up to 5 percent of all analyses) well beyond that limit. Differential seasonal measurements (winter/summer) by short-term methods provide equivalent information to single long-term measurements. Action levels in the U.S. for possible mitigation decisions should be selected so that they consider the measurement variability; specifically, they should reflect a concentration range similar to that adopted by the European Community.

Conference Paper

Effects of management practices on grassland birds: Prairie Falcon

Information on the habitat requirements and effects of habitat management on grassland birds were summarized from information in more than 4,000 published and unpublished papers. A range map is provided to indicate the breeding, year-round, and nonbreeding ranges in the United States and southern Canada. Although birds frequently are observed outside the breeding range indicated, the maps are intended to show areas where managers might concentrate their attention. It may be ineffectual to manage habitat at a site for a species that rarely occurs in an area. The species account begins with a brief capsule statement, which provides the fundamental components or keys to management for the species. A section on breeding range outlines the current breeding distribution of the species in North America. The suitable habitat section describes the breeding habitat and occasionally microhabitat characteristics of the species, especially those habitats that occur in the Great Plains. Details on habitat and microhabitat requirements often provide clues to how a species will respond to a particular management practice. A table near the end of the account complements the section on suitable habitat, and lists the specific habitat characteristics for the species by individual studies. A special section on prey habitat is included for those predatory species that have more specific prey requirements. The area requirements section provides details on territory and home range sizes, minimum area requirements, and the effects of patch size, edges, and other landscape and habitat features on abundance and productivity. It may be futile to manage a small block of suitable habitat for a species that has minimum area requirements that are larger than the area being managed. The Brown-headed Cowbird (Molothrus ater) is an obligate brood parasite of many grassland birds. The section on cowbird brood parasitism summarizes rates of cowbird parasitism, host responses to parasitism, and factors that influence parasitism, such as nest concealment and host density. The impact of management depends, in part, upon a species' nesting phenology and biology. The section on breeding-season phenology and site fidelity includes details on spring arrival and fall departure for migratory populations in the Great Plains, peak breeding periods, the tendency to renest after nest failure or success, and the propensity to return to a previous breeding site. The duration and timing of breeding varies among regions and years. Species’ response to management summarizes the current knowledge and major findings in the literature on the effects of different management practices on the species. The section on management recommendations complements the previous section and summarizes specific recommendations for habitat management provided in the literature. If management recommendations differ in different portions of the species' breeding range, recommendations are given separately by region.

Report

History and evaluation of national-scale geochemical data sets for the United States

Six national-scale, or near national-scale, geochemical data sets for soils or stream sediments exist for the United States. The earliest of these, here termed the ‘Shacklette’ data set, was generated by a U.S. Geological Survey (USGS) project conducted from 1961 to 1975. This project used soil collected from a depth of about 20 cm as the sampling medium at 1323 sites throughout the conterminous U.S. The National Uranium Resource Evaluation Hydrogeochemical and Stream Sediment Reconnaissance (NURE-HSSR) Program of the U.S. Department of Energy was conducted from 1975 to 1984 and collected either stream sediments, lake sediments, or soils at more than 378,000 sites in both the conterminous U.S. and Alaska. The sampled area represented about 65% of the nation. The Natural Resources Conservation Service (NRCS), from 1978 to 1982, collected samples from multiple soil horizons at sites within the major crop-growing regions of the conterminous U.S. This data set contains analyses of more than 3000 samples. The National Geochemical Survey, a USGS project conducted from 1997 to 2009, used a subset of the NURE-HSSR archival samples as its starting point and then collected primarily stream sediments, with occasional soils, in the parts of the U.S. not covered by the NURE-HSSR Program. This data set contains chemical analyses for more than 70,000 samples. The USGS, in collaboration with the Mexican Geological Survey and the Geological Survey of Canada, initiated soil sampling for the North American Soil Geochemical Landscapes Project in 2007. Sampling of three horizons or depths at more than 4800 sites in the U.S. was completed in 2010, and chemical analyses are currently ongoing. The NRCS initiated a project in the 1990s to analyze the various soil horizons from selected pedons throughout the U.S. This data set currently contains data from more than 1400 sites. This paper (1) discusses each data set in terms of its purpose, sample collection protocols, and analytical methods; and (2) evaluates each data set in terms of its appropriateness as a national-scale geochemical database and its usefulness for national-scale geochemical mapping.

