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Fluid-inclusion studies of the fluorspar and gold deposits, Jamestown district, Colorado

The Jamestown district, Boulder County, Colorado, is a major producer of fluorspar; prior to 1940, gold, gold-telluride, and lead-silver ores were mined. Fluorite occurs as a primary mineral in phases of the composite sodic granite stock at Jamestown and in breccia zones, stockworks, and pipe-shaped bodies in and adjacent to the stock. Gold and telluride mineralization occurs with and without fluorite in veins peripheral to the stock. A great variety of fluid-inclusion types is present in the district, reflecting chemically and physically diverse fluids. Fluid inclusions in early-stage quartz from the fluorspar deposits have filling temperatures of 250 degrees to 375 degrees C, salinities of 20 to 30%, and boiling is indicated at many locations. Most inclusions associated with the main fluorite stage have salinities of at least 26% to more than 50% and filling temperatures in the range of 250 degrees to 350 degrees C. Probable cognate fluorite on the inclusion walls and as many as ten daughter minerals precipitated from some primary inclusions in fluorite attest to the presence of salt and CaF 2 -rich polycomponent fluorspar-depositing fluids. Carbon dioxide-rich liquids and vapors were present during and after the main period of fluorspar deposition. Gold-bearing veins contain fluid inclusions indicating that two fundamentally different types of fluids were present. Inclusions in pregold quartz and fluorite have filling temperatures which range up to 375 degrees C, and most have very high salinities comparable to those from the fluorspar deposits, suggesting that early quartz and fluorite of the gold-bearing veins was roughly contemporaneous with the main period of fluorspar deposition. Fluid inclusion and other thermometric data (Kelly and Goddard, 1969) suggest that gold and telluride deposition occurred at temperatures below 300 degrees C. Fluid inclusions most directly associated with gold deposition have filling temperatures in the range 205 degrees to 270 degrees C and have about 4% salinity. These data suggest that the gold-bearing fluids either evolved from the fluorite-bearing fluids or were later unrelated hydrothermal pulses introduced on reopened structures. Boiling occurred at many locations that were at relatively high elevations or adjacent to the sodic granite stock. From the interpretation that boiling occurred and from the heterogeneity of CO 2 contents, we deduce that fluid pressures were low and variable, commonly near 150 bars, but ranging to as much as approximately 500 bars when CO 2 pressures were high; these determinations are compatible with the depth of cover estimated from geomorphic reconstruction using the Flattop peneplain. The absence of strong thermal or salinity zonation of fluids relative to the outcropping stock suggests that fluids were emanating from a larger intrusive body at depth.

Colorado↗

Hydrogeology and hydrology of the Punta Cabullones wetland area, Ponce, southern Puerto Rico, 2007-08

The U.S. Geological Survey, in cooperation with the Municipio Autónomo de Ponce and the Puerto Rico Department of Natural and Environmental Resources, conducted a study of the hydrogeology and hydrology of the Punta Cabullones area in Ponce, southern Puerto Rico. (Punta Cabullones is also referred to as Punta Cabullón.) The Punta Cabullones area is about 9 square miles and is an ecological system made up of a wetland, tidal flats, saltflats, mangrove forests, and a small fringing reef located a short distance offshore. The swales or depressions between successive beach ridges became development avenues for saline to hypersaline wetlands. The Punta Cabullones area was designated by the U.S. Fish and Wildlife Service as a coastal barrier in the 1980s because of its capacity to act as a buffer zone to ameliorate the impacts of natural phenomenon such as storm surges. Since 2003, Punta Cabullones has been set aside for preservation as part of the mitigation effort mandated by Federal and State laws to compensate for the potential environmental effects that might be caused by the construction of the Las Américas Transshipment Port. Total rainfall measured during 2008 within the Punta Cabullones area was 36 inches, which is slightly greater than the long-term annual average of 32 inches for the coastal plain near Ponce. Two evapotranspiration estimates, 29 and 37 inches, were obtained for the subarea of the Punta Cabullones area that is underlain by fan-delta and alluvial deposits by using two variants of the Penman semi-empirical equation. The long-term water stage and chemical character of the wetland in Punta Cabullones are highly dependent on the seasonal and annual variations of both rainfall and sea-wave activity. Also, unseasonal short-term above-normal rainfall and sea-wave events resulting from passing storms may induce substantial changes in the water stage and the chemical character of the wetland. In general, tidal fluctuations exert a minor role in modifying the water quality and stage of the wetland in Punta Cabullones. The role of the tidal fluctuations becomes important during those times when the outlets/inlets to the sea are not blocked by a sand bar and is allowed to freely flow into the wetland interior. The salinity of the wetland varies from brackish to hypersaline. The hypersaline conditions, including the occurrence of saltflats, within the Punta Cabullones wetland area result from a high evapotranspiration rate. The hypersaline conditions are further enhanced by a sand bar that blocks the inlet/outlet of the wetland’s easternmost channel, particularly during the dry season. Groundwater in Punta Cabullones mostly is present within beds of silisiclastic sand and gravel. During the study period, the depth to groundwater did not exceed 4 feet below land surface. The movement and direction of the groundwater flow in Punta Cabullones are driven by density variations that in turn result from the wide range of salinities in the groundwater. The salinity of the groundwater decreases within the first 60 to 100 feet of depth and decreases outward from a mound of hypersaline groundwater centered on piezometer nest PN2. The main groundwater types within the Punta Cabullones area vary from calcium-bicarbonate type in the northernmost part of the study area to a predominantly sodium-potassium-chloride groundwater type southward. According to stable-isotope data, groundwater within the study area is both modern meteoric water and seawater highly affected by evaporation. The chemical and stable-isotopic character of local groundwater is highly influenced by evapotranspiration because of its shallow depth. Equivalent freshwater heads indicate groundwater moves away from a mound centered on piezometer nest PN2, in a pattern similar to the spatial distribution of groundwater salinity. Vertical groundwater flow occurs in Punta Cabullones due to local differences in density. In the wetland subarea of Punta Cabullones, groundwater and surface water are hydraulically coupled. Locally, surface-hypersaline water sinks into the aquifer, providing recharge and serving as a mechanism to redistribute salt throughout the study area. The evapotranspiration in the wetland subarea is estimated at about 11 million gallons per day (Mgal/d) that is equivalent to about 12,586 acre-feet per year. The balance of evapotranspiration, in excess of the about 0.5 Mgal/d of groundwater flow within the wetland, is supplied by saline to hypersaline surface water that may include seawater and meteoric water highly affected by evaporation with dissolved salts. In one of the extreme scenarios in which no groundwater is intercepted by pumpage at the Restaurada well field, the amount of saline to hypersaline water in the wetland consumed by evapotranspiration is about 10.5 Mgal/d. In the opposite extreme in which the entire regional groundwater flow is intercepted by pumpage in the Restaurada well field, the entire evapotranpiration requirement is met by saline to hypersaline water. Hydrologic, isotopic, and chemical data indicate that all of, or a large portion of, the historical groundwater flow to Punta Cabullones is being captured by the Puerto Rico Aqueducts and Sewer Authority pumpage at the Restaurada well field at a rate of about 2 Mgal/d. As a consequence, seawater intrusion into the aquifer at the Punta Cabullones area seems to be occurring, while the current pumpage at the Restaurada well field is sustained by storage depletion of the aquifer.

