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At least 1,117 records · Page 62Linked to original sources

Changes in the lake trout population of southern Lake Superior in relation to the fishery, the sea lamprey, and stocking, 1950-70

Commercial catch and effort statistics for 1929-70, samples of commercial catches in 1959-62, and records of examinations of all lake trout (Salvelinus namaycush) taken commercially in inshore waters of Michigan and Wisconsin in 1962-70 were the basis for descriptions of changes in the population in 1929-70. Abundance fluctuated cyclically and gradually downward in 1929-49, whereas fishing intensity tended to increase during the same period. In 1950-52, a change from cotton to nylon twine in gillnets raised effective fishing effort to 305% of the 1929-43 average in Michigan waters and to 228% in Wisconsin waters; production held near average. Abundance fell to 18% of average in Michigan in 1953-61 and to 25% of average in Wisconsin in 1956-61; in the same periods, production fell to 11% of average in Michigan and to 19% in Wisconsin. In 1962-70 abundance rose to 160% in Michigan and 246% in Wisconsin while production and fishing intensity were held low (3-14%) by regulation. Changes in abundance of lake trout were attributable to a sequence of developments in successive series of years; intensive fishing in the early 1950's; severe sea lamprey predation in the late 1950's; an 85% reduction in abundance of sea lampreys in mid 1961; and the combination of sea lamprey control, intensive stocking of yearling lake trout, and restrictions on fishing in 1962-70. A decline in average size of lake trout and the near elimination of spawning stocks in 1953-61 curtailed recruitment of native lake trout in the mid 1960's. Stocking of fin-clipped lake trout replaced natural reproduction in the early 1960's. In 1965-70, the lake trout population was composed mainly of hatchery-reared fish. Natural reproduction was reestablished on one major spawning shoal in Wisconsin in 1965, but in 1970 only 10% of the legal (17-inch and longer) and 17% of the undersize lake trout in Wisconsin were native fish. Reduction of sea lamprey abundance resulted in an immediate increase in survival and abundance of lake trout, especially of the larger sizes. As abundance of lake trout progressively increased in 1962-70, survival of the smaller legal-size lake trout increased, probably due to reduction of the predator-prey ratio and an increase in availability of larger lake trout preferred by sea lampreys. Abundance of spawning-size lake trout was limited by high natural mortality in 1965-70. Circumstantial evidence suggested that sea lamprey predation contributed a major part of the high natural mortality.

Technical Report↗

Hydrologic data for urban studies in the Houston metropolitan area, Texas, 1984

Hydrologic investigations of urban watersheds in Texas were begun by the U.S. Geological Survey in 1954. Studies are now in progress in the Austin and Houston areas, and have been completed in the Dallas-Fort Worth and San Antonio areas. The U.S. Geological Survey, in cooperation with the city of Houston, began studies in the Houston metropolitan area in 1964. The program was expanded in 1968 to include collection of water-quality data. The objectives of the Houston urban-hydrology study are as follows: To determine, on the basis of historical data and hydrologic analyses, the magnitude and frequency of flood peaks and flood volumes; To determine the effect of urban development on flood peaks and volumes; and To ascertain the variation in water quality for different flow conditions and different seasons. This report, the twenty-first and last scheduled in a series of reports published annually, is primarily applicable to objective 2. The report presents hydrologic data collected in the Houston urban area for the 1984 water year (October 1, 1983 to September 30, 1984). A report by Johnson and Sayre (1973) utilized records collected from 1965 to 1969 to study the effects of urbanization on floods in the Houston area. That report also summarized various basin parameters. A report by Waddell, Massey, and Jennings (1979) presented data on runoff from the Houston area and computed concentrations and loads of selected water-quality constituents discharged to Galveston Bay. The study utilized a variation of the "STORM" model developed by the Hydrologic Engineering Center of the U.S. Army Corps of Engineers. A report prepared by Liscum and Massey (1980) presented a technique for estimating the magnitude and frequency of floods in the Houston area from drainage areas, bank-full conveyance, and percentage of urban development. A definition of terms related to streamflow, water quality, and other hydrologic data, as used in this report, are defined in "U.S. Geological Survey, Water-resources data for Texas, water year 1984, volume 2."