Conterminous United States

Editorial: Fire regimes in desert ecosystems: Drivers, impacts and changes

Although not commonly associated with fire, many desert ecosystems across the globe do occasionally burn, and there is evidence that fire incidences are increasing, leading to altered fire regimes in this biome. The increased prevalence of megafires (wildfires >10,000 ha in size and typically damaging) in most global biomes is linked to climate change, although those occurring in deserts have received far less attention, from both a research and policy perspective, than that of forested ecosystems ( Linley et al., 2022 ). Understanding the drivers of desert fires, from climate to landscape patterns of hydrology and soil, and how these may be changing in the face of anthropogenic pressures, such as invasive species, livestock grazing, and global climate change, is imperative. This Research Topic has published nine papers addressing these drivers, how they have changed, and their impacts on desert biodiversity.

Frontiers in Ecology and Evolution

The effects of management practices on grassland birds—Lark Sparrow (Chondestes grammacus)

Keys to Lark Sparrow ( Chondestes grammacus ) management include providing open grasslands with sparse-to-moderate herbaceous and litter cover and a woody component and allowing occasional burning or moderate grazing. Lark Sparrows have been reported to use habitats with 10–63 centimeters (cm) average vegetation height, 10–54 percent grass cover, 9–25 percent forb cover, 4–18 percent shrub cover, 16–38 percent bare ground, 12–45 percent litter cover, and less than or equal to 1 cm litter depth.

Professional Paper

Fifty years after Welles and Welles: Distribution and genetic structure of Desert Bighorn Sheep in Death Valley National Park

The status of desert bighorn sheep (Ovis canadensis nelsoni) populations in the mountains around Death Valley was first evaluated in 1938, shortly after designation of Death Valley National Monument. However, the most comprehensive evaluation of bighorn sheep in the region was conducted by Ralph and Florence Welles during 1955-1961. They documented patterns of use at water sources and other focal areas around Death Valley and roughly estimated numbers of bighorn sheep from observational data. Data collection on bighorn sheep in the area since that time has lacked a regional approach needed to address metapopulation questions.From 2011-2013, we evaluated bighorn activity at important water sources and other likely locations around Death Valley using remote cameras and observations of tracks, beds, sign, and bighorn sheep, and non-invasively collected genetic samples (fecal pellets and bones). Where possible, we revisited many of the water sources and other locations originally investigated by Welles and Welles (1961) and earlier researchers. We extracted DNA from fecal pellets, carcass tissue samples, and blood samples archived from earlier captures and genotyped them using highly variable genetic markers (15 microsatellite loci) with sufficient power to distinguish individuals and characterize gene flow and genetic structure. We also analyzed DNA samples collected from other bighorn sheep populations extending north to the White Mountains, west to the Inyo Mountains, south to the Avawatz Mountains, and southeast to the Clark Mountain Range, Kingston Range, and Spring Mountains of Nevada. We estimated genetic structure and recent gene flow among nearly all known populations of bighorn sheep in and around Death Valley National Park (DEVA), and used assignment tests to evaluate individual and population-level genetic structure to infer connectivity across the region. We found that bighorn sheep are still widely distributed in mountain ranges throughout DEVA, including many of the areas described by Welles and Welles (1961), although some use patterns appear to have changed and other areas still require resurvey. Gene flow was relatively high through some sections of fairly continuous habitat, such as the Grapevine and Funeral Mountains along the eastern side of Death Valley, but other populations were more isolated. Genetic diversity was relatively high throughout the park. Although southern Death Valley populations were genetically distinct from populations to the southeast, population assignment tests and recent gene flow estimates suggested that individuals occasionally migrate between those regions, indicating the potential for the recent outbreak of respiratory disease in the southern Mojave Desert to spread into the Death Valley system. We recommend careful monitoring of bighorn sheep using remote cameras to check for signs of respiratory disease in southeastern DEVA and ground surveys in the still-understudied southwestern part of DEVA.