Puerto Rico↗

Effect of land-applied biosolids on surface-water nutrient yields and groundwater quality in Orange County, North Carolina

Land application of municipal wastewater biosolids is the most common method of biosolids management used in North Carolina and the United States. Biosolids have characteristics that may be beneficial to soil and plants. Land application can take advantage of these beneficial qualities, whereas disposal in landfills or incineration poses no beneficial use of the waste. Some independent studies and laboratory analysis, however, have shown that land-applied biosolids can pose a threat to human health and surface-water and groundwater quality. The effect of municipal biosolids applied to agriculture fields is largely unknown in relation to the delivery of nutrients, bacteria, metals, and contaminants of emerging concern to surface-water and groundwater resources. Therefore, the North Carolina Department of Environment and Natural Resources (NCDENR) collaborated with the U.S. Geological Survey (USGS) through the 319 Nonpoint Source Program to better understand the transport of nutrients and bacteria from biosolids application fields to groundwater and surface water and to provide a scientific basis for evaluating the effectiveness of the current regulations. The USGS conducted a paired agricultural watershed study in the Collins Creek and Cane Creek Reservoir watersheds in Orange County, North Carolina. Field activities were conducted from March 2011 through May 2013 at two field study sites, including biosolids field application sites owned by Orange County Water and Sewer Authority (OWASA) in the Collins Creek watershed and a background study site in the Cane Creek watershed that has no fields receiving biosolids applications. Samples of biosolids source material and soil were collected from the land-application fields for laboratory analyses. Soil samples were also collected from a background agricultural field in the Cane Creek watershed that has never received land-applied municipal biosolids. Shallow groundwater samples were collected quarterly from new monitoring wells installed by NCDENR along the edge of the biosolids land-application fields and a background agricultural field for laboratory analyses. Two surface-water monitoring sites were established on Collins Creek to compute continuous streamflow and collect discrete baseflow and stormwater runoff water-quality data upstream and downstream from the biosolids land-application fields. Surface water-quality samples were also collected for baseflow and stormwater runoff conditions at an existing USGS streamgage on Cane Creek to monitor water-quality conditions in the background study watershed. The study primarily focused on nutrients and bacteria; however, data for field properties and water-quality constituents, including metals, major ions, and contaminants of emerging concern (household-, industrial-, and agricultural-use compounds, pharmaceutical compounds, hormones, and antibiotics) also were collected and used in the analyses. There were no exceedances of the 10 elements with designated U.S. Environmental Protection Agency (EPA) ceiling concentrations for land-applied biosolids in any of the biosolids samples. Treatment processes and storage techniques used by OWASA are effective in eliminating Escherichia coli and fecal coliform bacteria from biosolids. Copper, molybdenum, total Kjeldahl nitrogen, and total phosphorus were elevated in the soil from biosolids land-application fields relative to the background field. The relative richness of these constituents in the biosolids land-application fields is consistent with biosolids being the source of the elevated concentrations given the relatively high concentrations of these constituents in the biosolids samples that were collected. Shallow groundwater in the transitional zone wells, which were located adjacent to and topographically downgradient from all the biosolids land-application fields, were found to be statistically different and had higher nitrate concentrations (medians greater than 12 milligrams per liter) than all the other wells sampled as part of the study. Surface-water nutrient concentrations and yields, primarily nitrate, were higher at the monitoring site on Collins Creek downstream from the biosolids land-application fields than the other study sites that drained watersheds without biosolids land application. The largest differences in concentrations between sites were measured at baseflow conditions, which indicate that the main cause of these differences, particularly between Cane Creek and the Collins Creek site downstream from the OWASA application fields, is related to nitrate contribution from the shallow groundwater. Contaminants of emerging concern were detected in approximately 40 percent of the laboratory analyses of the biosolids samples and more frequently in soil samples from the biosolids land-application fields (approximately 40 percent of laboratory analyses) relative to the soil samples from the background field (approximately 12 percent of laboratory analyses). However, contaminants of emerging concern detected in the laboratory analysis for this study do not appear to be good indicators of human-waste contaminants derived from land-applied biosolids in groundwater or surface-water because the number of detections and concentrations at the background wells and surface-water monitoring sites are similar to or higher than those at wells and monitoring sites adjacent to or downstream from the biosolids land-application fields. The data, analysis, and conclusions associated with this study can be used by regulatory agencies, resource managers, and wastewater-treatment operators to (1) better understand the quantity and characteristics of nutrients, bacteria, metals, and contaminants of emerging concern that are transported away from biosolids land-application fields to surface water and groundwater under current regulations for the purposes of establishing effective total maximum daily loads (TMDLs) and restoring impaired water resources, (2) assess how well existing regulations protect waters of the State and potentially recommend effective changes to regulations or land-application procedures, and (3) establish a framework for developing guidance on effective techniques for monitoring and regulatory enforcement of permitted biosolids land-application fields.

North Carolina↗

Loess stratigraphy of the Lower Mississippi Valley

Loesses of the Lower Mississippi Valley (LMV) are world-famous. Sir Charles Lyell (1847), Hilgard (1860), Stafford (1869), Call (1891) and Mabry (1898), thought the LMV loess was a single water deposit although "double submergence" was noted by Call (1891) and Salisbury (1891). Shimek (1902) and Emerson (1918) recognized LMV loess as a wind deposit which came from the valley. Although wind-deposited loess gained wide acceptance, Russell (1944a) published his controversial theory of "loessification" which entailed weathering of backswamp deposits, downslope movement and recharge by carbonates to form loess. Wascher et al. (1947) identified three LMV loesses, mapped distributions and strongly supported eolian deposition. Leighton and Willman (1950), identified four loesses and supported eolian deposition as did Krinitzsky and Turnbull (1967) and Snowden and Priddy (1968), but Krinitzsky and Turnbull questioned the deepest loess. Daniels and Young (1968) and Touchet and Daniels (1970) studied the distribution of loesses in south-central Louisiana. West et al. (1980) and Rutledge et al. (1985) studied the source areas and wind directions which deposited the loesses on and adjoining Crowley's Ridge. B.J. Miller and co-workers (Miller et al., 1985, 1986, Miller and Alford, 1985) proposed that the Loveland Silt was Early Wisconsin rather than Illinoian age and advanced the name Sicily Island loess. They proposed the underlying loess was Illinoian and advanced the name Crowley's Ridge. We termed the loesses, from the surface downward, Peoria Loess, Roxana Silt, Loveland/Sicily Island loess, Crowley's Ridge Loess and Marianna loess. Researchers agree that the surfical Peoria Loess is Late Wisconsin and the Roxana Silt is Late to Middle Wisconsin, but little agreement exists on the age of the older loesses. Pye and Johnson (1988) proposed Early Wisconsin for the Loveland/Sicily Island. McKay and Follmer (1985) suggested this loess correlated with a loess under Illinoian till. Clark et al. (1989) agreed on Crowley's Ridge, but suggested the Loveland/Sicily Island loess on Sicily Island was older. Mirecki and Miller (1994) and Millard and Maat (1994) suggested an Illinoian age for the Loveland/Sicily Island loess. Miller and co-workers suggested, as did Pye and Johnson (1988), an Illinoian age for the Crowley's Ridge loess. McKay and Follmer (1985) suggested it correlated with a loess under "Kansan" till. Stratigraphy indicates the Marianna is the older of the five loesses. Researchers identified loess on both the east and west side of the LMV as well as on higher terraces within the valley. Many researchers assumed unaltered loesses were commonly yellowish brown, and silts or silt loams (West et al., 1980; Miller et al., 1986). The nonclay fraction of unweathered LMV loesses was dominated by quartz followed by carbonates, mainly dolomites, followed by feldspars, and micas. Clays were dominated by montmorillonite followed by micaceous minerals, kaolinite and vermiculite (Miller et al., 1986). Soils in the Crowley's Ridge loess are most developed, followed by the soils in the Loveland/Sicily Island which are more developed than the modern soils in the Peoria Loess. Soils in the Roxana and Marianna loesses are least developed and the Farmdale Soil of the Roxana is the weaker of the two (Miller et al., 1986). There is certainly overlapping range in the degree of soil development in the various loesses.

Engineering Geology↗

Assessment of possible sources of microbiological contamination and water-quality characteristics of the Jacks Fork, Ozark National Scenic Riverways, Missouri — Phase II

