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Development of an assessment tool for agricultural best management practice Implementation in the Great Lakes Restoration Initiative priority watersheds—Alger Creek, tributary to Saginaw River, Michigan

The Great Lakes face a number of serious challenges that cause damage to water quality, habitat, ecology, and coastal health. Excess nutrients from point and nonpoint sources have a history of causing harmful algal blooms (HABs); since the late 1990s, a resurgence of HABs have forced beach closures and resulted in water quality impairments across the Great Lakes. Studies increasingly point to phosphorus (P) runoff from agricultural lands as the cause of these HABs. In 2010, the Great Lakes Restoration Initiative (GLRI) was launched to revitalize the Great Lakes. The GLRI aims to address the challenges facing the Great Lakes and provide a framework for restoration and protection. As part of this effort, the Priority Watersheds Work Group (PWWG), cochaired by the U.S. Environmental Protection Agency (EPA) and the U.S. Department of Agriculture-Natural Resources Conservation Service (USDA–NRCS), is targeting Priority Watersheds (PWs) to reduce the amount of P reaching the Great Lakes. Within the PWs, USDA–NRCS identifies small-scale subbasins with high concentrations of agriculture for coordinated nutrient reduction efforts and enhanced monitoring and modeling. The USDA–NRCS supplies financial and/or technical assistance to producers to install or implement best management practices (BMPs) to lessen the negative effects of agriculture to water quality; additional funding is provided by the GLRI through USDA–NRCS to saturate the small-scale subbasins with BMPs. The watershed modeling component, introduced in this fact sheet, assesses the effectiveness of USDA–NRCS funded BMPs, and nutrient reductions because of GLRI or other funding programs are differentiated. Modeling scenarios consider BMPs that have already been applied and those planned to be implemented across the small-scale subbasins.

Michigan↗

The Hawaiian Volcano Observatory: A natural laboratory for studying basaltic volcanism

In the beginning of the 20th century, geologist Thomas A. Jaggar, Jr., argued that, to fully understand volcanic and associated hazards, the expeditionary mode of studying eruptions only after they occurred was inadequate. Instead, he fervently advocated the use of permanent observatories to record and measure volcanic phenomena—at and below the surface—before, during, and after eruptions to obtain the basic scientific information needed to protect people and property from volcanic hazards. With the crucial early help of American volcanologist Frank Alvord Perret and the Hawaiian business community, the Hawaiian Volcano Observatory (HVO) was established in 1912, and Jaggar’s vision became reality. From its inception, HVO’s mission has centered on several goals: (1) measuring and documenting the seismic, eruptive, and geodetic processes of active Hawaiian volcanoes (principally Kīlauea and Mauna Loa); (2) geological mapping and dating of deposits to reconstruct volcanic histories, understand island evolution, and determine eruptive frequencies and volcanic hazards; (3) systematically collecting eruptive products, including gases, for laboratory analysis; and (4) widely disseminating observatory-acquired data and analysis, reports, and hazard warnings to the global scientific community, emergency-management authorities, news media, and the public. The long-term focus on these goals by HVO scientists, in collaboration with investigators from many other organizations, continues to fulfill Jaggar’s career-long vision of reducing risks from volcanic and earthquake hazards across the globe. This chapter summarizes HVO’s history and some of the scientific achievements made possible by this permanent observatory over the past century as it grew from a small wooden structure with only a small staff and few instruments to a modern, well-staffed, world-class facility with state-of-the-art monitoring networks that constantly track volcanic and earthquake activity. The many successes of HVO, from improving basic knowledge about basaltic volcanism to providing hands-on experience and training for hundreds of scientists and students and serving as the testing ground for new instruments and technologies, stem directly from the acquisition, integration, and analysis of multiple datasets that span many decades of observations of frequent eruptive activity. HVO’s history of the compilation, interpretation, and communication of long-term volcano monitoring and eruption data (for instance, seismic, geodetic, and petrologic-geochemical data and detailed eruption chronologies) is perhaps unparalleled in the world community of volcano observatories. The discussion and conclusions drawn in this chapter, which emphasize developments since the 75th anniversary of HVO in 1987, are general and retrospective and are intended to provide context for the more detailed, topically focused chapters of this volume.

