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At least 1,081 records · Page 60Linked to original sources

Geomorphic response to wildfire following timber harvest of a small watershed in southern Oregon

Negligible geomorphic change occurred in a 1.5-square-kilometer watershed in southern Oregon during the first 2 years following intense wildfire. Parts of this watershed had been partly cut within eight years prior to the fire or had been clear-cut immediately prior to the fire. Precipitation during the two-year study period was about normal (86 percent of normal in the first wet season and 143 percent in second season). There were only minor effects from the wildfire in terms of development of hydrophobic soil conditions, and infiltration rates remained very high in relation to rainfall intensities. Average hillslope lowering rates computed from two erosion plots, reconnaissance measurements of ravel rates, and photograph comparisons are less than 0.001 meters per year, below the detection limits of these measurement techniques. Channel incision rates into gravelly alluvium during the first wet season were less than 0.001 meters per year and may not be related to wildfire occurrence. The negligible geomorphic response to this dramatic destruction of vegetation suggests that the geomorphic role of wildfires in the Pacific Northwest is not necessarily of large scale or magnitude. High infiltration rates, absence of widespread soil hydrophobicity, and low rainfall intensities mitigate erosional tendencies.

Oregon↗

Phytoplankton growth rates in a light-limited environment, San Francisco Bay

Phytoplankton cells reside in a turbulent medium partitioned into an upper photic zone that sustains photosynthesis, and a lower aphotic zone that does not. In estuaries, vertical mixing rates between these 2 zones can be rapid (< 1 generation time) because of tidal stirring and because the mixing depth is generally shallow. Moreover, the photic depth is characteristically shallow in estuaries because of the high seston concentrations that typify these systems (e.g. Cloern 1987). Hence the mean light exposure of phytoplankton cells, and their rates of photosynthesis and growth in estuaries, should be related to the ratio of photic depth Z p to mixing Z m , (defined as either the water column depth, or the surface layer depth in a stratified estuary). Grobbelar (1985) has measured phytoplankton production in turbid waters and used the ratio Z p :Z m as a simple index to quantify the degree of light limitation. Harris and his colleagues have examined in detail the importance of the Z p :Z m ratio in lakes for influencing variability of phytoplankton production and photosynthetic parameters (Harris et al. 1980), and variability of species composition both temporally (Harris & Piccinin 1980) and spatially (Haffner et al. 1980). Phytoplankton growth rates have only rarely been measured in estuaries (Malone 1977, Furnas 1982, Harding et al. 1986) where cycling rates between the photic and aphotic zones can be much faster than in lakes or the open ocean. This study was motivated by the need for quantitative measures of phytoplankton population growth rate in an estuarine environment, and was designed around the presumption that growth rates can be related empirically to light exposure. We conducted the study in San Francisco Bay (California, USA), which has large horizontal gradients in light availability (Z p :Z m ) typical of many coastal plain estuaries, and nutrient concentrations that often exceed those presumed to limit phytoplankton growth (Cloern et al. 1985). We tested the hypothesis that light availability is the primary control of phytoplankton growth, and that previous estimates of growth rate based on the ratio of productivity to biomass (Cloern et al. 1985) are realistic. Specifically, we wanted to verify that growth rate varies spatially along horizontal gradients of light availability indexed as Z p :Z m , such that phytoplankton turnover rate is rapid in shallow clear areas (high Z p :Z m ) and slow in deep turbid areas (low Z p :Z m ). We used an in situ incubation technique which simulated vertical mixing, and measured both changes in cell number and carbon production as independent estimates of growth rate across a range of Z p :Z m ratios.

California↗

Rainfall effects on rare annual plants

Variation in climate is predicted to increase over much of the planet this century. Forecasting species persistence with climate change thus requires understanding of how populations respond to climate variability, and the mechanisms underlying this response. Variable rainfall is well known to drive fluctuations in annual plant populations, yet the degree to which population response is driven by between-year variation in germination cueing, water limitation or competitive suppression is poorly understood. We used demographic monitoring and population models to examine how three seed banking, rare annual plants of the California Channel Islands respond to natural variation in precipitation and their competitive environments. Island plants are particularly threatened by climate change because their current ranges are unlikely to overlap regions that are climatically favourable in the future. Species showed 9 to 100-fold between-year variation in plant density over the 5–12 years of censusing, including a severe drought and a wet El Niño year. During the drought, population sizes were low for all species. However, even in non-drought years, population sizes and per capita growth rates showed considerable temporal variation, variation that was uncorrelated with total rainfall. These population fluctuations were instead correlated with the temperature after the first major storm event of the season, a germination cue for annual plants. Temporal variation in the density of the focal species was uncorrelated with the total vegetative cover in the surrounding community, suggesting that variation in competitive environments does not strongly determine population fluctuations. At the same time, the uncorrelated responses of the focal species and their competitors to environmental variation may favour persistence via the storage effect. Population growth rate analyses suggested differential endangerment of the focal annuals. Elasticity analyses and life table response experiments indicated that variation in germination has the same potential as the seeds produced per germinant to drive variation in population growth rates, but only the former was clearly related to rainfall. Synthesis . Our work suggests that future changes in the timing and temperatures associated with the first major rains, acting through germination, may more strongly affect population persistence than changes in season-long rainfall.