Conference Paper

Seismicity associated with renewed dome building at Mount St. Helens, 2004-2005

The reawakening of Mount St. Helens after 17 years and 11 months of slumber was heralded by a swarm of shallow (depth <2 km) volcano-tectonic earthquakes on September 23, 2004. After an initial decline on September 25, seismicity rapidly intensified; by September 29, M d >2 earthquakes were occurring at a rate of ~1 per minute. A gradual transition from volcano-tectonic to hybrid and low-frequency events occurred along with this intensification, a characteristic of many precursory swarms at Mount St. Helens before dome-building eruptions in the 1980s. The first explosion occurred October 1, 2004, 8.5 days after the first earthquakes, and was followed by three other explosions over the next four days. Seismicity declined after each explosion and after two energetic noneruptive tremor episodes on October 2 and 3. Following the last explosion of this series, on October 5, seismicity declined significantly. Over the next ten days seismicity was dominated by several event families; by October 16, spacing between events had become so regular that we dubbed the earthquakes “drumbeats.” Through the end of 2005 seismicity was dominated by these drumbeats, although occasional larger earthquakes ( M d 2.0-3.4) dominated seismic energy release. Over time there were significant variations in drumbeat size, spacing, and spectra that correlated with changes in the style of extrusion at the surface. Changes in drumbeat character did not correspond to variations in magma flux at the conduit, indicating that drumbeat size and spacing may be more a function of the mechanics of extrusion than of the extrusion rate.

Washington

Imported Asian swamp eels (Synbranchidae: Monopterus) in North American live food markets: Potential vectors of non-native parasites

Since the 1990s, possibly earlier, large numbers of Asian swamp eels (Synbranchidae: Monopterus spp.), some wild-caught, have been imported live from various countries in Asia and sold in ethnic food markets in cities throughout the USA and parts of Canada. Such markets are the likely introduction pathway of some, perhaps most, of the five known wild populations of Asian swamp eels present in the continental United States. This paper presents results of a pilot study intended to gather baseline data on the occurrence and abundance of internal macroparasites infecting swamp eels imported from Asia to North American retail food markets. These data are important in assessing the potential role that imported swamp eels may play as possible vectors of non-native parasites. Examination of the gastrointestinal tracts and associated tissues of 19 adult-sized swamp eels&mdash;identified as M. albus "Clade C"&mdash;imported from Vietnam and present in a U.S. retail food market revealed that 18 (95%) contained macroparasites. The 394 individual parasites recovered included a mix of nematodes, acanthocephalans, cestodes, digeneans, and pentastomes. The findings raise concern because of the likelihood that some parasites infecting market swamp eels imported from Asia are themselves Asian taxa, some possibly new to North America. The ecological risk is exacerbated because swamp eels sold in food markets are occasionally retained live by customers and a few reportedly released into the wild. For comparative purposes, M. albus "Clade C" swamp eels from a non-native population in Florida (USA) were also examined and most (84%) were found to be infected with internal macroparasites. The current level of analysis does not allow us to confirm whether these are non-native parasites.

Aquatic Invasions

Grain-size evolution in suspended sediment and deposits from the 2004 and 2008 controlled-flood experiments in Marble and Grand Canyons, Arizona

Since the closure of Glen Canyon Dam in 1963, the hydrology, sediment supply, and distribution and size of modern alluvial deposits in the Colorado River through Grand Canyon have changed substantially (e.g., Howard and Dolan, 1981; Johnson and Carothers, 1987; Webb et al., 1999; Rubin et al., 2002; Topping et al., 2000, 2003; Wright et al., 2005; Hazel et al., 2006). The dam has reduced the fluvial sediment supply at the upstream boundary of Grand Canyon National Park by about 95 percent. Regulation of river discharge by dam operations has important implications for the storage and redistribution of sediment in the Colorado River corridor. In the absence of natural floods, sediment is not deposited at elevations that regularly received sediment before dam closure. There has been a systemwide decrease in the size and number of subaerially exposed fluvial sand deposits since the 1960s, punctuated by episodic aggradation during the exceptional high-flow intervals in the early 1980s and by sediment input from occasional tributary floods (Beus and others, 1985; Schmidt and Graf, 1990; Kearsley et al., 1994; Schmidt et al., 2004; Wright et al., 2005; Hazel et al., 2006). Fluvial sandbars are an important component of riparian ecology that, among other functions, enclose eddy backwaters that form native-fish habitat, provide a source for eolian sand that protects some archaeological sites, and are used as campsites by thousands of river-runners annually (Rubin et al., 1990; Kearsley et al., 1994; Neal et al., 2000; Wright et al., 2005; Draut and Rubin, 2008).