Hawaii↗

Geologic field trip guide to Mount Mazama and Crater Lake Caldera, Oregon

Crater Lake partly fills one of the most spectacular calderas of the world—an 8 by 10 kilometer (km) basin more than 1 km deep formed by collapse of the Mount Mazama volcano during a rapid series of explosive eruptions ~7,700 years ago. Having a maximum depth of 594 meters (m), Crater Lake is the deepest lake in the United States. Crater Lake National Park, dedicated in 1902, encompasses 645 square kilometers (km 2 ) of pristine forested and alpine terrain, including the lake itself, and virtually all of Mount Mazama. The geology of the area was first described in detail by Diller and Patton (1902) and later by Williams (1942), whose vivid account led to international recognition of Crater Lake as the classic collapse caldera. Because of excellent preservation and access, Mount Mazama, Crater Lake caldera, and the deposits formed by the climactic eruption constitute a natural laboratory for study of volcanic and magmatic processes. For example, the climactic ejecta are renowned among volcanologists as evidence for systematic compositional zonation within a subterranean magma chamber. Mount Mazama’s climactic eruption also is important as the source of the widespread Mazama ash, a useful Holocene stratigraphic marker throughout the Pacific Northwest United States, adjacent Canada, and offshore. A detailed bathymetric survey of the floor of Crater Lake in 2000 (Bacon and others, 2002) provides a unique record of postcaldera eruptions, the interplay between volcanism and filling of the lake, and sediment transport within this closed basin. Knowledge of the geology and eruptive history of the Mount Mazama edifice, enhanced by the caldera wall exposures, gives exceptional insight into how large volcanoes of magmatic arcs grow and evolve. In addition, many smaller volcanoes of the High Cascades beyond the limits of Mount Mazama provide information on the flux of mantle-derived magma through the region. General principles of magmatic and eruptive processes revealed by geologic research at Crater Lake have been incorporated not only in scientific investigations elsewhere, but also in the practical evaluation of local hazards (Bacon and others, 1997b) and geothermal resources (Bacon and Nathenson, 1996). The 1:24,000-scale geologic map of Mount Mazama and Crater Lake caldera (Bacon, 2008) is unusual because it portrays bedrock (outcrop), surficial, and lake floor geology. Caldera wall geology is depicted in detail on the accompanying geologic panoramas, and bedrock geology is shown in a 1:50,000-scale geologic map. This field guide supersedes earlier geology guides of Crater Lake (Bacon, 1987, 1989).

Oregon↗

CRevolution 2—Origin and evolution of the Colorado River system, workshop abstracts

A 2010 Colorado River symposium, held in Flagstaff, Arizona, involved 70 participants who engaged in intense debate about the origin and evolution of the Colorado River system. This symposium, built upon two previous decadal scientific meetings, focused on forging scientific consensus, where possible, while articulating continued controversies regarding the Cenozoic evolution of the Colorado River System and the landscapes of the Colorado Plateau-Rocky Mountain region that it drains. New developments involved hypotheses that Neogene mantle flow is driving plateau tilting and differential uplift and new and controversial hypotheses for the pre-6 Ma presence and evolution of ancestral rivers that may be important in the history and birth of the present Colorado River. There is a consensus that plateau tilt and uplift models must be tested with multidisciplinary studies involving differential incision studies and additional geochronology and thermochronology to determine the relative importance of tectonic and geomorphic forces that shape the spectacular landscapes of the Colorado Plateau, Arizona and region. In addition to the scientific goals, the meeting participants emphasized the iconic status of Grand Canyon for geosciences and the importance of good communication between the research community, the geoscience education/interpretation community, the public, and the media. Building on a century-long tradition, this region still provides a globally important natural laboratory for studies of the interactions of erosion and tectonism in shaping the landscape of elevated plateaus.