Journal of Ecology↗

U.S. Geological survey program on toxic waste--ground-water contamination; proceedings of the Second technical meeting, Cape Cod, Massachusetts, October 21-25, 1985

This study characterizes the clay minerals in sediments associated with a plume of creosote-contaminated groundwater. The plume of contaminated groundwater near Pensacola, FL, is in shallow, permeable, Miocene to Holocene quartz sand and flows southward toward Pensacola Bay. Clay-size fractions were separated from 41 cores, chiefly split-spoon samples at 13 drill sites. The most striking feature of the chemical analyses of the clay fractions from uncontaminated site 2 and contaminated sites 4,5,6, and 7 is the variability of iron oxide (species in some samples as Fe2O3); total iron oxide abundance is lowest (2.5%) in uncontaminated sample 2-40, but is > 4.5% (4.5 to 8.5%) in the remaining assemblages. One feature suggesting interaction between the indigenous clays and the waste plume is the presence of nontronite-rich smectite. Nontronite commonly has been identified as the product of hydrothermal alteration and deep-sea weathering of submarine basalts; it is not a common constituent of Cenozoic Gulf Coast sediments. At the Pensacola site, relatively abundant nontronitic smectite is confined to contaminated sands or associated muds; it is least abundant or absent in sands and muds peripheral to the waste plume. The geochemistry of the waste plume, its substantial dissolved, (chiefly ferrous iron), mildly acidic (pH 5-6), and low redox composition, provides an environment similar to that previously determined for the low-temperature synthesis of nontronite. Data from clay-size fractions confirm conclusions that neoformed pyrite in some grain coatings occurs in an assemblage with excess iron over that required in the pyrite. Continuing studies to evaluate these tentative conclusions include: (1) chemical analysis of clay fractions from remaining sites to further examine the apparent relation between iron content and abundance of nontronitic smectite; (2) clay separation and analysis, and pore fluid extraction (squeezing or ultracentrifugation) and analysis from a continuous core through the mud lens to determine pore fluid composition (presence or absence of waste fluid), and character of associated clay minerals; and (3) clay separation and analysis in both permeable sands and the intervening mud lens that are clearly outside the limits of the waste plume to further document the effects of the plume. (See also W90-00022) (Lantz-PTT)

Open-File Report↗

Geomorphological control on variably saturated hillslope hydrology and slope instability

In steep topography, the processes governing variably saturated subsurface hydrologic response and the interparticle stresses leading to shallow landslide initiation are physically linked. However, these processes are usually analyzed separately. Here, we take a combined approach, simultaneously analyzing the influence of topography on both hillslope hydrology and the effective stress fields within the hillslope itself. Clearly, runoff and saturated groundwater flow are dominated by gravity and, ultimately, by topography. Less clear is how landscape morphology influences flows in the vadose zone, where transient fluxes are usually taken to be vertical. We aim to assess and quantify the impact of topography on both saturated and unsaturated hillslope hydrology and its effects on shallow slope stability. Three real hillslope morphologies (concave, convex, and planar) are analyzed using a 3-D, physically based, distributed model coupled with a module for computation of the probability of failure, based on the infinite slope assumption. The results of the analyses, which included parameter uncertainty analysis of the results themselves, show that convex and planar slopes are more stable than concave slopes. Specifically, under the same initial, boundary, and infiltration conditions, the percentage of unstable areas ranges from 1.3% for the planar hillslope, 21% for convex, to a maximum value of 33% for the concave morphology. The results are supported by a sensitivity analysis carried out to examine the effect of initial conditions and rainfall intensity.

Water Resources Research↗

Landscape level reforestation priorities for forest breeding landbirds in the Mississippi Alluvial Valley