Texas↗

Metallogenic provinces of the southeastern Pacific region

Metalliferous mineral deposits of the southeastern Pacific region include: (1) hydrothermal, magmatic, and sedimentary deposits of the Andean region, one of the great mineral belts of the world; 2) Scattered hydrothermal mineral occurrences in the Antarctic Peninsula; and 3) metal-enriched pelagic sediments, ferromanganese nodules, and volcanic rocks(?) in the southeast Pacific basin. Andean metalliferous deposits, the chief concern of this report, are for the most part spatially and genetically related to calc-alkaline plutons, sub-volcanic intrusions, and volcanic rocks emplaced during the Andean orogeny of Late Triassic to Quaternary age. These deposits are components of a single metallogenic province superimposed on two or more pre-Andean metallogenic provinces that are indicated by scattered deposits of Paleozoic and Precambrian(?) age. Occurrences in the Antarctic Peninsula are of age and origin similar to the deposits in the Andes and are considered to belong to the Andean province. The Andean metallogenic province may be divided into several subprovinces, each parallel to the Andes and the continental margin and each having a dominant metal or suite of metals. The central Andes of Peru, northern Chile, and Bolivia, which contain the greatest concentration of exploitable deposits and the greatest variety of ore types, have as many as five linear partly overlapping subprovinces. These sub-provinces, from west to east (Pacific coast to the eastern Andean front), are characterized, respectively, by deposits of : 1) iron; 2) copper, with or without associated gold; 3) polymetallic base metals (zinc, lead, copper), generally containing silver; 4) tin; and 5) gold. Iron deposits chiefly are near the coast in central to northern Chile and in southern Peru. The copper and polymetallic provinces are characterized by abundant deposits in the central Andean region but comparatively few scattered deposits in the north (Ecuador, Colombia, and Venezuela) and in southern Chile and Argentina. Scattered gold-rich veins and placers occur along the western Andean front and coastal region, the general area of the copper province, from central Chile to northern Colombia. Similar deposits occur along a discontinuous belt in the eastern Andes from Bolivia to Ecuador and in the central Andes of Colombia. Tin deposits are almost wholly restricted to the eastern Andes of Bolivia. The position and age distribution of plutonic and volcanic rocks and associated metalliferous deposits of the Andes indicate presence of an active subduction zone in this region since at least Late Triassic time. Magmas of the calc-alkaline igneous rocks are believed to have formed chiefly by partial melting of mantle, oceanic sediments, and oceanic crust along the Benioff zone at depths of 100 to 200 km. Plutonic and volcanic rocks show a general though nonuniform progression of decreasing age from west to east. Rocks of Jurassic and Cretaceous age are most abundant near the coast, whereas those of Tertiary and Quaternary age dominate in the Andes. Locally, intrusive rocks and ore deposits of widely different ages are juxtaposed. Metals of the ore deposits associated with the calc-alkaline rocks were supplied by the source rocks in the Benioff zone, some of which probably had been previously enriched in certain metals at the ancestral East Pacific Rise and were mobilized or assimilated from metal-rich zones in the overlying mantle and continental crust by magmas rising from the Benioff zone.

Open-File Report↗

Influence of climate on progressive hillslope failure in Redwood Creek Valley, northwestern California

Both creep and earthflow processes control hillslope erosion over large parts of the Redwood Creek basin. The type of process and displacement rates are largely dependent on underlying bedrock type and precipitation input. Progressive creep with rates ranging from 1.0 to 2.5 mm/a dominates on slopes west of the Grogen fault underlain by sheared and foliated schists. Movement appears to respond primarily to annual increments of precipitation. Complex earthflows occur predominantly on slopes east of the Grogen fault underlain by sheared graywacke and mudstone. Movement rates range from 3.0 to 131.0 mm/a and characteristically display dominant rainy season movement.

Open-File Report↗

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

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

NOAA Technical Memorandum↗

Water-quality modeling of Klamath Straits Drain recirculation, a Klamath River wetland, and 2011 conditions for the Link River to Keno Dam reach of the Klamath River, Oregon