Colorado River System↗

Physical, chemical, and biological aspects of subsurface organic waste injection near Wilmington, North Carolina

From May 1968 to December 1972, an industrial organic waste was injected at rates of 100 to 200 gallons per minute (6.3 to 12.6 litres per second) into a sand, gravel, and limestone aquifer of Late Cretaceous age by Hercules Inc. located near Wilmington, North Carolina. This report presents both field and laboratory data pertaining to the physical, chemical, and biological effects of waste injection into the subsurface at this particular site, a case history of the operation, predictions of the reactions between certain organic wastes and the aquifer components, and descriptions of the effects of these reactions on the subsurface movement of the wastes. The case history documents a situation in which subsurface waste injection could not be considered a successful means of waste disposal. The first injection well was used only for 1 year due to excessive wellhead pressure build-up above the specified pressure limit of 150 pounds per square inch (10.3 bars). A second injection well drilled as a replacement operated for only 5 months before it too began to have problems with plugging. Upward leakage of waste into shallower aquifers was also detected at several wells in the injection-observation well system. The multiple problems of plugging, high pressures, and waste leakage suggested that the reactive nature of the waste with the aquifer into which it was injected was the primary reason for the difficulties experienced with waste injection. A site study was initiated in June 1971 to investigate waste-aquifer interactions. The first stage of the study determined the hydrogeologic conditions at the site, and characterized the industrial waste and the native ground water found in the injection zone and other aquifers. The injection zone consisted of multiple permeable zones ranging in depth from about 850 to 1,000 feet (259 to 305 metres) below land surface. In addition to the injection zone, aquifers were found near depths of 60, 300, 500, and 700 feet (18, 91, 152, and 213 metres) below land surface. The aquifers from 300 feet (91 metres) down to the injection zone were flowing artesian with the natural pressure of the injection zone being 65 feet (20 metres) above land surface at the site. The dissolved solids concentration in the native ground water increased with depth to an average value of 20,800 mg/l (milligram per litre) (two-thirds that of seawater) in the water from the injection zone. Sodium chloride was the major dissolved solid, and all of the ground water below 300-feet (91-metres) depth was slightly alkaline. Dissolved organic carbon of the industrial waste averaged 7,100 mg/l and 95 percent of the organic carbon was identified and quantified. The major organic waste constituents in order of decreasing abundance were acetic acid, formic acid, p-toluic acid, formaldehyde, methanol, terephthalic acid, phthalic acid, and benzoic acid. Prior to injection, the waste was neutralized with lime to pH 4 so that the major inorganic waste constituent was calcium at a concentration of 1,300 mg/l. The second stage of the site study involved the observation of waste-aquifer interactions at various wells as the waste arrived and passed by the wells. Water samples obtained from three observation wells located 1,500 to 2,000 feet (457 to 607 metres) from the original injection well gave evidence for biochemical waste transformations at low waste concentrations. Gas that effervesced from these water samples contained up to 54 percent methane by volume. Ferrous iron concentrations as high as 35 mg/l, hydrogen sulfide gas, and sulfide precipitates were additional indicators of biochemical reductive processes in the subsurface environment. Approximately 3,000 organisms per millilitre were found in uncontaminated ground water from the injection zone whereas in waste-contaminated wells, the number increased to levels as high as 1,000,000 organisms per millilitre. High concentrations of waste were found to be toxic to microo

Professional Paper↗

Life history, latitudinal patterns, and status of the shortnose sturgeon, Acipenser brevirostrum