Arizona

Cyclic terpenoids of contemporary resinous plant detritus and of fossil woods, ambers and coals

Cyclic terpenoids present in the solvent extractable material of fossil woods, ambers and brown coals have been analyzed. The sample series chosen consisted of wood remains preserved in Holocene to Jurassic sediments and a set of of ambers from the Philippines (copalite), Israel, Canada and Dominican Republic. The brown coals selected were from the Fortuna Garsdorf Mine and Miocene formations on Fiji. The fossil wood extracts contained dominant diterpenoid or sesquiterpenoid skeletons, and aromatized species were present at high concentrations, with a major amount of two-ring aromatic compounds. Tricyclic diterpenoids were the predominant compounds in the ambers. Aromatized derivatives were the major components, consisting of one or two aromatic ring species with the abietane and occasionally pimarane skeletons. The saturated structures were comprised primarily of the abietane and pimarane skeletons having from three to five carbon (C 1 , C 2 , etc.) substituents. Kaurane and phyllocladane isomers were present in only minor amounts. Bicyclic sesquiterpenoids as saturated and partial or fully aromatized forms were also common in these samples, but only traces of sesterterpenoids and triterpenoid derivatives were found. The brown coal extracts were composed of major amounts of one- and two-ring aromatized terpenoids, with a greater proportion of triterpenoid derivatives than in the case of the woods and ambers. This was especially noticeable for the German coal, where the triterpenoids were predominant. Open C-ring aromatized structures were also present in this coal. Steroid compounds were not detectable, but some hopanes were found as minor components in the German brown coal. An overview of the skeletal structure classes identified in each sample, as well as the general mass spectrometric characteristics of the unknown compounds are included in the present paper. It can be concluded from these structural distributions that aromatization is the main process for the transformation of terrestrial cyclic terpenoids during diagenesis, constituting a general pathway for all terpenoids.

Organic Geochemistry

Groundwater availability of the Williston Basin, United States and Canada

Executive Summary The Williston Basin of the Northern Great Plains is a sedimentary basin—a geologic bowl-like structure filled with layered sedimentary rocks dating as far back as the Paleozoic age. The basin, which is nationally important for the production of energy resources, spans Montana, North Dakota, and South Dakota in the United States, and Manitoba and Saskatchewan in Canada. The three uppermost principal aquifer systems are the glacial, lower Tertiary, and Upper Cretaceous aquifer systems. As deep as 3,000 feet (ft) at the center of the basin, these are the most accessible aquifer systems in the basin and are the primary sources of potable groundwater in much of this area. The glacial aquifer system consists of Quaternary-age unconsolidated till, silt, clay, outwash sand and gravel, and occasional cobbles and boulders. The lower Tertiary and Upper Cretaceous aquifer systems consist primarily of sandstone, siltstone, mudstone, shale, and coal. As energy demands have increased in the basin, horizontal drilling and hydraulic-fracturing have been used (especially since 2005) to develop previously inaccessible formations—namely, the Bakken and Three Forks Formations. The basin has yielded a large supply of domestic oil and natural gas since the 1950s, but the technologies required to extract those materials use large amounts of freshwater. The increasing freshwater demands of energy production in the Williston Basin, in addition to population growth, have led to a need for new tools to assess groundwater resources.

Williston Basin

Food of alewives, yellow perch, spottail shiners, trout-perch, and slimy and fourhorn sculpins in southeastern Lake Michigan