In 1998, an 8-mile reach of the Jacks Fork was included on Missouri's list of impaired waters as required by Section 303(d) of the Federal Clean Water Act. The identified pollutant on the Jacks Fork was fecal coliform bacteria. Potential sources of fecal contamination to the Jacks Fork include a wastewater treatment plant; campground pit-toilet or septic-system effluent; a large commercial, cross-country horseback trail riding facility; canoeists, boaters, and tubers; and cows. The U.S. Geological Survey, in cooperation with the National Park Service, conducted a study to better understand the extent and sources of microbiological contamination within the Jacks Fork from Alley Spring to the mouth, which includes the 8-mile 303(d) reach. Identification of the sources would provide the National Park Service and the State of Missouri with the information needed to craft a solution of abatement, regulation, prevention, and mitigation with the end result being the removal of the Jacks Fork from the 303(d) list. Fifteen sites were sampled from November 1999 through December 2000. An additional site was sampled one time. Samples were collected mostly during base-flow conditions during a variety of nonrecreational and recreational season river uses. Samples were analyzed for selected fecal indicator bacteria, physical properties, nutrients, and wastewater organic compounds. During the sampling period, the whole-body-contact recreation standard for fecal coliform (200 colonies per 100 milliliters of sample) was exceeded at three sites on August 10, 2000, and also at one site on May 11, June 7, and October 3, 2000. Fecal coliform densities and instantaneous loads generally increased from background concentrations at the Eminence site, peaked about 2 river miles downstream, and then decreased until the most downstream site sampled. Generally, the largest densities and loads at sites downstream from Eminence not related to wet-weather flow were observed during a trail ride held August 6 to 12, 2000. A 24-hour sample collection effort was conducted the weekend of July 15 and 16, 2000, to investigate the effect that large numbers of swimmers, canoeists, and tubers had on fecal coliform densities in the Jacks Fork. Five or six samples were collected at six sites between Saturday morning and the following Sunday afternoon. No fecal coliform density at any of the sites sampled exceeded the whole-body-contact recreation standard. Because bacteria survive longer in stream-bed sediments than in water, a source of bacteria in the water column could be from resuspension of accumulated bacteria from streambed sediments. Water and streambed-sediment samples were collected at three sites on August 3, 2000, 1 week before a trail ride and again at three sites on August 8, 2000, during a trail ride. Sixty-five Escherichia coli isolates obtained from water samples collected at 9 sites and 23 Escherichia coli isolates obtained from stream-bed-sediment samples collected at 5 sites were submitted for ribotyping analysis. Samples were collected in 2000 during a variety of nonrecreational and recreational season river uses, including trail rides, canoeing, tubing, and swimming. Of the 65 isolates from water samples, 40 percent were identified as originating from sewage, 29 percent from horse, 11 percent from cow, and 20 percent from an unknown source. Of the 23 isolates from streambed-sediment samples, 39 percent were identified as originating from sewage, 35 percent from horse, 13 percent from cow, and 13 percent from unknown sources. Analysis of physical property (dissolved oxygen, pH, specific conductance, and temperature) and nutrient (dissolved nitrite plus nitrate and total phosphorus) data indicated that overall few statistically significant differences occurred among the main stem sites of the Jacks Fork. A significant increase in total phosphorus concentrations did occur at site 75 immediately downstream from the Eminence Wastewater Treatment Plant, but the effect diminished quickly downstream. Unlike fecal coliform bacteria, most variations in physical property values or nutrient concentrations were related to seasonal changes, time of day the sample was collected, or hydrologic conditions and not to certain recreational activities. Trace quantities of wastewater organic compounds were detected in all waters sampled for these constituents. Two of the compounds were detected in associated laboratory blanks, and other detected compounds have sources other than sewage effluent. The best indicators of municipal or domestic sewage effluent were the non-ionic detergent metabolites (nonylphenol monoethoxylate, octylphenol monoethoxylate, and para-nonylphenol), phenol, and caffeine; but possible sources of these compounds, which were detected in one or more of the samples, could be the numerous campers, swimmers, and canoeists that were present when the samples were collected.

Missouri↗

Organic metamorphism in the Lower Mississippian-Upper Devonian Bakken shales. Part 1: Rock-Eval pyrolysis and vitrinite reflectance

Detailed organic geochemistry has been performed on a large number of Lower Mississippian-Upper Devonian Bakken shales from the North Dakota portion of the Williston Basin, and 28 oils mainly from Mississippian Madison Group rocks from different basinal areas. Here we report results of Rock-Eval pyrolysis and vitrinite reflectance ( R o ) analyses. Variable paleoheat flows in the Williston Basin caused the threshold of intense hydrocarbon generation to occur at different depths in different basinal areas. In higher paleogeothermal gradient basinal areas, this event occurred at depths of 7,650-8,000 ft, and at 10,000 ft or deeper in lower paleogeothermal gradient areas of the Basin. Distinct organic metamorphic imprints in Williston Basin sediments were also caused by extreme, but variable, paleoheat flows in the basin, as well as secondary migration of crude oils from deep basinal source areas. The high paleoheat flows are postulated as being due to a Late Cretaceous - Paleocene aborted rift event. Only a small volume of Bakken shales in restricted areas of the Williston Basin was responsible for the oil found reservoired in Mississippian Madison Group rocks. However, this small shale volume has been responsible for a relatively large amount of crude oil. R o profiles in the Tertiary through Middle Jurassic rocks in the Williston Basin had steep, linear R o versus depth gradients, with strong reversals of R o values occurring in the Lower Jurassic rocks. The lower Mesozoic through Paleozoic rocks of the Basin had strongly suppressed R o values compared to the values in the Tertiary through Middle Jurassic rocks. This was especially true of the R o values in the Bakken shales. This R o suppression was due to a change in organic matter (OM) type from oxygen-rich terrestrially derived OM in the younger rocks, to a hydrogen-rich marine derived OM in the deeper, older rocks. The threshold of intense oil generation (TIHG) occurred in the Bakken shales of the Williston Basin at R o values somewhere between 0.9 and 1.7% (best estimate 0.9), as would be read in oxygen-rich OM. Much higher burial temperatures (and consequently R o values) than usually held to be necessary were required for both the TIHG as well as mainstage hydrocarbon generation in the Bakken shales. These results are most likely applicable in general to source rocks with hydrogen-rich OM. The data of this study have major implications to petroleum exploration as well as to petroleum resource assessment.

Journal of Petroleum Geology↗

Structural framework, stratigraphy, and petroleum geology of the area of oil and gas lease Sale No. 49 on the U.S. Atlantic continental shelf and slope

On September 23, 1977, the U.S. Department of the Interior announced the tentative selection of 136 tracts for Sale No. 49 of oil and gas leases in the Baltimore Canyon Trough on the U.S. Atlantic Continental Shelf and Slope. This report summarizes the geology and petroleum potential of the area. The Baltimore Canyon Trough is an elongate, seaward-opening sedimentary basin filled by as much as 14 km of Mesozoic and Cenozoic sedimentary rocks. The basin first formed under the New Jersey shelf and gradually spread west and south as the area subsided after the rifting that formed the Atlantic basin. Rocks of the Triassic and Jurassic Systems together are more than 8 km thick in a depocenter areally restricted to the northern part of the trough. Basal Jurassic rocks are apparently nonmarine sedimentary rocks bedded with evaporite deposits. Direct evidence that some salt is in the basal Jurassic section comes from the Houston Oil and Minerals 676-1 well, which penetrated salt at a depth of about 3.8 km. During the Middle and Late Jurassic, more open marine conditions prevailed than in the Early Jurassic, and carbonate banks and reefs formed discontinuously along the seaward side of the shelf. Sand flats likely occupied the central part of the shelf, and these probably graded shoreward into nonmarine red beds that accumulated in a bordering coastal plain. Thick nonmarine sands and silty shales of Late Jurassic age were deposited in what is now the nearshore and midshelf area. These sedimentary rocks probably grade into thick marine carbonate rocks near the present shelf edge. During the Cretaceous, less sediment accumulated (about 4 km) than during the Jurassic, and most was deposited during Early Cretaceous time. The Cretaceous units show two main trends through time-a diminishing rate of sediment accumulation and an increase in marine character of sediments. During the Middle and Late Cretaceous, calcareous sand and mud filled the basin, buried the shelf-edge reefs and later spilled across the reefs into the oceanic basin as worldwide sea level reached a maximum. Cenozoic deposits are spread over the present shelf and adjacent Coastal Plain in overlapping sheets of marine and nonmarine sediment. The maximum thickness (1.5 km) is along the outer part of the present shelf. Major tectonic deformation in the Baltimore Canyon Trough area appears to have terminated near the end of the Early Cretaceous, when at least one large mafic intrusion (Great Stone dome) was emplaced. Upper Cretaceous sedimentary rocks are arched above older uplifted fault blocks near the shelf edge; this arching may be the result of draping due to differential compaction or, perhaps, minor movement of the fault blocks during Late Cretaceous time. The dominance of terrestrial over marine-derived organic matter in sediment samples from the COST No. B-2 well indicates that economic amounts of liquid petroleum hydrocarbons were probably not generated in the area but suggests a high potential for generation of wet or dry gas. Supporting evidence for the presence of natural-gas deposits on the slope comes from AMCOR 6021, the upper 305 m of which penetrated sediments that contained methane, ethane, and propane. Texaco, Inc., has announced that its 598-1 well yielded nearly 479,000 m s of natural gas per day from two zones during early testing. Further indication of possible gas deposits comes from analyzing the amplitude (bright spots) of seismic data. Geochemical studies of the COST No. B-2 well have shown that the shelf area of the Baltimore Canyon Trough has a relatively low geothermal gradient today and that it apparently has had a gradient as low or even lower throughout the Cretaceous to Holocene. A controversy exists concerning the maturity of the basal sediments penetrated by the COST No. B-2 well. Although significant amounts of gaseous hydrocarbons may have been generated, large amounts of liquid petroleum hydrocarbons probably hav