The upper Klamath River and adjacent Lost River are interconnected basins in south-central Oregon and northern California. Both basins have impaired water quality with Total Maximum Daily Loads (TMDLs) in progress or approved. In cooperation with the Bureau of Reclamation, the U.S. Geological Survey (USGS) and Watercourse Engineering, Inc., have conducted modeling and research to inform management of these basins for multiple purposes, including agriculture, endangered species protection, wildlife refuges, and adjacent and downstream water users. A water-quality and hydrodynamic model (CE-QUAL-W2) of the Link River to Keno Dam reach of the Klamath River for 2006–09 is one of the tools used in this work. The model can simulate stage, flow, water velocity, ice cover, water temperature, specific conductance, suspended sediment, nutrients, organic matter in bed sediment and the water column, three algal groups, three macrophyte groups, dissolved oxygen, and pH. This report documents two model scenarios and a test of the existing model applied to year 2011, which had exceptional water quality. The first scenario examined the water-quality effects of recirculating Klamath Straits Drain flows into the Ady Canal, to conserve water and to decrease flows from the Klamath Straits Drain to the Klamath River. The second scenario explicitly incorporated a 2.73×10 6 m 2 (675 acre) off-channel connected wetland into the CE-QUAL-W2 framework, with the wetland operating from May 1 through October 31. The wetland represented a managed treatment feature to decrease organic matter loads and process nutrients. Finally, the summer of 2011 showed substantially higher dissolved-oxygen concentrations in the Link-Keno reach than in other recent years, so the Link-Keno model (originally developed for 2006–09) was run with 2011 data as a test of model parameters and rates and to develop insights regarding the reasons for the improved water-quality conditions.

Oregon↗

Regression relations and long-term water-quality constituent concentrations, loads, yields, and trends in the North Fork Ninnescah River, south-central Kansas, 1999–2019

Cheney Reservoir, in south-central Kansas, is the primary water supply for the city of Wichita, Kansas. The North Fork Ninnescah River is the largest tributary to Cheney Reservoir and contributes about 70 percent of the inflow. The U.S. Geological Survey, in cooperation with the City of Wichita, has been continuously monitoring water quality (including water temperature, specific conductance, pH, dissolved oxygen, and turbidity) on the North Fork Ninnescah River upstream from Cheney Reservoir (U.S. Geological Survey site 07144780) since November 1998. Continued data collection would be beneficial to update and describe changing water-quality conditions in the drainage basin and in the reservoir over time. Regression models were developed to describe relations between discretely measured constituent concentrations and continuously measured physical properties. The models updated in this report include total suspended solids (TSS), suspended-sediment concentration (SSC), nitrate plus nitrite, nitrate, orthophosphate (OP), total phosphorus (TP), and total organic carbon (TOC). Daily computed concentrations for TSS, TP, and nitrate plus nitrite during 1999–2019 were compared with Cheney Reservoir Task Force (CRTF) goals for base-flow and runoff conditions. CRTF goals for base-flow concentrations were exceeded more frequently (70 to 99.9 percent of the time) than runoff goals (0 to 11 percent of the time). Except for 2012, annual mean TSS concentrations exceeded the base-flow goal every year. Nitrate plus nitrite and TP annual mean concentrations exceeded the base-flow goals every year. TSS and nitrate plus nitrite annual mean concentrations during runoff conditions never exceeded the CRTF runoff goal. TP annual mean concentrations during runoff conditions only exceeded the CRTF runoff goal during 2002. Sedimentation is progressively reducing the storage capacity of Cheney Reservoir. During 1999–2019, 55 percent of the computed suspended-sediment load was transported during the top 1 percent of loading days (76 days); 22 percent of the total load was transported in the top 10 loading days, indicating that substantial parts of suspended-sediment loads continue to be delivered during disproportionately small periods in Cheney Reservoir. Successful sediment management efforts necessitate reduction techniques that account for these large load events. Flow-normalized concentrations and fluxes were computed during 1999 through 2019 using Weighted Regressions on Time, Discharge, and Season (WRTDS) statistical models and WRTDS bootstrap tests. Flow-normalized concentrations of TSS, SSC, OP, TP, and TOC had upward trend probabilities; conversely, nitrate plus nitrite had a downward trend. Flow-normalized fluxes for OP, TP, and TOC had an upward trend. No discernible patterns were identified for flow-normalized flux of TSS or suspended sediment. Nitrate plus nitrite flow-normalized flux indicated a downward trend. Flow-normalized concentrations for TSS were less than the CRTF long-term goal of 100 milligrams per liter (mg/L), but the upward trend indicated the long-term goal may be exceeded if no changes are made. Flow-normalized TP concentrations exceeded the CRTF long-term goal (0.1 mg/L) and were assigned a very likely upward trend. Flow-normalized nitrate plus nitrite concentrations exceeded the CRTF long-term goal of 1.2 mg/L during the beginning of the study period, then were less than the CRTF goal for the remainder of the study; however, during 2010–19 flow-normalized concentrations increased by 6 percent. Linking water-quality changes to causal factors requires consistent monitoring before, during, and after changes; this presents challenges related to length and frequency of data collection and available concomitant land-use and conservation practice data. As such, attribution of water-quality trends to land-use changes or conservation practices was not possible for this study because of a lack of land-use and conservation practice data. Additionally, because precipitation frequency and intensity are projected to continue to increase in the Great Plains region, accounting for extreme episodic events may be an important consideration in future sediment and nutrient load reduction plans.