Stomachs of 1,064 alewives (Alosa pseudoharengus), 1,103 yellow perch (Perca flavescens), 246 spottail shiners (Notropis hudsonius), 288 trout-perch (Percopsis omiscomaycus), 454 slimy sculpins (Cottus cognatus), and 562 fourhorn sculpins (Myoxocephalus quadricornis) from Lake Michigan were examined for food contents. Fish were sampled primarily from March to November and nearly all were caught at the bottom in the southeastern part of the lake near Saugatuck, Michigan. Depths of capture (m) were: alewives, 5 to 110; yellow perch, 5 to 26; spottail shiners, 5 to 31; trout-perch, 9 to 46; slimy sculpins, 31 to 91; and fourhorn sculpins, 73 to 110. Alewives, particularly those less than 140 mm long, fed chiefly on zooplankton; Pontoporeia usually constituted most of the rest of the food, although Mysis and immature midges were occasionally eaten in considerable quantity. Yellow perch ate primarily Pontoporeia, fish eggs, Mysis, and crayfish; Pontoporeia was consumed most heavily by perch less than 250 mm long and those in relatively deep water, fish (mainly slimy sculpins) by those 200 mm long or longer, Mysis by those in deep water, and crayfish by those on rocky bottom. Spottail shiners fed most commonly on immature midges, Pontoporeia, zooplankton, fingernail clams, and (in July only) fish eggs; immature midges were eaten mainly by shiners in shallow water; and Pontoporeia by those in deeper areas. The diet of trout-perch was strongly dominated by Pontoporeia and immature midges. Slimy sculpins ate Pontoporeia almost exclusively. Fourhorn sculpins fed almost entirely on Mysis and Pontoporeia; Pontoporeia was particularly important in the diet of the larger fish.

Technical Paper

Depositional environments of the Cache, Lower Lake, and Kelseyville Formations, Lake County, California

We describe the depositional environments of the Cache, Lower Lake, and Kelseyville Formations in light of habitat preferences of recovered mollusks, ostracodes, and diatoms. Our reconstruction of paleoenvironments for these late Cenozoic deposits provides a framework for an understanding of basin evolution and deposition in the Clear Lake region. The Pliocene and Pleistocene Cache Formation was deposited primarily in stream and debris flow environments; fossils from fine-grained deposits indicate shallow, fresh-water environments with locally abundant aquatic vegetation. The fine-grained sediments (mudstone and siltstone) were probably deposited in ponds in abandoned channels or shallow basins behind natural levees. The abandoned channels and shallow basins were associated with the fluvial systems responsible for deposition of the bulk of the technically controlled Cache Formation. The Pleistocene Lower Lake Formation was deposited in a water mass large enough to contain a variety of local environments and current regimes. The recovered fossils imply a lake with water depths of 1 to 5 m. However, there is strong support from habitat preferences of the recovered fossils for inferring a wide range of water depths during deposition of the Lower Lake Formation; they indicate a progressively shallowing system and the culmination of a desiccating lacustrine system. The Pleistocene Kelseyville Formation represents primarily lacustrine deposition with only minor fluvial deposits around the margins of the basin. Local conglomerate beds and fossil tree stumps in growth position within the basin indicate occasional widespread fluvial incursions and depositional hiatuses. The Kelseyville strata represent a large water mass with a muddy and especially fluid substrate having permanent or sporadic periods of anoxia. Central-lake anoxia, whether permanent or at irregular intervals, is the simplest way to account for the low numbers of benthic organisms recovered from the Kelseyville Formation. Similar low-oxygen conditions for benthic life are represented throughout the sedimentary history of Clear Lake. Water depths for the Kelseyville Formation of 10 to 30 m and 12 m near the margins of the basin are inferred both before and after fluvial incursions. These water-depth fluctuations cannot be correlated with major climatic changes as indicated by pollen and fossil leaves and cones; they may be due to faulting in this technically active region.

GSA Special Papers

Natural avalanches and transportation: A case study from Glacier National Park, Montana, USA

In January 2004, two natural avalanches (destructive class 3) derailed a freight train in John F. Stevens Canyon, on the southern boundary of Glacier National Park. The railroad tracks were closed for 29 hours due to cleanup and lingering avalanche hazard, backing up 112km of trains and shutting down Amtrak’s passenger service. The incident marked the fourth time in three winters that natural avalanches have disrupted transportation in the canyon, which is also the route of U.S. Highway 2. It was the latest in a 94-year history of accidents that includes three fatalities and the destruction of a major highway bridge. Despite that history and the presence of over 40 avalanche paths in the 16km canyon, mitigation is limited to nine railroad snow sheds and occasional highway closures. This case study examines natural avalanche cycles of the past 28 winters using data from field observations, a Natural Resources Conservation Service (NRCS) SNOTEL station, and data collected since 2001 at a high-elevation weather station. The avalanches occurred when storms with sustained snowfall buried a persistent near-surface faceted layer and/or were followed by rain-on-snow or dramatic warming (as much as 21 o C in 30 minutes). Natural avalanche activity peaked when temperatures clustered near freezing (mean of -1.5 o C at 1800m elev.). Avalanches initiated through rapid loading, rain falling on new snow, and/ or temperature-related changes in the mechanical properties of slabs. Lastly, the case study describes how recent incidents have prompted a unique partnership of land management agencies, private corporations and non-profit organizations to develop an avalanche mitigation program for the transportation corridor.