Thousands of ha of cleared wetlands are being reforested annually in the Mississippi Alluvial Valley (MAV). Despite the expansive and long-term impacts of reforestation on the biological communities of the MAV, there is generally a lack of landscape level planning in its implementation. To address this deficiency we used raster-based digital data to assess the value of forest restoration to migratory landbirds for each ha within the MAV. Raster themes were developed that reflected distance from 3 existing forest cover parameters: (1) extant forest, (2) contiguous forest patches between 1,012 and 40,000 ha, and (3) forest cores with contiguous area <5,200 ha. Forest core habitat was any forest habitat >1 km from an agricultural, urban, or pastoral edge. Two additional raster themes were developed that combined information on the proportion of forest cover and average size of forest patches, respectively, within landscapes of 50,000, 100,000, 150,000, and 200,000 ha. Data from these 5 themes were amalgamated into a single raster using a weighting system that gave increased emphasis to existing forest cores, larger forest patches, and moderately forested landscapes while deemphasizing reforestation near small or isolated forest fragments and within largely agricultural landscapes. This amalgamated raster was then modified by the geographic location of historical forest cover and the current extent of public land ownership to assign a reforestation priority score to each ha in the MAV. However, because reforestation is not required on areas with extant forest cover and because restoration is unlikely on areas of open water and urban communities, these lands were not assigned a reforestation priority score. These spatially explicit reforestation priority scores were used to simulate reforestation of 368,000 ha (5%) of the highest priority lands in the MAV. Targeting restoration to these high priority areas resulted in a 54% increase in forest core - an area of forest core that exceeded the area of simulated reforestation. Bird Conservation Regions, developed within the framework of the Partners in Flight: Mississippi Alluvial Valley Bird Conservation Plan, encompassed a large proportion (circa 70%) of the area with highest priority for reforestation. Similarly, lands with high reforestation priority often were enrolled in the Wetland Reserve Program.

Book chapter↗

Hydrogeologic mapping and three-dimensional geologic modeling of glacial deposits in a multicounty area of southeastern Michigan, northeastern Indiana, and northwestern Ohio

The glacial deposits underlying southeastern Michigan, northeastern Indiana, and northwestern Ohio are a substantial source of water to communities, agriculture, and industry in the region. Previous efforts to characterize aquifer materials in the area cited a need for additional information about the underlying hydrogeologic characteristics and related groundwater availability as well as improved mapping of the extent and properties of the glacial deposits. Recent U.S. Geological Survey multi-State compilations of water-well drilling records have greatly increased access to high-resolution geologic data, particularly in glacial depositional environments. This study by the U.S. Geological Survey, in cooperation with the Ohio Environmental Protection Agency, uses processed data from the State-managed collections of well records to characterize the glacial deposits in the study area using two methods. The first method creates two-dimensional maps of basic hydrogeologic information commonly required for assessments of groundwater availability, including (1) total thickness of glacial deposits, (2) total thickness of coarse-grained deposits, (3) specific-capacity-based transmissivity and hydraulic conductivity, and (4) texture-based estimated equivalent horizontal and vertical hydraulic conductivity and transmissivity. The second method builds a hydrogeologic framework of the complex glacial aquifer through construction of a volumetric geologic model by using three-dimensional kriging. Results of the volumetric model indicate that aquifer materials are primarily concentrated in the western parts of the study area near the Indiana-Ohio border. Coarse-grained sediments are also present as surficial deposits in the north of the study area where intermixing glacial advances created complex distributions of unconsolidated deposits. Two-dimensional maps of hydrogeologic properties support the volumetric model, showing thicknesses of coarse-grained deposits that reach up to 250 feet in the western sections of the study area and progressively thin to near absence in the east. Visualization of the aquifer materials with a volumetric model generally shows a highly discontinuous distribution of coarse- and fine-grained materials, with no clearly defined boundaries to delineate the extent of the aquifer. Comparisons of cross sections derived from the volumetric model with existing published maps support previous near-surface hydrogeologic interpretations while filling gaps where data are sparse, particularly in deeper parts of the aquifer. Both the two-dimensional maps and the volumetric model provide data that can directly inform assessments of groundwater availability, in addition to having future applications to studies of groundwater flow and transport.

Indiana, Michigan, Ohio↗

Relation of Environmental characteristics to the composition of aquatic assemblages along a gradient of urban land use in New Jersey, 1996-98