Historically, shortnose sturgeon inhabited most major rivers on the Atlantic coast of North America south of the Saint John River, Canada. Today, only 16 populations may remain. Major anthropogenic impacts on shortnose sturgeon are blockage of spawning runs by dams, harvest of adults (bycatch and poaching), dredging of fresh/saltwater riverine reaches, regulation of river flows, and pollution. The pattern of anadromy (adult use of salt water) varies with latitude. The pattern may reflect bioenergetic adaptations to latitudinal differences between fresh and salt water habitats for thermal and foraging suitability. The greater adult abundance in northern and north-central populations likely reflects a historical difference with southern populations that is currently accentuated by increased anthropogenic impacts on southern populations. Adult abundance is less than the minimum estimated viable population abundance of 1000 adults for 5 of 11 surveyed populations, and all natural southern populations. Across the latitudinal range, spawning adults typically travel to about river km 200 or farther upstream. Dams built downstream of spawning reaches block spawning runs, and can divide amphidromous populations into up- and downstream segments. Conservation efforts should correct environmental and harvest impacts, not stock cultured fish into wild populations.

Environmental Biology of Fishes↗

Assessing confidence in Pliocene sea surface temperatures to evaluate predictive models

In light of mounting empirical evidence that planetary warming is well underway, the climate research community looks to palaeoclimate research for a ground-truthing measure with which to test the accuracy of future climate simulations. Model experiments that attempt to simulate climates of the past serve to identify both similarities and differences between two climate states and, when compared with simulations run by other models and with geological data, to identify model-specific biases. Uncertainties associated with both the data and the models must be considered in such an exercise. The most recent period of sustained global warmth similar to what is projected for the near future occurred about 3.3–3.0 million years ago, during the Pliocene epoch. Here, we present Pliocene sea surface temperature data, newly characterized in terms of level of confidence, along with initial experimental results from four climate models. We conclude that, in terms of sea surface temperature, models are in good agreement with estimates of Pliocene sea surface temperature in most regions except the North Atlantic. Our analysis indicates that the discrepancy between the Pliocene proxy data and model simulations in the mid-latitudes of the North Atlantic, where models underestimate warming shown by our highest-confidence data, may provide a new perspective and insight into the predictive abilities of these models in simulating a past warm interval in Earth history. This is important because the Pliocene has a number of parallels to present predictions of late twenty-first century climate.

Nature Climate Change↗

Episodic swell growth inferred from variable uplift of the Cape Verde hotspot islands

On the Beagle voyage, Charles Darwin first noted the creation and subsidence of ocean islands 1 , establishing in geology’s infancy that island freeboard changes with time. Hotspot ocean islands have an obvious mechanism for freeboard change through the growth of the bathymetric anomaly, or swell 2 , on which the islands rest. Models for swell development indicate that flexural 9 , thermal 2 , 3 or dynamic pressure 4 , 5 , 6 , 8 contributions, as well as spreading of melt residue from the hotspot 7 , can all contribute to island uplift. Here we test various models for swell development using the uplift histories for the islands of the Cape Verde hotspot, derived from isotopic dating of marine terraces and subaerial to submarine lava-flow morphologies. The island uplift histories, in conjunction with inter-island spacing, uplift rate and timing differences, rule out flexural, thermal or dynamic pressure contributions. We also find that uplift cannot be reconciled with models that advocate the spreading of melt residue in swell development unless swell growth is episodic. Instead, we infer from the uplift histories that two processes have acted to raise the islands during the past 6 Myr. During an initial phase, mantle processes acted to build the swell. Subsequently, magmatic intrusions at the island edifice caused 350 m of local uplift at the scale of individual islands. Finally, swell-wide uplift contributed a further 100 m of surface rise.