Kansas↗

Water-resources investigations of the U.S. Geological Survey in Arkansas, fiscal year 1981

During fiscal year 1981 there were 20 water-resources investigations in progress by the Arkansas District of the U. S. Geological Survey 's Water Resources Division. Investigations that mainly involved data collection included surface-water gaging, water-level measuring, water-quality sampling, sediment sampling, and water-use inventorying. Interpretive studies included three that were principally of ground-water resources, four that were of surface-water flow charateristics, four that were of surface-water quality characteristics, and three that were interdisciplinary.

Arkansas↗

Challenges in observational seismology

Earthquake seismology became a quantitative scientific discipline after instruments were developed to record seismic waves in the late 19th century ( Dewey and Byerly, 1969 ; Chapter 1 by Agnew). Earthquake seismology is essentially based on field observations. The great progress made in the past several decades was primarily due to increasingly plentiful and high-quality data that are readily distributed. Our ability to collect, process, and analyze earthquake data has been accelerated by advances in electronics, communications, computers, and software (see Chapter 85 edited by Snoke and Garcia-Fernandez). Instrumental observation of earthquakes has been carried out for a little over 100 years by seismic stations and networks of various sizes, from local to global scales (see Chapter 87 edited by Lahr and van Eck). The observed data have been used, for example, (1) to compute the source parameters of earthquakes, (2) to determine the physical properties of the Earth's interior, (3) to test the theory of plate tectonics , (4) to map active faults, (5) to infer the nature of damaging ground shaking, and (6) to carry out seismic hazard analysis. Construction of a satisfactory theory of the earthquake process has not yet been achieved within the context of physical laws. Good progress, however, has been made in building a physical foundation of the earthquake source process, partly as a result of research directed toward earthquake prediction. This chapter is intended for a general audience. Technical details are not given, but relevant references and chapters in this Handbook are referred to. The first part of this chapter presents a brief overview of the observational aspects of earthquake seismology, concentrating on instrumental observations of seismic waves generated by earthquakes (i.e., seismic monitoring), and readers are referred to Chapter 49 by Musson and Cecic for noninstrumental observations. A few key developments and practices are summarized by taking a general view, since many national and regional developments have been chronicled in national and institutional reports (see Chapter 79 edited by Kisslinger). In the latter part of this chapter, the nature of seismic monitoring and some challenges in observational seismology are discussed from a personal perspective. Comments of a technical or philosophical nature are given in the Notes at the end of the chapter, and they are referenced by superscript numbers in the text.

International Geophysics↗

Dynamics of the recovery of the western Lake Erie walleye (Stizostedion vitreum vitreum) stock

After its 1957 collapse under intensive fishing and environmental stresses, the walleye (Stizostedion vitreum vitreum) stock of western Lake Erie remained low throughout the 1960s. A moratorium on both sport and commercial fishing, resulting from the 1970 discovery of mercury concentrations in walleye flesh, provided an opportunity for the development of an international interagency management plan. The quota management plan developed depended on sequential projection of the fishable stock on the basis of estimated annual recruitment and reports of total withdrawals from the stock. The fishery reopened gradually and quota management (including allocation among jurisdictions) was implemented in 1976. The stock, which had been gradually increasing as a result of relatively strong year-classes produced in 1970, 1972, and 1974, responded well to limited exploitation and produced a record year-class in 1977. Quotas were exceeded in 1978-80, but the stock continued to improve to the extent that the recommended rate of exploitation was increased in 1980 and again in 1981. As the population expanded, growth began to decline; the decline became apparent in young-of-the-year in the early 1970s and in older walleyes in the late 1970s. This trend toward progressively slower growth, which continued in the 1977 and subsequent year-classes, was accompanied by an increase in length at sexual maturity and a decrease in the percentage of female walleyes reaching sexual maturity at age III. As a net result of these changes, the proportion of mature females in the stock (an index of stock fecundity) decreased slightly during the interval 1975-84, while the estimated biomass of the standing stock rose from 9 000 to nearly 26 000 t. Both sport and commercial catches increased markedly after 1980 in Lake Erie's central basin.