Circular↗

Factors affecting reservoir and stream-water quality in the Cambridge, Massachusetts, drinking-water source area and implications for source-water protection

This report presents the results of a study conducted by the U.S. Geological Survey, in cooperation with the city of Cambridge, Massachusetts, Water Department, to assess reservoir and tributary-stream quality in the Cambridge drinking-water source area, and to use the information gained to help guide the design of a comprehensive water-quality monitoring program for the source area. Assessments of the quality and trophic state of the three primary storage reservoirs, Hobbs Brook Reservoir, Stony Brook Reservoir, and Fresh Pond, were conducted (September 1997-November 1998) to provide baseline information on the state of these resources and to determine the vulnerability of the reservoirs to increased loads of nutrients and other contaminants. The effects of land use, land cover, and other drainage-basin characteristics on sources, transport, and fate of fecal-indicator bacteria, highway deicing chemicals, nutrients, selected metals, and naturally occurring organic compounds in 11 subbasins that contribute water to the reservoirs also was investigated, and the data used to select sampling stations for incorporation into a water-quality monitoring network for the source area. All three reservoirs exhibited thermal and chemical stratification, despite artificial mixing by air hoses in Stony Brook Reservoir and Fresh Pond. The stratification produced anoxic or hypoxic conditions in the deepest parts of the reservoirs and these conditions resulted in the release of ammonia nitrogen orthophosphate phosphorus, and dissolved iron and manganese from the reservoir bed sediments. Concentrations of sodium and chloride in the reservoirs usually were higher than the amounts recommended by the U.S. Environmental Protection agency for drinking-water sources (20 milligrams per liter for sodium and 250 milligrams per liter for chloride). Maximum measured sodium concentrations were highest in Hobbs Brook Reservoir (113 milligrams per liter), intermediate in Stony Brook Reservoir (62 milligrams per liter), and lowest in Fresh Pond (54 milligrams per liter). Bed sediments in Hobbs Brook and Stony Brook Reservoirs were enriched in iron, manganese, and arsenic relative to those in the impounded lower Charles River in Boston, Massachusetts. Trophic state indices, calculated for each reservoir based on nutrient concentrations, water-column transparency, and phytoplankton abundances, indicated that the upper and middle basins of Hobbs Brook Reservoir were moderately to highly productive and likely to produce algal blooms; the lower basin of Hobbs Brook Reservoir and Stony Brook Reservoir were similar and intermediate in productivity, and Fresh Pond was relatively unproductive and unlikely to produce algal blooms. This pattern is likely due to sedimentation of organic and inorganic particles in the three basins of Hobbs Brook Reservoir and in Stony Brook Reservoir. Molar ratios of nitrogen to phosphorus ranged from 55 in Stony Brook Reservoir to 120 in Hobbs Brook Reservoir, indicating that phytoplankton algae in these water bodies may be phosphorus limited and therefore sensitive to small increases in phosphorus loading from the drainage basin. Nitrogen loads were found to be less important than phosphorus to the trophic condition of the reservoirs. Hobbs Brook and Stony Brook, the two principle streams draining the Cambridge drinking-water source area, differed in their relative contributions to many of the estimated constituent loads. The estimated load of fecal coliform bacteria was more than seven times larger for the mainly residential Stony Brook subbasin upstream from Kendal Green, Mass., than it was for the more commercial and industrial Hobbs Brook subbasin, though the drainage areas of the two subbasins differ only by about 20 percent. The State standard for fecal coliform bacteria in streams in the Cambridge drinking-water source area (20 colony forming units per 100 milliliters) was exceeded at all sampling stations. Estimated s

Massachusetts↗

Ground water in the Eugene-Springfield area, southern Willamette Valley, Oregon

The cities of Eugene and Springfield and their outlying suburban and rural districts constitute an area of rapid population growth where progressively greater volumes of ground water are being required for irrigation and industrial and public supplies. The area is also one of diverse geologic and hydrologic conditions. As used in this report, the Eugene-Springfield area covers about 450 square miles and includes a part of the lower foothills of the Coast and Cascade Ranges and a strip of the main valley plain of the southern Willamette Valley. Volcanic and sedimentary rock units exposed in the foothills range in age from Eocene to Miocene. In the main valley plain the older units are overlain by Pleistocene and Holocene alluvial deposits. Marine-deposited sandstone, siltstone, shale, and mudstone of the older sedimentary units are fine grained and poorly permeable and yield water slowly to wells. The volcanic rocks, primarily of dacitic and andesitic composition, yield small quantities of water that are generally adequate only for domestic use. The alluvial deposits (sand and gravel) of the valley plain (central lowland) contain the most productive aquifers in the area and are considered to be the only ground-water reservoir for which large-scale development of ground-water supplies is feasible. Aquifers in the area are recharged principally by direct infiltration of precipitation. Most of the precipitation, which averages about 4C inches per year, occurs during late autumn and winter. Minimum recharge by infiltration of precipitation to the alluvial aquifers beneath the valley plain is estimated to be about 100,000 acre-feet. Ground water is discharged naturally from the central lowland by seepage and spring flow to small streams, by subsurface outflow to adjacent areas, and by evapotranspiration. Storage capacity of the central lowland in the Eugene-Springfield area is estimated to be about 2.1 million acre-feet in the zone 10-150 feet below land surface. The quantity of ground water available annually from this area is far greater than the 23,000 acre-feet pumped for all uses in 1968. This pumpage was about 23 percent of the perennial yield (100,000 acre-ft), and about 77,000 acre-feet of water was left available for additional withdrawal. If annual withdrawals of water were increased to 100,000 acre-feet per year, the levels in the ground-water reservoir would be lowered. Once new equilibriums are established, increased withdrawals could be accommodated without progressive losses in aquifer storage or excessive losses in flow of the larger streams. Ground water from the alluvial deposits of the valley plain is chemically suitable for irrigation and other uses, as is most of the water obtained from perched-water bodies in the sedimentary and volcanic rocks. However, the mineral content of water from the older sedimentary rocks, particularly from deeper producing zones, is greater than the mineral content of water from the alluvial deposits. Locally, some of the water from the older rocks is too saline for most uses. Increased use of ground water may result in certain problems pertaining to waste-disposal practices, local overdraft of aquifers, well interference, and well construction. Present data are adequate to evaluate some of the factors relating to foreseeable problems but allow only tentative conclusions to be drawn about other factors, which include local direction of flow, rate of ground-water movement, and areas of possible ground-water contamination. Additional information obtained through systematic study will be needed to deal with these problems.

Oregon↗

Mercury at the Oat Hill Extension Mine and James Creek, Napa County, California: Tailings, sediment, water, and biota, 2003-2004