Nature Geoscience↗

A more representative community of ecologists

Ecologists play a crucial role in providing solutions to the challenges facing the world. For most of the history of the field, however, the science of ecology has been pursued by white men, and increasingly, by white women. This lack of diversity is untenable today, not only because it is socially unjust, but also because solving environmental problems requires diversity. Ecology as a science is an extremely rewarding and fun career choice for many, but how can the field recruit a more diverse workforce to do this important and gratifying work? Attracting and retaining future ecologists of color is the focus of this Forum. How do young people choose a career in ecology and environmental sciences? For many ecologists, environmental scientists and managers, and future natural resource professionals, an early field experience provides a crucial introduction and gateway. A sojourn at a field station, an extended field trip, or field expedition has introduced many of today’s professionals to their fields, but at the same time, a growing literature documents problematic behavior, discrimination, and other forms of harassment that have been far too frequently reported, and little attention has been given to conscious or implicit exclusion of students from diverse backgrounds. In their lead article, Bowser and Cid, two leading researchers and long-time champions of diversity in ecology, build on experience in long-running programs as well as the literature to diagnose challenges facing diverse youth, and present approaches to encourage, rather than discourage, further engagement. They describe affirmative and creative measures that foster a sense of inclusion and community among young scholars; this sense of belonging and empowerment allows many to advance to studies and careers in ecology and environmental science. In the subsequent six papers, authors explore topics either responding to, or inspired by, the lead paper. They explore alternatives to a field experience as a gateway to a career in ecology or environmental sciences through, for example, data science or the social sciences. Other comment papers describe challenges faced in the next phases of an academic career, barriers faced by specific cultural groups and the approaches, challenges, and outcomes of programs aiming to increase the diversity of the environmental STEM workforce. All responses sound a clarion call for change to hear and value different voices and perspectives to be heard and valued. These include (1) structural and cultural change to our institutions and reward structures; (2) developing and nurturing personal relationships among students and their mentors, within teams and in internships; (3) making entry to ecology inviting and making advancement in ecology free from systemic barriers; and (4) broadening our vision of ecology, and the ways we learn about the world’s ecosystems. The Ecological Society of America, the home for Ecological Applications , is committed to the diversity, equity and inclusion needed to tackle environmental challenges in unity (https://www.esa.org/esablog/2020/09/24/time-for-action-esa-initiates-a-diversity-equity-inclusion-and-justice-deij-task-force/). The world needs all available talent and perspectives to meet environmental challenges today. Ecological Applications has long published occasional papers on the profession of ecology and never ones more important or timely than these. The editorial team is proud to provide an outlet for the voices of our field, in all its current, if inadequate, diversity and honored to host the passionate and committed views of our authors.

Ecological Applications↗

Mechanisms of methane hydrate formation in geological systems

Natural gas hydrates are ice-like mixtures of gas (mostly methane) and water that are widely found in sediments along the world’s continental margins and within and beneath permafrost in a near-surface depth interval where the pressure is sufficiently high and temperature sufficiently low for gas hydrate to be stable. Beneath this interval, gas hydrate is not stable and free gas may be present. This paper reviews the multiple quantitative models that have proposed to describe the genesis of gas hydrate in geological systems. We emphasize the importance of coupling multi-phase flow (vapor and liquid) and multicomponent reactive transport with geological history to describe the dynamical processes of gas hydrate formation and evolution in geological systems. By understanding the generation and evolution of gas hydrate through time, we will better understand their role in the carbon cycle, their potential to contribute to climate change and geohazards, and how to design optimal strategies for the environmentally safe production of gas from hydrate reservoirs.