Canadian Journal of Fisheries and Aquatic Sciences↗

Stratigraphy, structure, and palinspastic synthesis of the western Brooks Range, northwestern Alaska

This report is an effort to describe and decipher the mid-Paleozoic to Lower Cretaceous stratigraphy and the orogenic evolution of the western Brooks Range. The western Brooks Range primarily is composed of stacks of complexly deformed thrust sheets that contain mostly coeval sequences of rocks with slightly different lithologic facies. In order to simplify the thrust-faulted stratigraphy and palinspastic restoration, the rocks are grouped into eight principal structural levels. The lowest structural level is believed to be autochthonous or parautochthonous and above that, each succeeding level is designated allochthon one through seven. Allochthon seven is composed of the remnants of an extensive ophiolite sheet. Allochthon six is composed of pillow basalt with subordinate intermediate volcanic rocks, chert, and Devonian limestone. It is not certain whether this allochthon was formed in a continental or oceanic setting. Allochthons five through one consist of distinctive and coeval sequences of Devonian to Lower Cretaceous sedimentary rocks that were deposited in a continental setting. The present geographic distribution of each structural level is shown on the allochthon map of the western Brooks Range. The stratigraphy of the southern part of northern Alaska has been reconstructed by systematically unstacking lower allochthons to the north of higher allochthons. The palinspastic map that results from this procedure shows that the minimum thrust displacement between allochthon seven and the autochthon is approximately 700 to 800 km. Schematic cross sections drawn across the palinspastic map show how the stratigraphy of the southern part of northern. Alaska most likely appeared prior to the orogeny. During Devonian and Mississippian time, the sedimentary sequences that are now part of allochthons one to five are inferred to have been deposited in an ensialic basin with both northern and southern margins. During Pennsylvanian time, the sequences seem to have become part of a southward-sloping continental shelf when a southern land area moved away from northern Alaska by an inferred plate tectonic process of rifting or strike-slip motion. In Early Jurassic time just prior to the Brooks Range orogeny, northern Alaska probably was an extensive continental shelf with oceanic conditions to the south and land to the north. The Brooks Range orogeny seems to have begun in the Middle Jurassic as the Arctic Alaska plate was underthrust (subducted) southward beneath oceanic crust of allochthon seven. At progressively later stages in the underthrusting process, the upper parts of the continental shelf were detached from the subthrust basement on which they were deposited, resulting in the other allochthons of the western Brooks Range. The period of major thrusting ceased by Albian time in the Early Cretaceous. During middle and Late Cretaceous time, epeirogenic uplift in the Brooks Range caused large quantities of clastic detritus to be shed into successor basins to the north and south. Broad folds and reverse faults in Upper Cretaceous sediments north of the Brooks Range provide evidence for a later period(s) of less intense deformation in northern Alaska.

Open-File Report↗

Field guide to malformations of frogs and toads: with radiographic interpretations