The Oat Hill Extension (OHE) Mine is one of several mercury mines located in the James Creek/Pope Creek watershed that produced mercury from the 1870's until 1944 (U.S. Bureau of Mines, 1965). The OHE Mine developed veins and mineralized fault zones hosted in sandstone that extended eastward from the Oat Hill Mine. Waste material from the Oat Hill Mine was reprocessed at the OHE Mine using gravity separation methods to obtain cinnabar concentrates that were processed in a retort. The U.S. Bureau of Land Management requested that the U.S. Geological Survey measure and characterize mercury and other chemical constituents that are potentially relevant to ecological impairment of biota in tailings, sediment, and water at the OHE Mine and in the tributaries of James Creek that drain the mine area (termed Drainage A and B ) (Figs. 1 and 2). This report summarizes such data obtained from sampling of tailings and sediments at the OHE on October 17, 2003; water, sediment, and biota from James Creek on May 20, 2004; and biota on October 29, 2004. These data are interpreted to provide a preliminary assessment of the potential ecological impact of the mine on the James Creek watershed. The mine tailings are unusual in that they have not been roasted and contain relatively high concentrations of mercury (400 to 1200 ppm) compared to unroasted waste rock at other mines. These tailings have contaminated a tributary to James Creek with mercury primarily by erosion, on the basis of higher concentration of mercury (780 ng/L) measured in unfiltered (total mercury, Hg T ) spring water flowing from the OHE to James Creek compared to 5 to 14 ng/L Hg T measured in James Creek itself. Tailing piles (presumably from past Oat Hill mine dumping) near the USBLM property boundary and upstream of the main OHE mine drainage channel ( Drainage A ; Fig. 2) also likely emit mercury, on the basis of their mercury composition (930 to 1200 ppm). The OHE spring water is likely an appreciable source of sulfate and carbonate to James Creek, because the spring water was enriched in sulfate (130 mg/L) and carbonate (430 mg/L as CaCO 3 ) compared to James Creek water (70 to 100 mg/L SO 4 2- and 110 to 170 mg/L as CaCO 3 ) at the time of sampling. Concentrations of mercury in active channel sediment from James Creek are variable and potentially high, on the basis of chemical analysis (2.5 to 17 _g/g-wet sediment) and easily visible cinnabar grains in panned concentrates. Average (geometric mean) organic mercury (presumably monomethyl mercury (MMHg); §2.3.3) concentrations in several invertebrate taxa collected from the James Creek watershed locations were higher than invertebrates taken from a Northern California location lacking a known point source of mercury. The mean proportion of MMHg to total mercury in James Creek predatory insect samples was 40 percent (1 standard deviation = 30 percent); only 40 percent of all insect samples had a MMHg/Hg T proportion greater than 0.5. The low proportions of MMHg measured in invertebrates in James Creek and the presence of cinnabar in the creek suggest that some invertebrates may have anomolously high Hg concentrations as a result of the injestion or adhesion of extremely fine-grained cinnabar particles. Interpretation of Hg T in frogs and fish as an indicator of mercury reactivity, biouptake, or trophic transfer is limited, pending MMHg measuremens, by the possibility of these whole-body samples having contained cinnabar particles at the time of analysis. To minimize this limitation, the gastrointestinal tracts and external surfaces of all amphibians, where cinnabar most likely resides, were carefully flushed to remove any visible particles. However, extremely fine-grained, invisible, adhesive cinnabar particles likely exist in the amphibians' habitats. Hg T in foothill yellow-legged frogs collected from the James Creek study area, ranging from 0.1 to 0.6 μg/g Hg, was on average twice that of an extensive database compiled from Hg T in frogs studied throughout Northern California. Average concentrations of Hg T in frogs from James Creek were similar upstream (0.18 μg/g) and downstream (0.15 μg/g) of the confluence with Tributary 1 and at the lower Corona Mine adit drainage (0.14 μg/g). Frogs may be susceptible to trophic transfer of MMHg from invertebrates, but further study is required to rule out cinnabar ‘contamination.’ Hg T concentrations in rainbow trout collected from James Creek upstream and downstream of Tributary 1 averaged 0.10 μg/g and 0.13 μg/g, respectively. Compared to invertebrates, trout Hg T was less variable, suggesting that trout were less contaminated with cinnabar. California roach had significantly higher Hg T on average than trout (0.16 vs. 0.12 μg/g), and can be considered moderately contaminated compared to the same species from other sites in Northern California, which average 0.12 μg/g Hg. While limited measurements of mercury in water, sediment, and fish exceed, in some samples, predefined ecologically protective criteria for mine-impacted California systems, they do not clearly demonstrate that the biota residing in James Creek in the vicinity of the OHE are ecologically impaired. The potential for ecological impairment is clearly evident from invertebrate methyl mercury results and may manifest in other biological ecosystem residents that have yet to be studied (e.g., piscivorous birds). Methyl mercury concentrations in flowing water and sediment from James Creek and the tributary that drains the OHE are relatively low, ranging from 0.04 to 0.08 ng/L, although these data should be cautiously interpreted (see §3.2). While the results of this investigation suggest that the OHE contributes inorganic mercury to James Creek, they do not indicate the extent to which the OHE site is ecologically impairing biota relative to other sources of mercury. Improved sampling and analytical methods are recommended for future study.

California↗

Quality of stormwater runoff discharged from Massachusetts highways, 2005-07

The U.S. Geological Survey (USGS), in cooperation with U.S. Department of Transportation Federal Highway Administration and the Massachusetts Department of Transportation, conducted a field study from September 2005 through September 2007 to characterize the quality of highway runoff for a wide range of constituents. The highways studied had annual average daily traffic (AADT) volumes from about 3,000 to more than 190,000 vehicles per day. Highway-monitoring stations were installed at 12 locations in Massachusetts on 8 highways. The 12 monitoring stations were subdivided into 4 primary, 4 secondary, and 4 test stations. Each site contained a 100-percent impervious drainage area that included two or more catch basins sharing a common outflow pipe. Paired primary and secondary stations were located within a few miles of each other on a limited-access section of the same highway. Most of the data were collected at the primary and secondary stations, which were located on four principal highways (Route 119, Route 2, Interstate 495, and Interstate 95). The secondary stations were operated simultaneously with the primary stations for at least a year. Data from the four test stations (Route 8, Interstate 195, Interstate 190, and Interstate 93) were used to determine the transferability of the data collected from the principal highways to other highways characterized by different construction techniques, land use, and geography. Automatic-monitoring techniques were used to collect composite samples of highway runoff and make continuous measurements of several physical characteristics. Flowweighted samples of highway runoff were collected automatically during approximately 140 rain and mixed rain, sleet, and snowstorms. These samples were analyzed for physical characteristics and concentrations of 6 dissolved major ions, total nutrients, 8 total-recoverable metals, suspended sediment, and 85 semivolatile organic compounds (SVOCs), which include priority polyaromatic hydrocarbons (PAHs), phthalate esters, and other anthropogenic or naturally occurring organic compounds. The distribution of particle size of suspended sediment also was determined for composite samples of highway runoff. Samples of highway runoff were collected year round and under various dry antecedent conditions throughout the 2-year sampling period. In addition to samples of highway runoff, supplemental samples also were collected of sediment in highway runoff, background soils, berm materials, maintenance sands, deicing compounds, and vegetation matter. These additional samples were collected near or on the highways to support data analysis. There were few statistically significant differences between populations of constituent concentrations in samples from the primary and secondary stations on the same principal highways (Mann-Whitney test, 95-percent confidence level). Similarly, there were few statistically significant differences between populations of constituent concentrations for the four principal highways (data from the paired primary and secondary stations for each principal highway) and populations for test stations with similar AADT volumes. Exceptions to this include several total-recoverable metals for stations on Route 2 and Interstate 195 (highways with moderate AADT volumes), and for stations on Interstate 95 and Interstate 93 (highways with high AADT volumes). Supplemental data collected during this study indicate that many of these differences may be explained by the quantity, as well as the quality, of the sediment in samples of highway runoff. Nonparametric statistical methods also were used to test for differences between populations of sample constituent concentrations among the four principal highways that differed mainly in traffic volume. These results indicate that there were few statistically significant differences (Mann-Whitney test, 95-percent confidence level) for populations of concentrations of most total-recoverable metals

Scientific Investigations Report↗

Rapid extension in an Eocene volcanic arc: Structure and paleogeography of an intra-arc half graben in central Idaho

A study of extension, volcanism, and sedimentation in the middle Eocene Panther Creek half graben in central Idaho shows that it formed rapidly during an episode of voluminous volcanism. The east-southeast-tilted Panther Creek half graben developed across the northeast edge of the largest cauldron complex of the Challis volcanic field and along the northeast-trending Trans-Challis fault zone. Two normal fault systems bound the east side of the half graben. One fault system strikes northeast, parallel to the Trans-Challis fault zone, and the other strikes north to northwest. The geometry of the basin-fill deposits shows that movement on these two normal fault systems was synchronous and that both faults controlled the development of the Panther Creek half graben. Strikes of the synextension volcanic and sedimentary rocks are similar throughout the half graben, whereas dips decrease incrementally upsection from as much as 60?? to less than 10??. Previous K-Ar dates and a new 40Ar/39Ar plateau date from the youngest widespread tuff in the basin suggest that most of basin formation spanned 3 m.y. between about 47.7 Ma and 44.5 Ma. As much as 6.5 km of volcanic and sedimentary rocks were deposited during that time. Although rates of extension and subsidence were very high, intense volcanic activity continually filled the basin with ash-flow tuffs, outpacing subsidence and sedimentation, until the end of basin development. After the abrupt end of Challis volcanism, locally derived pebble to boulder conglomerate and massive, reworked ash accumulated in the half graben. These sedimentary rocks make up a small part of the basin fill in the Panther Creek half graben and were derived mainly from Proterozoic metasedimentary rocks uplifted in the footwall of the basin. The east-southeast tilt of the sedimentary rocks, their provenance and coarse grain size, and the presence of a gravity slide block derived from tilted volcanic rocks in the hanging wall attest to continued tectonism during conglomerate deposition. Provenance data from the sedimentary rocks imply that the highland in the footwall of the Panther Creek half graben was never thickly blanketed by synex-tension volcanic rocks, despite intense volcanic activity. Analysis of the Panther Creek half graben and other intra-arc rift basins supports previous interpretations that relative rates of volcanism and subsidence control the proportion of volcanic rocks deposited in intra-arc rifts.