Reviews of Geophysics↗

Statistical inference from capture data on closed animal populations

The estimation of animal abundance is an important problem in both the theoretical and applied biological sciences. Serious work to develop estimation methods began during the 1950s, with a few attempts before that time. The literature on estimation methods has increased tremendously during the past 25 years (Cormack 1968, Seber 1973). However, in large part, the problem remains unsolved. Past efforts toward comprehensive and systematic estimation of density (D) or population size (N) have been inadequate, in general. While more than 200 papers have been published on the subject, one is generally left without a unified approach to the estimation of abundance of an animal population This situation is unfortunate because a number of pressing research problems require such information. In addition, a wide array of environmental assessment studies and biological inventory programs require the estimation of animal abundance. These needs have been further emphasized by the requirement for the preparation of Environmental Impact Statements imposed by the National Environmental Protection Act in 1970. This publication treats inference procedures for certain types of capture data on closed animal populations. This includes multiple capture-recapture studies (variously called capture-mark-recapture, mark-recapture, or tag-recapture studies) involving livetrapping techniques and removal studies involving kill traps or at least temporary removal of captured individuals during the study. Animals do not necessarily need to be physically trapped; visual sightings of marked animals and electrofishing studies also produce data suitable for the methods described in this monograph. To provide a frame of reference for what follows, we give an exampled of a capture-recapture experiment to estimate population size of small animals using live traps. The general field experiment is similar for all capture-recapture studies (a removal study is, of course, slightly different). A typical field experiment is the following: a number of traps are positioned in the area to be studied, say 144 traps in a 12 X 12 grid, 7 m apart. At the beginning of the study (j=1) a sample size of n 1 is taken from the population, the animals are tagged and marked for future identification, and then returned to the population, usually at the same point where they were trapped. After allowing time of the marked and unmarked animals to mix, a second sample (j=2, often the following day) or n 2 animals is then taken.the second sample normally contains both marked and unmarked animals. The unmarked animals are marked and all captured animals are released back into the population. This procedure continues for t periods where t ≥ 2. The animals should be marked in such a way that the capture-recapture history of each animal caught during the study is known. In practice, toes are often clipped to uniquely identify individual animals (Taber and Cowan 1969) or serially numbered tags are sometimes used on larger animals. Such capture studies are classified by 2 schemes that are directly related to what class of models are appropriate and what parameters can be estimated. The first classification addresses the subject of closure. Closure usually means the size of the population is constant over the priod of investigation, i.e., no recruitment (birth or immigration) or losses (death or emigration). This is a strong assumption and, of course, never completely true in a natural biological population. For greater generality, we define closure to mean there are no unknown changes to the initial population. In practice, this means known losses (trap death), or deliberate removals) do not violate our definition of closure. If the study is properly designed, closure can be met at least approximately. Open or nonclosed populations explicitly allow for one or more types of recruitment or losses to operate during the course of the experiment (Jolly 1965, Seber 1965, Robson 1969, Pollock 1975). Only closed populations will be considered in this monograph. The second classification depends on the type of data collected with 2 possibilities occurring (Pollock 1974, unpublished doctoral dissertation, Cornell University, Ithaca, New York): (1) only information on the recovery of marked animals is available for each sampling occasion, j, j=1, 2, ... t. (2) information on both marked and unmarked animals is available for each sampling occasion, j, j=1, 2, ... t. In case (1), population size (N) is not identifiable, however, other parameters can be estimated (Brownie et al. 1978). In case (2), N can be estimated using a wide variety of approaches depending upon what we wish to assume. Only case (2) will be dealt with here.

Wildlife Monographs↗

Heterogeneous responses of temperate-zone amphibian populations to climate change complicates conservation planning

The pervasive and unabated nature of global amphibian declines suggests common demographic responses to a given driver, and quantification of major drivers and responses could inform broad-scale conservation actions. We explored the influence of climate on demographic parameters (i.e., changes in the probabilities of survival and recruitment) using 31 datasets from temperate zone amphibian populations (North America and Europe) with more than a decade of observations each. There was evidence for an influence of climate on population demographic rates, but the direction and magnitude of responses to climate drivers was highly variable among taxa and among populations within taxa. These results reveal that climate drivers interact with variation in life-history traits and population-specific attributes resulting in a diversity of responses. This heterogeneity complicates the identification of conservation ‘rules of thumb’ for these taxa, and supports the notion of local focus as the most effective approach to overcome global-scale conservation challenges.