In 1995, students found numerous malformed frogs on a field trip to a Minnesota pond. Since that time, reports of malformed frogs have increased dramatically. Malformed frogs have now been reported in 44 states in 38 species of frogs, and 19 species of toads. Estimates as high as 60% of the newly metamorphosed frog populations have had malformations at some ponds (NARCAM, ’99). The wide geographic distribution of malformed frogs and the variety of malformations are a concern to resource managers, research scientists and public health officials. The potential for malformations to serve as a signal of ecosystem disruption, and the affect this potential disruption might have on other organisms that share those ecosystems, has not been resolved. Malformations represent an error that occurred early in development. The event that caused the developmental error is temporally distant from the malformation we see in the fully developed animal. Knowledge of normal developmental principles is necessary to design thoughtful investigations that will define the events involved in abnormal development in wild frog populations. Development begins at the time an egg is fertilized and progresses by chemical communication between cells and cell layers. This communication is programmed through gene expression. Malformations represent primary errors in development, errors in chemical communication or translation of genetic information. Deformations arise later in development and usually result from the influence of mechanical factors (such as amputation) that alter shape or anatomy of a structure that has developed normally. The occurrence and the type of malformations are influenced by the type of error or insult as well as the timing of the error (the developmental stage at which the error occurred). The appearance of the malformation can therefore provide clues that suggest when the error may have occurred. If the malformation is an incomplete organ, such as an incomplete limb, the factor or insult acted during a susceptible period prior to organ completion. Although defining the anatomy of the malformed metamorphosed frog can give us an idea of the approximate window during which the developmental insult was initiated, and might even suggest the type of insult that may have occurred, the morphology of the malformation does not define the cause. To define causes and mechanisms of frog malformations we need to use well designed investigations that are different from traditional tests used in acute toxicity or disease pathogenicity studies. When investigating malformations in metamorphosed frogs, we are looking at the affect of exposure to an agent that occurred early in tadpole development. Therefore investigations to determine causes of malformations need to look at agents that are present in the tadpoles or their environments at these early developmental times. Laboratory experiments need to expose embryos and tadpoles to suspect agents at appropriate developmental stages and look at acute results, such as toxicity and death, as well as following the developmental process to completion to determine the impact of the agent on the developing tadpole and the fully developed frog. This means holding animals past metamorphic climax to assure that the anatomy and physiology of the adult have developed normally. As we look at field collections of abnormal frogs, we need to keep in mind that these collections reflect survivors only. We are looking at malformations that were not fatal to tadpoles. We cannot assume that because we do not collect other malformations, they did not exist. More work needs to be done on the developing tadpole, in the field and in the laboratory, to better elucidate the range, frequency, character and causes of anuran malformations.

Biological Science Report↗

Formalin treatments pass new tests. Additional notes on the control of ecto-parasitic protozoa

After the completion of the eхреriments reported recently, in which the efficacy of formalin in controlling infections of Gostia mecatr ix was demonstrated, the author was afforded an opportunity to test the value of formalin solutions in combatting established mixed infections of ( Gyrodactylus, Tricbodina, Cyclochaeta ) and a stalked protozoan on rainbow trout fingerlings. This opportunity was provided through the courtesy and cooperation of Clarence F. Pautzke, Chief Biologist for the Washington State Game Department, and Lee Walters, Superintendent of the Washington State Hatchery at Seward Park, Seattle.

Progressive Fish-Culturist↗

Hydrologic inventory of the Lompoc subarea, Santa Ynez River basin, Santa Barbara County, California, 1957-62

Hydrologic data collected during the climatically near-average 6-year period of inventory 1957-62 provide the basis for making estimates of supply to and demand from the Lompoc subarea of the Santa Ynez River basin and changes in the quantity of water stored in the deposits of the basin. The hydrologic inventory presents gains or accretions to the water supply, as inflow, equated with loss by water demands, as outflow. The difference is the ground-water storage change. Items of inflow include precipitation, surface and subsurface inflow, irrigation return, and sewage effluent. Items of outflow include surface and subsurface outflow, evapotranspiration, and water pumped for irrigation and other uses. Ground-water storage changes occurred as depletions of the shallow water body beneath the eastern and central parts of the Lompoc plain and beneath the upland part of the Lompoc subarea to the north and east. The estimated annual depletion of storage averaged 3,000 acre-feet. A near balance between inflow and outflow is indicated by a calculated difference of 5,000 acre-feet of accretion and an observed depletion of ground water in storage of about 3,000 acre-feet. The difference of 8,000 acre-feet between the two values, considering the magnitude of total inflow and outflow--110,000 and 105,000 acre-feet, is not significant. For the period of inventory, more water was discharged from the basin by flow in the Santa Ynez River than by pumping from wells. The near balance between inflow and outflow for a period of near-average climatic conditions, in general, substantiates a previous estimate that perennial pumpage is as much as about 20,000 acre-feet. However, water in storage will be depleted if the progressive change in the ratio of irrigation pumpage to other pumpage continues. Even though the hydrologic balance is maintained, changes in chemical quality of the ground water, due to recycling of irrigation water and inflow of poor-quality connate water from the consolidated rocks, indicate that chemical equilibrium has not been reached. Perennial supply under the 1957-62 conditions of inventory is estimated to be between 24,000 and 26,000 acre-feet.