Idaho↗

Compounds of emerging concern detected in water samples from potable water and wastewater treatment plants and detected in water and bed-sediment samples from sites on the Trinity River, Dallas, Texas, 2009–13

The population in the Dallas-Fort Worth metropolitan area in northern Texas is rapidly growing, resulting in a rapid increase in the demand for potable water and an increase in the discharge of wastewater treatment plant effluent. An assessment of compounds of emerging concern (CECs) in samples collected at potable water and wastewater treatment plants in Dallas and downstream from Dallas in the Trinity River was completed by the U.S. Geological Survey in cooperation with the City of Dallas, Dallas Water Utilities. CECs are synthetic or naturally occurring chemicals that are not commonly monitored in the environment but can enter the environment and cause known or suspected adverse ecological or human health effects. CECs can enter the environment through nonpoint sources (for example, runoff) and point sources (for example, concentrated animal feeding operations and treated-effluent discharge from wastewater treatment plants), which can increase concentrations of CECs especially in highly populated areas. CECs include pharmaceuticals (prescription and nonprescription), steroidal hormones, stanols, sterols, detergents and detergent metabolites (hereinafter referred to as “detergents”), personal-use products, pesticides, polycyclic aromatic hydrocarbons (PAHs), flame retardants, plasticizers, and other organic compounds used in everyday domestic, agricultural, and industrial applications. The release of CECs to the environment went largely unrecognized until relatively recently. Increased loading of certain CECs to the environment, combined with advancements in laboratory analysis methods that resulted in appreciably lower detection levels, brought greater attention to the release of CECs. In addition, synthesis of new chemicals or changes in use and disposal of existing chemicals can create new sources of CECs. Some CECs are endocrine disrupting compounds (EDCs), which can elicit adverse effects on development, behavior, and reproduction of wildlife and can cause dysfunction of human and wildlife endocrine (hormone) systems. Results of studies in the United States and Europe indicate that CECs, their metabolites, and industrial, agricultural, and household wastewater products are present in the aquatic environment, water treatment plants, and septic systems. CECs, especially pharmaceuticals, are of interest because of their persistence, widespread use, and potential to cause adverse effects in humans and nontargeted organisms. There is also concern that some CECs and EDCs resist degradation of water treatment processes at potable water treatment plants (PWTPs) and wastewater treatment plants (WWTPs) and that treated-effluent discharge could contain compounds that negatively affect biota living in receiving waters. Therefore, CECs and EDCs are more likely to be detected in environmental samples collected near areas of high population density where treated effluent from WWTPs can contribute substantially to receiving waters. The U.S. Geological Survey, in cooperation with the City of Dallas, Dallas Water Utilities, evaluated the occurrence and concentrations of selected CECs in samples collected at PWTPs and WWTPs in Dallas and downstream from the Dallas-Fort Worth metropolitan area in the Trinity River, Texas, from August 2009 to December 2013. Water samples were collected at three PWTP sites, two WWTP sites, and five study sites on the Trinity River; all sites where samples were collected were in or downstream from Dallas. These water samples were analyzed for 120 CECs, including human-health pharmaceuticals (prescription and nonprescription), antibiotics, steroidal hormones, stanols, sterols, detergents, personal-use products (flavors and fragrances), pesticides and repellents, industrial wastewater compounds, disinfection compounds, PAHs, flame retardants, and plasticizers. Additionally, bed-sediment samples were collected at each of the five Trinity River sites. The bed-sediment samples were analyzed for 57 CECs. In general, the water treatment processes at PWTPs and WWTPs were effective at reducing detections and concentrations of CECs to undetectable levels or transforming the compounds into degradates that were not analyzed. There were 14 and 73 CECs detected in raw water and in untreated-influent water at PWTPs and WWTPs, respectively. Of these, 11 of the 14 CECs detected in raw-water samples and 44 of the 73 CECs detected in untreated-influent samples were not detected in finished water or in treated-effluent water samples, respectively, indicating that these compounds were removed or degraded to compounds that were not analyzed. Some CECs, however, are resistant to degradation and were detected in untreated and treated water at PWTPs and at WWTPs. The three CECs detected at PWTPs in raw-water and finished-water samples were tris(dichloroisopropyl)phosphate, benzophenone, and methyl salicylate. At WWTPs, 29 CECs were detected, including carbamazepine, sulfamethoxazole, 4-androstene-3,17- dione , 3-beta-coprostanol, acetyl-hexamethyl-tetrahydronaphthalene (AHTN), hexahydro-hexamethyl-cyclopenta-benzopyran (HHCB), 1,4-dichlorobenzene, tribromomethane, benzophenone, and tris(dichloroisopropyl)phosphate, in untreated and treated water, indicating that treatment processes likely did not remove or degrade these compounds. Of the 23 CECs detected in stream-water samples collected at 5 sites on the Trinity River in or near Dallas, 10 CECs (carbamazepine, sulfamethoxazole, caffeine, 3-beta-coprostanol, cholesterol, HHCB, benzophenone, triethyl citrate, tributyl phosphate, and tris(dichloroisopropyl)phosphate) were detected at all 5 sites. The 10 CECs detected in water samples collected at all 5 sites on the Trinity River were also detected in treated-effluent water at WWTPs. Eleven of the 57 targeted CECs were detected in bed-sediment samples collected at study sites on the Trinity River. Of these 11 CECs, only 2 (beta-sitosterol and cholesterol) were detected in bed-sediment samples at all 5 sites on the Trinity River. Nine of these 11 CECs were not detected in any water-column sample, likely because of the strong hydrophobic characteristics of these compounds. Results from water treatment plants indicate that the water treatment process is less effective for removing or degrading compounds that are engineered to be resistant to degradation. These results also indicate the presence of CECs and EDCs at locations upstream from PWTPs in Dallas. Results from Trinity River main-stem sites indicate that some compounds are naturally attenuated during transport, but a few are persistent throughout the study reach. Many CECs and EDCs are hydrophobic and were only detected in bed sediment, indicating multiple pathways through which CECs can persist in the environment. In general, concentrations of CECs in the Dallas-Fort Worth metropolitan area were similar to those found in metropolitan areas nationwide.

Texas↗

Analysis of water use associated with hydraulic fracturing and determination of baseline water quality in watersheds within the shale play of eastern Ohio, 2021–23