Community data from 36 watersheds were used to evaluate the response of fish, invertebrate, and algal assemblages in New Jersey streams to environmental characteristics along a gradient of urban land use that ranged from 3 to 96 percent. Aquatic assemblages were sampled at 36 sites during 1996-98, and more than 400 environmental attributes at multiple spatial scales were summarized. Data matrices were reduced to 43, 170, and 103 species of fish, invertebrates, and algae, respectively, by means of a predetermined joint frequency and relative abundance approach. White sucker (Catostomus commersoni) and Tessellated darter (Etheostoma olmstedi) were the most abundant fishes, accounting for more than 20 and 17 percent, respectively, of the mean abundance. Net-spinning caddisflies (Hydropsychidae) were the most commonly occurring benthic invertebrates and were found at all but one of the 36 sampling sites. Blue-green (for example, Calothrix sp. and Oscillatoria sp.) and green (for example, Protoderma viride) algae were the most widely distrib-uted algae; however, more than 81 percent of the algal taxa collected were diatoms. Principal-component and correlation analyses were used to reduce the dimensionality of the environmental data. Multiple linear regression analysis of extracted ordination axes then was used to develop models that expressed effects of increasing urban land use on the structure of aquatic assemblages. Significant environmental variables identified by using multiple linear regression analysis then were included in a direct gradient analysis. Partial canonical correspondence analysis of relativized abundance data was used to restrict further the effects of residual natural variability, and to identify relations among the environmental variables and the structure of fish, invertebrate, and algal assemblages along an urban land-use gradient. Results of this approach, combined with the results of the multiple linear regression analyses, were used to identify human population density (311-37,594 persons/km2), amount and type of impervious surface cover (0.12-1,350 km2), nutrient concentrations (for example, 0.01-0.29 mg/L of phosphorus), hydrologic instability (for example, 100-8,955 ft3/s for 2-year peak flow), the amount of forest and wetlands in a basin (0.01-6.25 km2), and substrate quality (0-87 percent cobble substrate) as variables that are highly correlated with aquatic-assemblage structure. Species distributions in ordination space clearly indicate that tolerant species are more abundant in the streams impaired by urbanization and sensitive taxa are more closely associated with the least impaired basins. The distinct differences in aquatic assemblages along the urban land-use gradient demonstrate the deleterious effects of urbanization on assemblage structure and indicate that conserving landscape attributes that mitigate anthropogenic influences (for example, stormwater-management practices emphasizing infiltration and preservation of existing forests, wetlands, and riparian corridors) will help to maintain the relative abundance of sensitive taxa. Complementary multiple linear regression models indicate that aquatic community indices were correlated with many of the anthropogenic factors that were found to be significant along the urban land-use gradient. These indices appear to be effective in differentiating the moderately and severely impaired streams from the minimally impaired streams. Evaluation of disturbance thresholds for aquatic assemblages indicates that moderate to severe impairment is detectable in New Jersey streams when impervious surface cover in the drainage basin reaches approximately 18 percent.

Water-Resources Investigations Report↗

Summary of U.S. Geological Survey reports documenting flood profiles of streams in Iowa, 1963-2012

This report is part of an ongoing program that is publishing flood profiles of streams in Iowa. The program is managed by the U.S. Geological Survey in cooperation with the Iowa Department of Transportation and the Iowa Highway Research Board (Project HR-140). Information from flood profiles is used by engineers to analyze and design bridges, culverts, and roadways. This report summarizes 47 U.S. Geological Survey flood-profile reports that were published for streams in Iowa during a 50-year period from 1963 to 2012. Flood events profiled in the reports range from 1903 to 2010. Streams in Iowa that have been selected for the preparation of flood-profile reports typically have drainage areas of 100 square miles or greater, and the documented flood events have annual exceedance probabilities of less than 2 to 4 percent. This report summarizes flood-profile measurements, changes in flood-profile report content throughout the years, streams that were profiled in the reports, the occurrence of flood events profiled, and annual exceedance-probability estimates of observed flood events. To develop flood profiles for selected flood events for selected stream reaches, the U.S. Geological Survey measured high-water marks and river miles at selected locations. A total of 94 stream reaches have been profiled in U.S. Geological Survey flood-profile reports. Three rivers in Iowa have been profiled along the same stream reach for five different flood events and six rivers in Iowa have been profiled along the same stream reach for four different flood events. Floods were profiled for June flood events for 18 different years, followed by July flood events for 13 years, May flood events for 11 years, and April flood events for 9 years. Most of the flood-profile reports include estimates of annual exceedance probabilities of observed flood events at streamgages located along profiled stream reaches. Comparisons of 179 historic and updated annual exceedance-probability estimates indicate few differences that are considered substantial between the historic and updated estimates for the observed flood events. Overall, precise comparisons for 114 observed flood events indicate that updated annual exceedance probabilities have increased for most of the observed flood events compared to the historic annual exceedance probabilities. Multiple large flood events exceeding the 2-percent annual exceedance-probability discharge estimate occurred at 37 of 98 selected streamgages during 1960–2012. Five large flood events were recorded at two streamgages in Ames during 1990–2010 and four large flood events were recorded at four other streamgages during 1973–2010. Results of Kendall’s tau trend-analysis tests for 35 of 37 selected streamgages indicate that a statistically significant trend is not evident for the 1963–2012 period of record; nor is an overall clear positive or negative trend evident for the 37 streamgages.

Iowa↗

Geologic map and structure sections along the southern part of the Bartlett Springs Fault Zone and adjacent areas from Cache Creek to Lake Berryessa, northern Coast Ranges, California