California↗

Geology of the Deep Creek area, Washington, and its regional significance

This report, although primarily concerned with the stratigraphy and structure of a lead-zinc mining district in northern Stevens County, Washington, discusses and integrates the geology of the region about the Deep Creek area. Although the study centers in an area of about 200 square miles immediately south of the International Boundary, the regional background comes from: (1)the previously undescribed Northport quadrangle to the west, (2) published reports and reconnaissance of the Metaline quadrangle to the east, and (3) from published reports and maps of a 16 mile wide area that lies to the north adjacent to these three quadrangles in British Columbia. The report is divided into three parts: (1) descriptions of rocks and structures of the Deep Creek area, (2) descriptions of the regional setting of the Deep Creek area, and (3) an analysis and interpretation of the depositional and tectonic events that produced the geologic features exposed today. In the Deep Creek area surficial deposits of sand and gravel of glacial origin cover much of the consolidated rocks, which range in age from greenschist of the late Precambrlan to albite granite of the Eocene. Three broad divisions of depositional history are represented: (1) Precambrian, (2) lower Paleozoic and (3) upper Paleozoic; the record of the Mesozoic and Eocene is fragmentary. The lower Paleozoic division is the only fossil-controlled sequence; the age of the other two divisions were established by less direct methods. Both Precambrian and upper Paleozoic sequences are dominated by fine-grained detrital sediments, the Precambrian tending towards the alumina-rich and the upper Paleozoic tending towards the black shale facies with high silica. Neither sequence has more than trivial amounts of coarse clastics. Both include limestones, but in minor abundance. The lower Paleozoic sequence, on the other hand, represents a progressive change in deposition. The sequence began during the very late Precambrian with the deposition of clean quartz sand. This was followed by the accumulation of a comparatively thin limestone unit succeeded by a thick shale. The shale grades into a thick carbonate unit which in turn is overlain by black graptolitic slates (Ordovician). This general order of deposition holds for the Cambro-Ordovician throughout the area. Precambrian rocks indigenous to the Deep Creek area, have undergone at least six tectonic events of greatly different intensities. The first three of these events are epeirogentic, the fourth involves intense folding, the fifth, crossfolding, and the sixth, block faulting without folding. These events are dated with varying degrees of precision. The two epeirogentic events of the Precambrian, one gentle folding at the beginning of Windermere time and the other high angle faulting and volcanism in mid-Windermere time, did little to deform or metamorphose the rocks. The third event consists of uplift of northern Idaho and adjacent Montana and westward decollement thrusting of essentially unfolded lower Paleozoic rocks. The decollement faulting is inferred to explain anomalous rock distribution and cannot be accurately dated. It occurred sometime after the Devonian and before the Jurassic. A late Paleozoic age is favored.

British Columbia, Idaho, Washington↗

Is there a basin-centered gas accumulation in Cotton Valley group sandstones, Gulf Coast basin, U.S.A.?

The U.S. Geological Survey (USGS), in cooperation with the U.S. Department of Energy, is reevaluating the resource potential of selected domestic basin-centered gas accumulations. Basin-centered gas accumulations are characterized by presence of gas in extensive low-permeability (tight) reservoirs in which conventional seals and trapping mechanisms are absent, abnormally high or low reservoir pressures exist, and gas-water contacts are absent. In 1995, the USGS assessed one basin-centered gas play and two conventional plays within the trend of Jurassic and Cretaceous Cotton Valley Group fluvial-deltaic and barrier island/strand plain sandstones across the onshore northern Gulf of Mexico Basin. Detailed evaluation of geologic and production data provides new insights into these Cotton Valley plays. Two Cotton Valley sandstone trends are identified based on reservoir properties and gas-production characteristics. Transgressive blanket sandstones across northern Louisiana have relatively high porosity and permeability and do not require fracture stimulation to produce gas at commercial rates. South of this trend, and extending westward into eastern Texas, massive sandstones of the Cotton Valley trend exhibit low porosity and permeability and require fracture stimulation. The high permeability of Cotton Valley blanket sandstones is not conducive to the presence of basin-centered gas, but low permeability massive sandstones provide the type of reservoir in which basin-centered gas accumulations commonly occur. Data on source rocks, including burial and thermal history, are consistent with the interpretation of potential basin centered gas within Cotton Valley sandstones. However, pressure gradients throughout most of the blanket- and massive sandstone trends are normal or nearly normal, which is not characteristic of basin-centered gas accumulations. The presence of gas-water contacts in at least seven fields across the blanket-sandstone trend together with relatively high permeabilities and high gas-production rates without fracture stimulation indicate that fields in this trend are conventional. Within the tight massive-sandstone trend, permeability is sufficiently low that gas-water transition zones are vertically extensive and gas-water contacts either have not been encountered or are poorly defined. With increasing depth through these transition zones, gas saturation decreases and water saturation increases until eventually gas saturations become sufficiently low that, in terms of ultimate cumulative production, wells are noncommercial. Such progressive increase in water saturation with depth suggests that poorly defined gas-water contacts probably are present below the depth at which wells become noncommercial. The interpreted presence of gas-water contacts within the tight, Cotton Valley massive-sandstone trend suggests that gas accumulations in this trend, too, are conventional, and that a basin-centered gas accumulation does not exist within Cotton Valley sandstones in the northern Gulf Basin.