The U.S. Geological Survey, in cooperation with the Ohio Department of Natural Resources, performed a two-part study to (1) assess water use and temporal trends and changes in streamflow, and to (2) characterize 2021–23 baseline water quality, as they relate to oil and gas extraction activities in selected eastern Ohio watersheds. Between calendar years 2010 and 2019, hydraulic fracturing water withdrawals totaling about 27,168 million gallons were reported at 643 locations in Ohio. In 2021, wells developed with hydraulic fracturing were the source of most of the oil and gas produced in Ohio. Daily streamflow time-series data from seven study gages and two reference gages were used to assess temporal trends and changes in streamflow. The study gages were in basins with reported water withdrawals for hydraulic fracturing. The reference gages, which have long periods of record and were subject to minimal streamflow regulation, were in nearby basins with no hydraulic fracturing water withdrawals. Trend slopes for the period of record annual minimum and median daily streamflows and for annual daily streamflow nonexceedance probabilities less than 0.9 were all uniformly positive at the study and reference gages. This trend indicates a consistently increasing pattern over the periods of record, except for high flows. In addition, analyses of annual streamflow statistics showed no general indication that low flows or extreme low flows at the reference or study gages have lowered, become more frequent, or lengthened in duration since 2010, when records for hydraulic fracturing water withdrawals began in Ohio. In fact, in almost all cases, the opposite was indicated. Nonexceedance percentiles of daily streamflows were compared between the full and pre-2012 periods of record for reference and study gages. The streamflows associated with nonexceedance percentiles in the lower quartile of daily streamflows determined for the full period of record were larger than or equal to those determined for the pre-2012 period of record for all study and reference gages. This indicates that low flows did not decrease during the post-2011 period of record when water was withdrawn for hydraulic fracturing. Water-quality data were collected eight times at each of eight sampling sites (six of which were colocated with the study gages). Sampling was done during a variety of flow conditions to assess baseline water quality. In 2021, the 8 sampling sites had drainage basins that were wholly or partially within 7 of the 10 most active counties in Ohio for oil and gas development. As part of the record of baseline conditions, water-quality data were used to assess (1) water types based on major-ion chemistry; (2) sources of salinity to streams; (3) exceedances of aquatic life use criteria; and (4) the correlations between water chemistry and drainage-basin characteristics, such as density of oil and gas wells, density of wastewater treatment plants, or the percentage of different types of land cover (agriculture, developed, forest). Seven of the water-quality sampling sites were designated as coal-mine impacted based on criteria developed for assessing mine-drainage impacts in Ohio. Mine drainage from historical coal mining in the region likely affected the quality of these streams and complicated the use of some constituents typically used as indicators of oil and gas influence. Based on major-ion chemistry, three main types of water were in the study area―sulfate (three sites), calcium-bicarbonate (one site), and mixed bicarbonate-chloride (four sites) type waters. One site had samples with a higher proportion of sodium and chloride ions than other stream samples, indicating potential contamination with oil-field brine or road salt. Binary mixing curves revealed that 11 samples from 4 of the sampling sites likely contained a component of brine. The results of the baseline assessment of surface-water quality in the study area showed no exceedances of Ohio Environmental Protection Agency aquatic life use criteria. Spearman’s rank correlation coefficients indicated no significant positive correlations with the density of vertical or horizontal oil and gas wells.

Ohio↗

Seismic instrumentation plan for the Hawaiian Volcano Observatory

The seismic network operated by the U.S. Geological Survey’s Hawaiian Volcano Observatory (HVO) is the main source of authoritative data for reporting earthquakes in the State of Hawaii, including those that occur on the State’s six active volcanoes (Kīlauea, Mauna Loa, Hualālai, Mauna Kea, Haleakalā, Lō‘ihi). Of these volcanoes, Kīlauea and Mauna Loa are considered “very high threat” in a report on the rationale for a National Volcanic Early Warning System (NVEWS) (Ewert and others, 2005). This seismic instrumentation plan assesses the current state of HVO’s seismic network with respect to the State’s active volcanoes and calculates the number of stations that are needed to upgrade the current network to provide a seismic early warning capability for forecasting volcanic activity. Further, the report provides proposed priorities for upgrading the seismic network and a cost assessment for both the installation costs and maintenance costs of the improved network that are required to fully realize the potential of the early warning system. HVO has operated seismometers on the Island of Hawai‘i since 1912. Currently, the seismic network includes more than 70 stations from four different organizations. Generally, the Island of Hawai‘i has most of the seismic stations in the network (and most of the activity), with the density of seismic stations increasing from the northern part of the island to the south-southeast. The strength of the current network, based on theoretical detection and location capabilities, is at the summit of Kīlauea Volcano and Kīlauea’s upper East Rift Zone and Pu‘u ‘Ō‘ō—where few, if any, upgrades need to be made to the seismic network. The network in the region between Kīlauea and Mauna Loa is slightly weaker, as is the summit of Mauna Loa. In general, the rift zones of each volcano are more poorly monitored seismically than the summits and thus require a greater number of stations to achieve a volcanic early warning capability for monitoring seismicity. Priorities for new seismic installations on the volcanoes depend on several factors, including current activity, historical activity, population exposure, and current network quality. On Kīlauea, new installations on the middle East Rift Zone, lower East Rift Zone, and lower Southwest Rift Zone appear to be the highest priorities. On Mauna Loa, improvements to the summit seismic network should be prioritized based on the analysis of the data, followed by the installation of a sparse network on both rift zones. Once installed, the next priority would be to create denser seismic networks on the rift zones, particularly where eruptions could quickly threaten populated areas (middle Northeast Rift Zone, lower Southwest Rift Zone). On Hualālai, analysis of the data indicates that the Northwest Rift Zone is the most important priority, particularly where it runs through the population center of Kalaoa. Hualālai’s South Rift Zone appears to be the lowest priority for additional seismic instrumentation of any rift zone on Kīlauea, Mauna Loa, or Hualālai because of its low historical activity and lack of population exposure. Mauna Kea and Haleakalā have less active historical eruptive activity and thus have more modest proposed upgrades to seismic instrumentation. The installation of new seismic stations is only the first part of building a volcanic early warning capability for seismicity in the State of Hawaii. Additional personnel will likely be required to study the volcanic processes at work under each volcano, analyze the current seismic activity at a level sufficient for early warning, build new tools for monitoring, maintain seismic computing resources, and maintain the new seismic stations.

Hawaii↗

Simulation of ground-water flow to assess geohydrologic factors and their effect on source-water areas for bedrock wells in Connecticut

Generic ground-water-flow simulation models show that geohydrologic factors?fracture types, fracture geometry, and surficial materials?affect the size, shape, and location of source-water areas for bedrock wells. In this study, conducted by the U.S. Geological Survey in cooperation with the Connecticut Department of Public Health, ground-water flow was simulated to bedrock wells in three settings?on hilltops and hillsides with no surficial aquifer, in a narrow valley with a surficial aquifer, and in a broad valley with a surficial aquifer?to show how different combinations of geohydrologic factors in different topographic settings affect the dimensions and locations of source-water areas in Connecticut. Three principal types of fractures are present in bedrock in Connecticut?(1) Layer-parallel fractures, which developed as partings along bedding in sedimentary rock and compositional layering or foliation in metamorphic rock (dips of these fractures can be gentle or steep); (2) unroofing joints, which developed as strain-release fractures parallel to the land surface as overlying rock was removed by erosion through geologic time; and (3) cross fractures and joints, which developed as a result of tectonically generated stresses that produced typically near-vertical or steeply dipping fractures. Fracture geometry is defined primarily by the presence or absence of layering in the rock unit, and, if layered, by the angle of dip in the layering. Where layered rocks dip steeply, layer-parallel fracturing generally is dominant; unroofing joints also are typically well developed. Where layered rocks dip gently, layer-parallel fracturing also is dominant, and connections among these fractures are provided only by the cross fractures. In gently dipping rocks, unroofing joints generally do not form as a separate fracture set; instead, strain release from unroofing has occurred along gently dipping layer-parallel fractures, enhancing their aperture. In nonlayered and variably layered rocks, layer-parallel fracturing is absent or poorly developed; fracturing is dominated by well-developed subhorizontal unroofing joints and steeply dipping, tectonically generated fractures and (or) cooling joints. Cross fractures (or cooling joints) in nonlayered and variably layered rocks have more random orientations than in layered rocks. Overall, nonlayered or variably layered rocks do not have a strongly developed fracture direction. Generic ground-water-flow simulation models showed that fracture geometry and other geohydrologic factors affect the dimensions and locations of source-water areas for bedrock wells. In general, source-water areas to wells reflect the direction of ground-water flow, which mimics the land-surface topography. Source-water areas to wells in a hilltop setting were not affected greatly by simulated fracture zones, except for an extensive vertical fracture zone. Source-water areas to wells in a hillside setting were not affected greatly by simulated fracture zones, except for the combination of a subhorizontal fracture zone and low bedrock vertical hydraulic conductivity, as might be the case where an extensive subhorizontal fracture zone is not connected or is poorly connected to the surface through vertical fractures. Source-water areas to wells in a narrow valley setting reflect complex ground-water-flow paths. The typical flow path originates in the uplands and passes through either till or bedrock into the surficial aquifer, although only a small area of the surficial aquifer actually contributes water to the well. Source-water areas in uplands can include substantial areas on both sides of a river. Source-water areas for wells in this setting are affected mainly by the rate of ground-water recharge and by the degree of anisotropy. Source-water areas to wells in a broad valley setting (bedrock with a low angle of dip) are affected greatly by fracture properties. The effect of a given fracture is to channel the

Scientific Investigations Report↗

Isotopic studies of the late Archean plutonic rocks of the Wind River Range, Wyoming