Introduction Located in the Coast Ranges of northern California, the Bartlett Springs Fault Zone is the easternmost fault in the San Andreas Fault system in northern California. The fault is a right-lateral, strike-slip structure considered capable of producing an earthquake of moment magnitude 7. The purpose of this mapping is to better characterize the geology and earthquake hazards associated with the southern part of the Bartlett Springs Fault Zone and to help identify any evidence of active uplift on the faults bounding the Coast Ranges. Although the area immediately surrounding the Bartlett Springs Fault Zone is sparsely populated, its southern segment presents a potential seismic hazard to northern California communities as far away as the San Francisco Bay region and Sacramento. There are also nearby water resources, mineral resources, and public lands used for public recreation. The Coast Ranges of northern California are a series of northwest-southeast-oriented mountain ranges and valleys located north of the San Francisco Bay region, between the Pacific Ocean to the west and the Sacramento Valley to the east. The region has rugged terrain, high mountain peaks that reach more than 2,400 meters above sea level, isolated and narrow valley bottoms on which most human settlements are located, and large drainage systems that tend to follow the northwest-southeast-oriented topographic grain. The physiographic character of the region is shaped by its bedrock geology, deformational history, and active faulting. The basement rocks of the northern Coast Ranges consist of the Franciscan Complex and the Great Valley complex, the latter of which consists of two informal units, the Coast Range ophiolite and the Great Valley sequence. The Franciscan Complex and the Great Valley complex are in structural contact along the Coast Range Fault, a regional-scale structure and fundamental crustal boundary. The Franciscan Complex and the Great Valley complex are superposed by active, northwest-southeast-striking strike-slip faults that are associated with seismicity swarms. These active strike-slip faults can produce moderate to large earthquakes that have moment magnitudes of 7–8. In places, these active structures bound large ranges and valleys, suggesting that much of the modern topographic expression is the result of active deformation processes. This report contains new 1:24,000-scale geologic mapping along the southern part of the Bartlett Springs Fault Zone between Clear Lake and Lake Berryessa. The map area spans 738 square kilometers in northern Napa County, southern Lake County, and parts of Yolo and Colusa Counties. The south and east borders of the map are 90 kilometers north of San Francisco and 70 kilometers west of Sacramento, respectively. The map area is within the Knoxville mining district, which has a history of mercury and gold mining dating back to the mid-19th century. The two main towns in the region, Lower Lake and Clearlake, California, are west-northwest of the map area. Approximately 71,000 people live in the cities and rural communities located within a 40-kilometer radius of the center of the map area. The bedrock geology, cross sections, and structural data presented herein are critical for evaluating the long-term evolution of the Bartlett Springs Fault Zone. This work will supplement studies on local seismic hazards, liquefaction potential, landslide hazards, earthquake geology, natural resources, groundwater resources, engineering geology, and tectonic history by providing the background information for site-specific investigations on these subjects.

California↗

Rivers are social–ecological systems: Time to integrate human dimensions into riverscape ecology and management

Incorporation of concepts from landscape ecology into understanding and managing riverine ecosystems has become widely known as riverscape ecology. Riverscape ecology emphasizes interactions among processes at different scales and their consequences for valued ecosystem components, such as riverine fishes. Past studies have focused strongly on understanding the ecological processes in riverscapes and how human actions modify those processes. It is increasingly clear, however, that an understanding of the drivers behind actions that lead to human modification also merit consideration, especially regarding how those drivers influence management efficacy. These indirect drivers of riverscape outcomes can be understood in the context of a diverse array of social processes, which we collectively refer to as human dimensions. Like ecological phenomena, social processes also exhibit complex interactions across spatiotemporal scales. Greater emphasis on feedbacks between social and ecological processes will lead scientists and managers to more completely understand riverscapes as complex, dynamic, interacting social–ecological systems. Emerging applications in riverscapes, as well as studies of other ecosystems, provide examples that can lead to stronger integration of social and ecological science. We argue that conservation successes within riverscapes may not come from better ecological science, improved ecosystem service analyses, or even economic incentives if the fundamental drivers of human behaviors are not understood and addressed in conservation planning and implementation.

WIREs Water↗

The Whakamaru group ignimbrites, Taupo Volcanic Zone, New Zealand: Evidence for reverse tapping of a zoned silicic magmatic system

The Whakamaru group ignimbrites are widespread voluminous welded ignimbrites which crop out along the eastern and western margins of the Taupo Volcanic Zone (TVZ), New Zealand. The ignimbrites have a combined volume exceeding 1000 km 3 , and were erupted from a large caldera in the central TVZ around 340 ka, following a c. 350 ka hiatus in caldera-forming activity in TVZ. Analysis of individual pumice clasts identifies five distinct magma types (rhyolite types A to D, and high alumina basalt) and significant gradients in temperature, water content, and Sr isotopic composition in the pre-eruptive Whakamaru magmatic system. There is a marked variation in mineral assemblage with composition; type A low-silica rhyolite pumices contain plagioclase, quartz, orthopyroxene, hornblende, biotite, and magnetite/ilmenite with distinctive large rounded quartz phenocrysts. High-silica (types B and C) pumices contain quartz (smaller, subhedral phenocrysts), plagioclase, sanidine, biotite, and magnetite/ilmenite. Type D pumices are rich in plagioclase and biotite phenocrysts, and have anomalously high Rb contents (>200 ppm) relative to all other pumice types. Rhyolite types B and C are related to type A magma by a two-stage crystal fractionation process, probably by side wall crystallisation and convective fractionation. The first stage involved 30–40% fractionation of a plagioclase-dominated (sanidine-free) assemblage to produce a type B magma, which in turn underwent fractionation of a plagioclase/quartz/sanidine assemblage to produce the highly evolved, but relatively Ba-depleted, type C magmas. Stratigraphic variations in modal proportions of mineral phases, and calculated Fe–Ti oxide equilibrium temperatures indicate that eruptions commenced with the hottest, least evolved magmas, and more evolved magmas became important at a later stage in the eruption along with a high alumina basalt component. This reverse-zoned sequence precludes simple sequential tapping of a large zoned magma chamber, and indicates a complex magma chamber configuration and/or withdrawal dynamics during eruption. Type D magma, which appears to be unrelated to either types A or B by crystal fractionation, may have formed a separate subjacent chamber that was ruptured and incorporated into the eruption. The Whakamaru magma system provides clear evidence that (less evolved) low silica rhyolites undergo significant fractionation at shallow crustal levels in central TVZ, to produce the generally more evolved rhyolites more commonly erupted at the surface, and suggests large ignimbrite eruptions may tap multiple magma chambers.