Louisiana, Texas↗

ASTER-Derived 30-Meter-Resolution Digital Elevation Models of Afghanistan

INTRODUCTION The Advanced Spaceborne Thermal Emission and Reflection Radiometer (ASTER) is an imaging instrument aboard the Terra satellite, launched on December 19, 1999, as part of the National Aeronautics and Space Administration's (NASA) Earth Observing System (EOS). The ASTER sensor consists of three subsystems: the visible and near infrared (VNIR), the shortwave infrared (SWIR), and the thermal infrared (TIR), each with a different spatial resolution (VNIR, 15 meters; SWIR, 30 meters, TIR 90 meters). The VNIR system has the capability to generate along-track stereo images that can be used to create digital elevation models (DEMs) at 30-meter resolution. Currently, the only available DEM dataset for Afghanistan is the 90-meter-resolution Shuttle Radar Topography Mission (SRTM) data. This dataset is appropriate for macroscale DEM analysis and mapping. However, ASTER provides a low cost opportunity to generate higher resolution data. For this publication, study areas were identified around populated areas and areas where higher resolution elevation data were desired to assist in natural resource assessments. The higher resolution fidelity of these DEMs can also be used for other terrain analysis including landform classification and geologic structure analysis. For this publication, ASTER scenes were processed and mosaicked to generate 36 DEMs which were created and extracted using PCI Geomatics' OrthoEngine 3D Stereo software. The ASTER images were geographically registered to Landsat data with at least 15 accurate and well distributed ground control points with a root mean square error (RMSE) of less that one pixel (15 meters). An elevation value was then assigned to each ground control point by extracting the elevation from the 90-meter SRTM data. The 36 derived DEMs demonstrate that the software correlated on nearly flat surfaces and smooth slopes accurately. Larger errors occur in cloudy and snow-covered areas, lakes, areas with steep slopes, and southeastern-facing slopes. In these areas, holes, large pits, and spikes were generated by the software during the correlation process and the automatic interpolation method. To eliminate these problems, overlapping DEMs were generated and filtered using a progressive morphologic filter. The quadrangles used to delineate the DEMs in the publication were derived from the Afghan Geodesy and Cartography Head Office's (AGCHO) 1:100,000-scale maps series quadrangles. Each DEM was clipped and assigned a name according to the associated AGCHO quadrangle name. The geospatial data included in this publication are intended to be used with any GIS software packages including, but not limited to, ESRI's ArcGIS and ERDAS IMAGINE.

Data Series↗

A pan-Precambrian link between deglaciation and environmental oxidation

Despite a continuous increase in solar luminosity to the present, Earth’s glacial record appears to become more frequent, though less severe, over geological time. At least two of the three major Precambrian glacial intervals were exceptionally intense, with solid evidence for widespread sea ice on or near the equator, well within a “Snowball Earth” zone produced by ice-albedo runaway in energy-balance models. The end of the first unambiguously low-latitude glaciation, the early Paleoproterozoic Makganyene event, is associated intimately with the first solid evidence for global oxygenation, including the world’s largest sedimentary manganese deposit. Subsequent low-latitude deglaciations during the Cryogenian interval of the Neoproterozoic Era are also associated with progressive oxidation, and these young Precambrian ice ages coincide with the time when basal animal phyla were diversifying. However, specifically testing hypotheses of cause and effect between Earth’s Neoproterozoic biosphere and glaciation is complicated because large and rapid True Polar Wander events appear to punctuate Neoproterozoic time and may have episodically dominated earlier and later intervals as well, rendering geographic reconstruction and age correlation challenging except for an exceptionally well-defined global paleomagnetic database.

Open-File Report↗