Montana

Natural bitumen and extra-heavy oil

Crude oil is found in sedimentary rocks throughout the world, except, thus far, in Antarctica. In many places the oil has been degraded, so that it is represented by viscous black oil that is difficult to recover, transport, and refine. Depending upon the degree of degradation the result is extra-heavy oil or, in the extreme case, natural bitumen. Except in Canada, precise quantitative reserves and oilin-place data on a reservoir basis are seldom available because most countries and companies consider such information to be proprietary. Natural bitumen is the oil contained in clastic and carbonate reservoir rocks, most frequently in small deposits at, or near, the earth’s surface. These rocks are commonly referred to as tar sands or oil sands and have been mined since antiquity for use as paving. Occasionally such deposits are extremely large in areal extent and in contained resources, most notably those in northern Alberta, Canada. In 2003 only the Alberta bitumen deposits were being exploited as a source of crude oil. Similarly, reservoirs containing extra-heavy oil are geographically widespread but only one such deposit is sufficiently large to have a major supply and economic impact. That deposit is the Orinoco Oil Belt in Eastern Venezuela. Nowhere else in the world is such a concentration of extra heavy oil known or likely to exist. Definitions of terms used in this commentary may be found immediately prior to Table 4.1. The resource definitions are those of the World Petroleum Congress-Society of Petroleum Engineers-American Association of Petroleum Geologists, with minor additions. One such addition, e.g. is the term Original Reserves, comprised of Proved Reserves plus Cumulative Production, which tends to place new and mature reservoirs on a more nearly comparable basis than either term alone

Conference Paper

ADV point measurements within rapids of the Colorado River in Grand Canyon

Rapids on the Colorado River in Grand Canyon attract over 20,000 white-water enthusiasts a year and are considered one of the premiere collections of rapids in North America. While this collection of rapids is an important recreational resource, relatively little is known of the specific hydraulics of individual rapids. Flow measurements are occasionally made in the low-velocity reaches between rapids, but the turbulent and dangerous nature of rapids makes in-situ data collection challenging. The present study measured hydraulics within a small rapid in Grand Canyon as well as an alluvial reach of the Colorado River in Glen Canyon using a Sontek Argonaut acoustic Doppler velocimeter (ADV) 2 . The ADV was mounted near the center-front of a motor-powered 19-foot J-snout boat; the instrument sample volume was located 80 cm below the surface. The quality of the measurements was best in the slower water above the rapid and in Glen Canyon. Waves, aeration, and high-velocity water rendered specific measurements in the core of the rapid difficult as the ADV instrument could only measure velocities less than about 3.0 m/s. Nonetheless, velocity, bathymetry, and water-surface maps were constructed for the rapid and the reach in Glen Canyon. The compiled data sets can be used for predicting the erosion potential of debris fans forming the rapid and the development of numerical models to better characterize rapids.

Colorado

Hydrologic and geologic reconnaissance of Pinto Basin, Joshua Tree National Monument, Riverside County, California

Pinto basin, in the north-central part of Riverside County, Calif., is a typical desert valley formed by downfaulting along several major fault zones. The valley is filled with alluvium, and ground water in the alluvium discharges as subsurface outflow through an alluvium-filled gap at the east end of the valley. Occasionally surface water from cloudburst floods also discharges in a wash through the gap at the east end of the valley. A northeastward extension of the major fault along the south side of the valley acts as a barrier to the discharge of ground water from the valley. The average ground-water gradient is less than 1 foot per mile across the main part of the valley above this barrier, but the water level drops abruptly across the fault. The ground-water storage capacity of the uppermost 100 feet of saturated alluvium beneath the central valley area is estimated to be about 230,000 acre-feet. All this water in storage occurs at depths greater than 95 feet below the land surface and cannot be reached by plants or animals. During 1959 virtually all the water pumped in the area was withdrawn from storage. However, the quantity of water pumped is small in relation to the total quantity in storage. Except for a small decline in head, no evidence indicates that the pumping will greatly impair the yield for many years or cause the water to deteriorate in quality.

California