Journal of Volcanology and Geothermal Research↗

Remote sensing of visible dye concentrations during a tracer experiment on a large, turbid river

Understanding dispersion in rivers is critical for numerous applications, such as characterizing larval drift for endangered fish species and responding to spills of hazardous materials. Injecting a visible dye into the river can yield insight on dispersion processes, but conventional field instrumentation yields limited data on variations in dye concentration over time at a few, fixed points. Remote sensing can provide more detailed, spatially distributed information on the dye's motion, but this approach has only been tested in clear-flowing streams. The purpose of this study was to assess the potential of remote sensing to facilitate tracer studies in more turbid rivers. To pursue this objective, we injected Rhodamine WT dye into the Missouri River and collected field spectra from a boat, videos from a small unoccupied aircraft system (sUAS), and orthophotos from an airplane. Applying an optimal band ratio analysis (OBRA) algorithm to the field spectra revealed strong correlations ( R 2 = 0.936) between a spectrally based quantity and in situ concentration measurements. OBRA also performed well for broadband RGB (red, green, blue) images extracted from the sUAS-based videos; the resulting concentration maps were used to produce animations that captured movement of the dye pulse. Spectral mixture analysis of repeat orthophoto coverage yielded relative concentration estimates that provided a synoptic perspective on dispersion of the dye throughout the entire 13.8 km reach over the full 2.5-hr duration of the experiment. The results of this study demonstrate the potential to remotely sense tracer dye concentrations in large, highly turbid rivers.

Missouri↗

Degradation of picric acid and 2,6-DNT in marine sediments and waters: The role of microbial activity and ultra-violet exposure

Bio- and photo-transformation of two munitions and explosives of concern, 2,6-dinitrotoluene (2,6-DNT) and 2,4,6-trinitrophenol (picric acid) were assessed in spiked marine sediments and water. A sandy and a fine-grained sediment, with 0.25% and 1.1% total organic carbon, respectively, were used for biotransformation assessments at 10 and 20 °C. Sterilized sediments were used as controls for biotic vs. abiotic transformation. Transformation products were analyzed by HPLC, GC/MS and LC/MS. Biotransformation in sediments started soon after the initial contact of the chemicals with the sediments and proceeded for several months, with rates in the following sequence: fine-grain at 20 °C > fine-grain at 10 °C > sand at 20 °C > sand at 10 °C. The biotransformation paths seemed to be similar for all conditions. The major biotransformation product of 2,6-DNT was 2-amino-6-nitrotoluene (2-A-6-NT). 2-Nitrotoluene (2-NT) and other minor components, including N , N -dimethyl-3-nitroaniline, benzene nitrile, methylamino-2-nitrosophenol and diaminophenol, were also identified. After more prolonged incubation these chemicals were replaced by high molecular weight polymers. Several breakdown products of picric acid were identified by GC/MS, including 2,4-dinitrophenol, amino dinitrophenols, 3,4-diamino phenol, amino nitrophenol and nitro diaminophenol. Photo-transformation of 2,6-DNT and picric acid in seawater was assessed under simulated solar radiation (SSR). No significant photolysis of picric acid in seawater was observed for up to 47 days, but photo-transformation of 2,6-DNT began soon after the initial exposure to SSR, with 89% being photo-transformed in 24 h and none remaining after 72 h. High molecular weight chemicals were generated, with mass spectra ranging from molecular weight 200–500 compared to 182 for DNT, and the color of the stock solution changed from clear to orange. Complexity of the mass spectra and mass differences among fragments suggest that multiple polymers were produced and were co-eluting during the LC/MS analyses.