Scientific Reports↗

Changing Salinity Patterns in Biscayne Bay, Florida

Biscayne Bay, Fla., is a 428-square-mile (1,109-square-kilometer) subtropical estuarine ecosystem that includes Biscayne National Park, the largest marine park in the U.S. national park system (fig. 1). The bay began forming between 5,000 and 3,000 years ago as sea level rose and southern Florida was flooded. Throughout most of its history, the pristine waters of the bay supported abundant and diverse fauna and flora, and the bay was a nursery for the adjacent coral-reef and marine ecosystems. In the 20th century, urbanization of the Miami-Dade County area profoundly affected the environment of the bay. Construction of powerplants, water-treatment plants, and solid-waste sites and large-scale development along the shoreline stressed the ecosystem. Biscayne National Monument was established in 1968 to ?preserve and protect for the education, inspiration, recreation and enjoyment of present and future generations a rare combination of terrestrial, marine, and amphibious life in a tropical setting of great natural beauty? (Public Law 90?606). The monument was enlarged in 1980 and designated a national park.

Fact Sheet↗

Elwha River dam removal-Rebirth of a river

After years of planning for the largest project of its kind, the Department of the Interior will begin removal of two dams on the Elwha River, Washington, in September 2011. For nearly 100 years, the Elwha and Glines Canyon Dams have disrupted natural processes, trapping sediment in the reservoirs and blocking fish migrations, which changed the ecology of the river downstream of the dams. All five Pacific salmon species and steelhead-historically present in large numbers-are locally extirpated or persist in critically low numbers. Upstream of the dams, more than 145 kilometers of pristine habitat, protected inside Olympic National Park, awaits the return of salmon populations. As the dams are removed during a 2-3 year project, some of the 19 million cubic meters of entrapped sediment will be carried downstream by the river in the largest controlled release of sediment into a river and marine waters in history. Understanding the changes to the river and coastal habitats, the fate of sediments, and the salmon recolonization of the Elwha River wilderness will provide useful information for society as future dam removals are considered.

Fact Sheet↗

A synthesis of coral reef research at Buck Island Reef National Monument and Salt River Bay National Historical Park and Ecological Preserve, St. Croix, U.S. Virgin Islands: 1961 to 2022

This synthesis focuses on the history of research on coral reefs within two U.S. National Park Service units in St. Croix, U.S. Virgin Islands: Buck Island Reef National Monument (from 1961 to 2022) and Salt River Bay National Historical Park and Ecological Preserve (from 1980 to 2022). Buck Island Reef National Monument (BUIS) is off the north shore of the island of St. Croix, in the U.S. Virgin Islands. Established in 1961 and expanded in 2001, it is under the jurisdiction of the National Park Service (NPS). Long-term monitoring programs maintained by the NPS and jointly by the University of the Virgin Islands (UVI) and the Virgin Islands Department of Planning and Natural Resources (VIDPN).

U.S. Virgin Islands, Buck Island Reef National Mon↗

Lake trout rehabilitation in Lake Erie: a case history

Native lake trout ( Salvelinus namaycush ) once thrived in the deep waters of eastern Lake Erie. The impact of nearly 70 years of unregulated exploitation and over 100 years of progressively severe cultural eutrophication resulted in the elimination of lake trout stocks by 1950. Early attempts to restore lake trout by stocking were unsuccessful in establishing a self-sustaining population. In the early 1980s, New York's Department of Environmental Conservation, Pennsylvania's Fish and Boat Commission, and the U.S. Fish and Wildlife Service entered into a cooperative program to rehabilitate lake trout in the eastern basin of Lake Erie. After 11 years of stocking selected strains of lake trout in U.S. waters, followed by effective sea lamprey control, lake trout appear to be successfully recolonizing their native habitat. Adult stocks have built up significantly and are expanding their range in the lake. Preliminary investigations suggest that lake trout reproductive habitat is still adequate for natural reproduction, but natural recruitment has not been documented. Future assessments will be directed toward evaluation of spawning success and tracking age-class cohorts as they move through the fishery.