Isotopic studies of the Rb-Sr and U-Th-Pb systems in whole-rock samples and the U-Pb systematics for zircons document the existence of two late Arehean intrusive events in the Wind River Range. All of the systems examined indicate an age of ∼2,630 ± 20 m.y. for the Louis Lake batholith. Apparent ages for the Bears Ears pluton range from 2,504 ± 40 m.y. to 2,575 ± 50 m.y. The scatter in apparent ages for the Bears Ears pluton does not appear to be primarily the result of disturbance by postintrusive events, but it may be explained by an isotopically inhomogenous magma at the time of intrusion. Data for a few samples indicate that the Wind River Range was affected locally by a postmagmatic hydrothermal event that was approximately Tertiary in age. This event lowered δ 18 O values and disturbed parent-daughter relationships in most of the isotopic systems investigated, but it was recent enough that there is no demonstrable effect in the Pb-Pb system. The Bears Ears pluton has some chemical and petrologic features that are similar to those reported for the granites in the Granite Mountains to the east. These granites are spatially associated with low-temperature uranium deposits of Tertiary age and have been shown to have lost large amounts of uranium during the early to middle Tertiary. U-Pb systematics indicate, however, that the low to moderate uranium contents and highly variable Th/U values noted for the Bears Ears pluton are best interpreted as being primary features. If uranium was lost after magma generation, the loss most likely occurred at the time of intrusion. Such a loss could account for uraniferous Precambrian pegmatites southwest of the main part of the Range. The two intrusive units apparently were derived from different protoliths that were formed during early to middle Archean. Initial isotopic ratios and petrochemistry for the Louis Lake batholith are consistent with an early Archean trondhjemitic to tonalitic source. The protolith for the Bears Ears pluton must have been more evolved and somewhat younger. Inconsistencies as to the degree of evolution of this protolith, as inferred from isotopic and trace-element data, suggest that the protolith may have been subjected to high-grade meta-morphism that caused loss of Rb and U prior to generation of the magma.

Wyoming↗

Forecasting selenium discharges to the San Francisco Bay-Delta Estuary: Ecological effects of a proposed San Luis Drain extension

Selenium discharges to the San Francisco Bay-Delta Estuary (Bay-Delta) could change significantly if federal and state agencies (1) approve an extension of the San Luis Drain to convey agricultural drainage from the western San Joaquin Valley to the North Bay (Suisun Bay, Carquinez Strait, and San Pablo Bay); (2) allow changes in flow patterns of the lower San Joaquin River and Bay-Delta while using an existing portion of the San Luis Drain to convey agricultural drainage to a tributary of the San Joaquin River; or (3) revise selenium criteria for the protection of aquatic life or issue criteria for the protection of wildlife. Understanding the biotransfer of selenium is essential to evaluating effects of selenium on Bay-Delta ecosystems. Confusion about selenium threats to fish and wildlife stem from (1) monitoring programs that do not address specific protocols necessary for an element that bioaccumulates; and (2) failure to consider the full complexity of the processes that result in selenium toxicity. Past studies show that predators are more at risk from selenium contamination than their prey, making it difficult to use traditional methods to predict risk from environmental concentrations alone. This report presents an approach to conceptualize and model the fate and effects of selenium under various load scenarios from the San Joaquin Valley. For each potential load, progressive forecasts show resulting (1) water-column concentration; (2) speciation; (3) transformation to particulate form; (4) particulate concentration; (5) bioaccumulation by invertebrates; (6) trophic transfer to predators; and (7) effects on those predators. Enough is known to establish a first-order understanding of relevant conditions, biological response, and ecological risks should selenium be discharged directly into the North Bay through a conveyance such as a proposed extension of the San Luis Drain. The approach presented here, the Bay-Delta selenium model, determines the mass, fate, and effects of selenium released to the Bay-Delta through use of (1) historical land-use, drainage, alluvial-fill, and runoff databases; (2) existing knowledge concerning biogeochemical reactions and physiological parameters of selenium (e.g., speciation, partitioning between dissolved and particulate forms, and bivalve assimilation efficiency); and (3) site-specific data mainly from 1986 to 1996 for clams and bottom-feeding fish and birds. Selenium load scenarios consider effluents from North Bay oil refineries and discharges of agricultural drainage from the San Joaquin Valley to enable calculation of (a) a composite freshwater endmember selenium concentration at the head of the estuary; and (b) a selenium concentration at a selected seawater location (Carquinez Strait) as a foundation for modeling. Analysis of selenium effects also takes into account the mode of conveyance for agricultural drainage (i.e., the San Luis Drain or San Joaquin River); and flows of the Sacramento River and San Joaquin River on a seasonal or monthly basis. Load scenarios for San Joaquin Valley mirror predictions made since 1955 of a worsening salt (and by inference, selenium) build-up exacerbated by an arid climate and massive irrigation. The reservoir of selenium in the San Joaquin Valley is sufficient to provide loading at an annual rate of approximately 42,500 pounds of selenium to a Bay-Delta disposal point for 63 to 304 years at the lower range of projections presented here, even if influx of selenium from the California Coast Ranges could be curtailed. Disposal of wastewaters on an annual basis outside of the San Joaquin Valley may slow the degradation of valley resources, but drainage alone cannot alleviate the salt and selenium build-up in the San Joaquin Valley, at least within a century. Load scenarios also show the different proportions of selenium loading to the Bay-Delta. Oil refinery loads from 1986 to 1992 ranged from 8.5 to 20 pounds of selenium per day; with treatment and cleanup, loads decreased to 3.0 pounds of selenium per day in 1999. In contrast, San Joaquin Valley agricultural drainage loads disposed of in a San Luis Drain extension could range from 45 to 117 pounds of selenium per day across a set of historical and future conditions. Components of this valley-wide load include five source subareas (i.e., Grassland, Westlands, Tulare, Kern, and Northern) defined by water and drainage management. Loads vary per subarea mainly because of proximity of the subarea to geologic sources of selenium and irrigation history. Loads from the Sacramento River, depending on flow conditions, range from 0.8 to 10 pounds of selenium per day. Loads from the San Joaquin River vary depending on restoration and flow conditions, which are considered. A consistent picture of ecological risk emerges under modeled selenium discharges from a proposed San Luis Drain extension. The threat to the estuary is greatest during low flow seasons and critically dry years. Where selenium undergoes reactions typical of low flow or longer residence time, highly problematic bioaccumulation in prey (food) is forecast. Surf scoter, greater and lesser scaup, and white sturgeon appear to be most at risk because these Bay-Delta predators feed on deposit and filter-feeding bivalves. Recent findings add Sacramento splittail and Dungeness crab to that list. During the low flow season of critically dry years, forecasted selenium concentrations in water, particulate matter, prey (diet), and predator tissue exceed guidelines with a high certainty of producing adverse effects under the most likely load scenario from a proposed San Luis Drain extension. High flows afford some protection under certain conditions in modeled San Joaquin River scenarios. However, meeting a combined goal of releasing a specific load during maximum flows and keeping selenium concentrations in the river below a certain objective to protect against bioaccumulation may not always be attainable. Management of the San Joaquin River on a constant concentration basis also could create problematic bioaccumulation during a wet year, especially during the low flow season, because high flows translate to high loads that are not always offset by seasonal river inflows. Prior to refinery cleanup, selenium contamination was sufficient to threaten reproduction in key species within the Bay-Delta ecosystems and human health advisories were posted based on selenium concentrations in tissues of diving ducks. During this time, selenium concentrations in the Bay-Delta were well below the most stringent recommended water quality criterion [1 microgram per liter (1 µg/L)]. Enhanced biogeochemical transformations to bioavailable particulate selenium and efficient bioaccumulation by bivalves characterized the system. If these biogeochemical conditions continue to prevail and agricultural selenium sources replace or exceed refinery sources, ecological forecasts suggest the risk of adverse effects will be difficult to eliminate under an out-of-valley resolution to the selenium problem. The Bay-Delta selenium model presented here is a systematic approach for conducting forecasts of the ecological effects from selenium on aquatic food webs. It is a new tool that links and models the major processes leading from loads through consumer organisms to predators. It also is a feasible approach for site-specific analysis and could provide a framework for developing new protective selenium foodweb guidelines and predator criteria. Model components that help ensure understanding ecosystems and the basis of environmental protection are (1) contaminant concentrations and speciation in sources, such as particulate material, that most influence bioavailability; (2) bioaccumulation models that calculate concentrations in diet, specifically in bivalves of the Bay-Delta that act as sensitive indicators of selenium contamination; (3) food-web type that determines what animals are threatened and when; and (4) multiple media concentrations (water, particulate material, and tissue of prey and predators) that, in-combination, determine risk or hazard.

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