Chemosphere↗

Geologic map of Colorado National Monument and adjacent areas, Mesa County, Colorado

New 1:24,000-scale geologic mapping in the Colorado National Monument Quadrangle and adjacent areas, in support of the USGS Western Colorado I-70 Corridor Cooperative Geologic Mapping Project, provides new interpretations of and data for the stratigraphy, structure, geologic hazards in the area from the Colorado River in Grand Valley onto the Uncompahgre Plateau. The plateau drops abruptly along northwest-trending structures toward the northeast 800 m to the Redlands area and the Colorado River in Grand Valley. In addition to common alluvial and colluvial deposits, surficial deposits include Holocene and late Pleistocene charcoal-bearing valley-fill deposits, late to middle Pleistocene river-gravel terrace deposits, Holocene to middle Pleistocene younger, intermediate, and old fan-alluvium deposits, late to middle Pleistocene local gravel deposits, Holocene to late Pleistocene rock-fall deposits, Holocene to middle Pleistocene young and old landslide deposits, Holocene to late Pleistocene sheetwash deposits and eolian deposits, and Holocene Cienga-type deposits. Only the lowest part of the Upper Cretaceous Mancos Shale is exposed in the map area near the Colorado River. The Upper and Lower? Cretaceous Dakota Formation and the Lower Cretaceous Burro Canyon Formation form resistant dipslopes in the Grand Valley and a prominent ridge on the plateau. Less resistant strata of the Upper Jurassic Morrison Formation consisting of the Brushy Basin, Salt Wash, and Tidwell Members form slopes on the plateau and low areas below the mountain front of the plateau. The Middle Jurassic Wanakah Formation nomenclature replaces the previously used Summerville Formation. Because an upper part of the Middle Jurassic Entrada Formation is not obviously correlated with strata found elsewhere, it is therefore not formally named; however, the lower rounded cliff former Slickrock Member is clearly present. The Lower Jurassic silica-cemented Kayenta Formation forms the cap rock for the Lower Jurassic carbonate-cemented Wingate Sandstone, which forms the impressive cliffs of the monument. The Upper Triassic Chinle Formation was deposited on the eroded and weathered Middle Proterozoic meta-igneous gneiss, pegmatite dikes, and migmatitic gneiss. Structurally the area is deceptively challenging. Nearly flat-lying strata on the plateau are folded by northwest-trending fault-propagation folds into at least two S-shaped folds along the mountain front of the plateau. Strata under Grand Valley dip at about 6 degrees to the northeast. In the absence of local evidence, the uplifted plateau is attributed to Laramide deformation by dated analogous structures elsewhere in the Colorado Plateau. The major exposed fault records high-angle reverse relationships in the basement rocks but dissipates strain as a triangular zone of distributed microfractures and cataclastic flow into overlying Mesozoic strata that absorb the fault strain, leaving only folds. Evidence for younger, probably late Pliocene or early Pleistocene, uplift does exist at the antecedent Unaweep Canyon south and east of the map area. To what degree this younger deformation affected the map area is unknown. Several geologic hazards affect the area. Middle and late Pleistocene landslides involving the smectite-bearing Brushy Basin Member of the Morrison Formation are extensive on the plateau and common in the Redlands below the plateau. Expansive clay in the Brushy Basin and other strata create foundation stability problems for roads and homes. Flash floods create a serious hazard to people on foot in narrow canyons in the monument and to homes close to water courses downstream from narrow restrictions close to the monument boundary.

Colorado↗

Identification of bedforms in lower Cook Inlet, Alaska

The seafloor of the central part of lower Cook Inlet, Alaska, is characterized by the presence of different sizes and types of bedforms. The bedforms in the sandy sediments include straight-crested to sinuous to lunate ripples, small, medium, and large sand waves, sand ridges, sand ribbons, and sand patches. In addition, rocky and pebbly seafloor has been identified. The water depth ranges from 25 to 120 m, and surface currents average 3.8 kt (2 m/s). Bottom currents have been measured at as much as 42 cm/s at 1 m above bottom. Underwater television observations have shown that the rate of sand transport is lower than expected because small amounts of clay and organic matter appear to inhibit remobilization. Only during the last 1 to 2 h of ebb and flood stages of spring tides, and during storms, does significant transport occur. Comparison of data from high-resolution seismic profiling systems, side-scan sonar, bottom television and camera, and bottom sampling shows that bottom and bedform interpretations based solely on sonographs can be in error. Measuring the length of ‘acoustic shadows’ on sonographs to obtain bedform heights gives dimensions that are too large by factors of 3–7. Bottom television investigations revealed that the troughs between small sand waves are flat and carpeted by shell fragments. Such coarse material has a high acoustic reflectance that is not related to slope or height and can lead to false interpretations on bedform dimensions. Our observations have shown that small sand waves commonly superimposed on larger ones are slightly higher than those present on flat hard bottom but are still less than calculated from acoustic shadows. Where the bottom is rather smooth or contains elevations small enough to be masked by bathymetric ‘noise’ caused by the pitching of the vessel, sonographs typically show either small sand waves, sand ribbons, sand patches, rocks, or smooth bottom. The smooth-bottom category can vary widely from ripples to gravelly or shelly or to small rocks with biological overgrowth as verified by television observations. Our observations have clearly demonstrated the need for an integrated multi-scale observation and sampling program in order to classify the bottom characteristics and to provide quantitative data for transport calculations.