Journal of Great Lakes Research↗

The stability of sulfate and hydrated sulfate minerals near ambient conditions and their significance in environmental and planetary sciences

Sulfate and hydrated sulfate minerals are abundant and ubiquitous on the surface of the Earth and also on other planets and their satellites. The humidity-buffer technique has been applied to study the stability of some of these minerals at 0.1 MPa in terms of temperature-relative humidity space on the basis of hydration-dehydration reversal experiments. Updated phase relations in the binary system MgSO 4 -H 2 O are presented, as an example, to show how reliable thermodynamic data for these minerals could be obtained based on these experimental results and thermodynamic principles. This approach has been applied to sulfate and hydrated sulfate minerals of other metals, including Fe (both ferrous and ferric), Zn, Ni, Co, Cd, and Cu. Metal-sulfate salts play important roles in the cycling of metals and sulfate in terrestrial systems, and the number of phases extends well beyond the simple sulfate salts that have thus far been investigated experimentally. The oxidation of sulfide minerals, particularly pyrite, is a common process that initiates the formation of efflorescent metal-sulfate minerals. Also, the overall abundance of iron-bearing sulfate salts in nature reflects the fact that the weathering of pyrite or pyrrhotite is the ultimate source for many of these phases. Many aspects of their environmental significance are reviewed, particularly in acute effects to aquatic ecosystems related to the dissolution of sulfate salts during rain storms or snow-melt events. Hydrous Mg, Ca, and Fe sulfates were identified on Mars, with wide distribution and very large quantities at many locations, on the basis of spectroscopic observations from orbital remote sensing and surface explorations by rovers. However, many of these findings do not reveal the detailed information on the degree of hydration that is essential for rigorous interpretation of the hydrologic history of Mars. Laboratory experiments on stability fields, reactions pathways, and reaction rates of hydrous sulfates likely to be found on Mars enhance our understanding of the degrees of hydration of various sulfates that should currently exist on Mars at various seasons and locations and during various atmospheric pressure and obliquity periods. Two sets of systematic experiments were described; one on hydrous Mg sulfates and the other on hydrous Fe 3+ sulfates. Also, their implications to Mars sulfates mineralogy were discussed.

Journal of Asian Earth Sciences↗

Molecular and isotopic gas composition of the Devonian Berea Sandstone and implications for gas evolution, eastern Kentucky

Since 2011, the Devonian Berea Sandstone in northeastern Kentucky has produced oil where thermal maturity studies indicate that likely source rocks, namely, the Devonian Ohio Shale and Mississippian Sunbury Shale, are thermally immature. Downdip, where source rocks are mature for oil, the Berea Sandstone and Ohio Shale primarily produce gas. To investigate this thermal maturity discordancy, the molecular and isotopic composition of gases from the Berea Sandstone (oil associated) and Ohio Shale (nonassociated) were analyzed to understand the gas generation and migration history. Collected along a northwest-southeast transect in eastern Kentucky, samples range from 1079 to 4602 ft, respectively. All are wet gases with a thermogenic origin (δ 13 C-CH 4 = −53.5‰ to −46.1‰). This is mostly consistent with a reevaluation of thermal maturity in a companion study that expands the area mature for oil. Gas migration is required, however, in updip parts of the Berea play where vitrinite reflectance ( VR o ) values are less than 0.6%. Southeast regional dip exerts a first-order influence on thermal maturity as gases become drier and isotopically heavier downdip. Correlation of δ 13 C values for heavier hydrocarbon gases in a natural gas plot with VR o contour spacing demonstrates the influence of nearby source rock thermal maturity on gas composition. Downdip, migration of oil and the attendant increase in permeability relative to gas may account for the dominance of gas production in the Ohio Shale. Migration along with basin uplift after the Alleghany orogeny may have contributed to development of a gas phase that exsolved from oil.

Kentucky↗