Alaska↗

Best practices for incorporating climate change science into Department of the Interior analyses, consultations, and decision making

The purpose of this document is to provide technical guidance, practical application examples, and resource lists for those who conduct, manage, and/or interpret technical workflows within the Department of the Interior. This document is intended to support implementation of Department of the Interior policy 526 DM 1 and establish best practices for using climate change science to inform analysis, consultation, and decision making. The Earth’s climate is an interconnected system that distributes energy, heat, and water around the planet. Due to human-driven increases in long-lived greenhouse gases, the Earth’s climate is now changing. For Departmental decision-making purposes, assuming a static, unchanging baseline climate is no longer consistent with current knowledge about the climate system. There are uncertainties about future climate and how resources or assets (RoAs) will respond to new conditions. To depict the possibilities, the global climate science community develops scenarios and models to explore how future climate may respond to socioeconomic and technological development in the world. Principles for informing policy development, planning and decisions, and regulatory processes using climate change science must: 1) consider the effects of future climate change, 2) characterize the risks, and 3) characterize the uncertainties. Best practices include: Use multiple scenarios to assess risks from a range of plausible societal pathways. When constraints prevent the use of multiple scenarios or if decision makers are risk averse, ensure that the chosen scenario considers higher risk outcomes. This is particularly important for large investments or irreversible decisions and reduces the chances of overconfident decision making. Use multiple climate models within each scenario to account for the range of outcomes due to model uncertainty. Do not rely solely on a single model or an ensemble average. Use relevant climate data . Use a time-period for model projections of the future climate change consistent with the relevant timeframe of the policy, action, or decision being considered. Historical observations are useful for understanding past conditions and climate trends for the next several years, but not beyond the next decade. Consult with climate data and modeling experts to assess which data and model resources are most appropriate for any given application. Clearly describe key analysis uncertainties (including with any climate observations, models, and scenarios used), and how they were addressed in the analysis and/or decision process. This ensures transparency and learning among analysts and decision makers.

Report↗

Section 5: Remote sensing of vegetation in the riparian corridor of the Colorado River’s delta 2013-2018

This remote sensing section is based on Nagler et al. (in preparation for the journal Hydrological Processes) and is a summary of the USGS preliminary findings to date. This report documents the changes in green foliage density (greenness) as measured by satellite vegetation index (VI) data and corresponding evapotranspiration (ET) in the riparian corridor of the Colorado River delta associated with the Minutes 319 and 323 environmental water deliveries using time-series data from 2013 through 2018. The report focuses on what happened only within the riparian corridor’s seven reaches since the 2014 flows, and despite being a continuation of measuring greenness and ET after the 2017 end of Minute 319, this study continued the tracking of these two variables, greenness and ET, in these original riparian corridor focal areas. Two spatial scales are used here: (1) Landsat satellite imagery at 30 m pixels and (2) the EOS-1 satellite sensor the Moderate Resolution Imaging Spectrometer (MODIS) with a resolution of 250 m pixels. The focal period includes 2013 (prepulse flow) and the years 2014-2018, with a focus on imagery collected from the Summer growing seasons 2014 through 2018 (one-year, pre-pulse and several post-pulse years, respectively). This report re-creates the 2013-2017 Landsat-based results from Jarchow et al. (2017a, b) by using the same region of interest (ROI). The report now provides revised and re-created results using all new imagery acquisition and processing techniques, as well as extraction code, created by the Vegetation Index and Phenology (VIP) Lab of the Biosystems Engineering Department of the University of Arizona (UofA). In 2018, methods employed by the VIP lab (and not ArcGIS) were used. ArcGIS was only used in the newly processed data to display the final difference maps. The entire spatial tile data from NASA was downloaded and processed at the VIP Lab using satellite imagery at two resolutions: 250 m MODIS and 30 m Landsat using three sensors, Landsat 5, Landsat 7 ETM+ and Landsat 8 Operational Land Imager (OLI), with added scenes for each year based on new clear atmosphere requirements. The VIP lab clipped the river boundary and seven riparian reaches from the previously existing ROI used in Jarchow et al. (2017 a, b) for the analyses done under Minute 319. The NASA image datasets for this riparian corridor ROI in seven reaches were re-processed to produce additional vegetation index (VI) information for years 2013 to 2018 for this report. At the same time, the report acquired and processed imagery from 2000- 2018 (data outside the scope of this report and data not shown here). The additional VIs (NDVI, scaled NDVI, EVI, EVI2) were analyzed so that new assessments of greenness and ET could be produced from the imagery datasets following methods in Nagler et al. (2013). These VI choices were based on previous performance comparisons between biophysical ground-based data and radiometric satellite-based data collected from this riparian ecosystem (Nagler et al., 2001) as well as performance related to ET estimation (Nagler et al., 2005a, b) and current advancements in VIs such as EVI2.

Colorado River Delta↗