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At least 1,135 records · Page 63Linked to original sources

Zooplankton dynamics in a Great Lakes connecting channel: Exploring the seasonal composition within the St. Clair-Detroit River System

The connecting channels linking the Laurentian Great Lakes provide important migration routes, spawning grounds, and nursery habitat for fish, but their role as conduits between lakes for zooplankton is less understood. To address this knowledge gap in the St. Clair–Detroit River System (SCDRS), a comprehensive survey of crustacean zooplankton was performed in both riverine and lacustrine habitats from spring to fall 2014, providing the first system-wide assessment of zooplankton in the SCDRS. Zooplankton density and biomass were greatest in northern reaches of the system (southern Lake Huron and the St. Clair River) and decreased downstream towards Lake Erie. The composition of zooplankton also changed moving downstream, transitioning from a community dominated by calanoid copepods, to more cyclopoids and cladocerans in the Detroit River, and to cladocerans dominant in western Lake Erie. Coincidentally, species richness increased as sampling progressed downstream, and we estimated that our single-year sampling regime identified ~88% of potential taxa. Other species assemblages have responded positively to recent water quality and habitat restoration efforts in the SCDRS, and this survey of the zooplankton community provides benchmark information necessary to assess its response to continued recovery. In addition, information regarding the lower trophic levels of the system is integral to understanding recruitment of ecologically and economically valuable fish species targeted for recovery in the SCDRS.

St. Clair-Detroit River System↗

Land use structures fish assemblages in reservoirs of the Tennessee River

Inputs of nutrients, sediments and detritus from catchments can promote selected components of reservoir fish assemblages, while hindering others. However, investigations linking these catchment subsidies to fish assemblages have generally focussed on one or a handful of species. Considering this paucity of community-level awareness, we sought to explore the association between land use and fish assemblage composition in reservoirs. To this end, we compared fish assemblages in reservoirs of two sub-basins of the Tennessee River representing differing intensities of agricultural development, and hypothesised that fish assemblage structure indicated by species percentage composition would differ among reservoirs in the two sub-basins. Using multivariate statistical analysis, we documented inter-basin differences in land use, reservoir productivity and fish assemblages, but no differences in reservoir morphometry or water regime. Basins were separated along a gradient of forested and non-forested catchment land cover, which was directly related to total nitrogen, total phosphorous and chlorophyll- a concentrations. Considering the extensive body of knowledge linking land use to aquatic systems, it is reasonable to postulate a hierarchical model in which productivity has direct links to terrestrial inputs, and fish assemblages have direct links to both land use and productivity. We observed a shift from an invertivore-based fish assemblage in forested catchments to a detritivore-based fish assemblage in agricultural catchments that may be a widespread pattern among reservoirs and other aquatic ecosystems.

Tennessee River↗

Fat fractal scaling of drainage networks from a random spatial network model

An alternative quantification of the scaling properties of river channel networks is explored using a spatial network model. Whereas scaling descriptions of drainage networks previously have been presented using a fractal analysis primarily of the channel lengths, we illustrate the scaling of the surface area of the channels defining the network pattern with an exponent which is independent of the fractal dimension but not of the fractal nature of the network. The methodology presented is a fat fractal analysis in which the drainage basin minus the channel area is considered the fat fractal. Random channel networks within a fixed basin area are generated on grids of different scales. The sample channel networks generated by the model have a common outlet of fixed width and a rule of upstream channel narrowing specified by a diameter branching exponent using hydraulic and geomorphologic principles. Scaling exponents are computed for each sample network on a given grid size and are regressed against network magnitude. Results indicate that the size of the exponents are related to magnitude of the networks and generally decrease as network magnitude increases. Cases showing differences in scaling exponents with like magnitudes suggest a direction of future work regarding other topologic basin characteristics as potential explanatory variables.

Water Resources Research↗

Synthesis of studies in the fall low-salinity zone of the San Francisco Estuary, September-December 2011

In fall 2011, a large-scale investigation (fall low-salinity habitat investigation) was implemented by the Bureau of Reclamation in cooperation with the Interagency Ecological Program to explore hypotheses about the ecological role of low-salinity habitat in the San Francisco Estuary—specifically, hypotheses about the importance of fall low-salinity habitat to the biology of delta smelt Hypomesus transpacificus , a species endemic to the San Francisco Estuary and listed as threatened or endangered under federal and state endangered species legislation. The Interagency Ecological Program is a consortium of 10 agencies that work together to develop a better understanding of the ecology of the Estuary and the effects of the State Water Project and Federal Central Valley Project operations on the physical, chemical, and biological conditions of the San Francisco Estuary. The fall low-salinity habitat investigation constitutes one of the actions stipulated in the Reasonable and Prudent Alternative issued with the 2008 Biological Opinion of the U.S. Fish and Wildlife Service, which called for adaptive management of fall Sacramento-San Joaquin Delta outflow following “wet” and “above normal” water years to alleviate jeopardy to delta smelt and adverse modification of delta smelt critical habitat. The basic hypothesis of the adaptive management of fall low-salinity habitat is that greater outflows move the low-salinity zone (salinity 1–6), an important component of delta smelt habitat, westward and that moving the low-salinity zone westward of its position in the fall of recent years will benefit delta smelt, although the specific mechanisms providing such benefit are uncertain. An adaptive management plan was prepared to guide implementation of the adaptive management of fall low-salinity habitat and to reduce uncertainty. This report has three major objectives: • To provide a summary of the results from the first year of coordinated fall low-salinity habitat studies and monitoring. • To provide a synthesis of the results of the fall low-salinity habitat studies and other ongoing research and monitoring, to determine if the available information supports the hypotheses behind the adaptive management of fall low-salinity habitat as set forth in the adaptive management plan. • To begin to put the results from the fall low-salinity habitat studies into context within the larger body of knowledge regarding the San Francisco Estuary and, in particular, the upper San Francisco Estuary, including the Sacramento-San Joaquin Delta, Suisun Bay, and associated embayments. The basic approach of this report is to evaluate predictions derived from the hypotheses included in the conceptual model developed within the adaptive management plan. All available data from studies and monitoring conducted in fall 2011 and similar data from fall 2006, which was the most recent wet year preceding 2011, were considered. Data from 2005 and 2010 were also considered, to include the conditions antecedent to those years. Many of the predictions either could not be evaluated with the data available, or the needed data were not collected. Most of the predictions that could be addressed involved either the abiotic habitat components (that is, the physical environment) or delta smelt responses. In general, the fall low-salinity habitat investigation has been largely inconclusive as of the writing of this report. This is not to be unexpected in the first year of what is intended to be a multi-year adaptive-management effort. This report can be viewed as the first chapter of a “living document” that is to be continually updated as part of the adaptive management cycle. The results of this report, especially predictions with insufficient data for evaluation, indicate a number of science-based approaches to improve the fall low-salinity habitat investigations: • Develop a method of measuring “hydrodynamic complexity.” This concept is central to a number of the predictions that could not be evaluated. • Determine if wind speed warrants a stand-alone prediction. The wind-speed prediction is directly related to the turbidity predictions, and wind is only one of several factors important for determining turbidity. • Determine the correct spatial and temporal scale or scales necessary for monitoring and for studies to address the predicted abiotic and biotic responses. Many of the assessments in this report were based on monthly sampling of dynamic habitat components, such as phytoplankton and zooplankton populations, that can change on daily scales. • Address the nutrient predictions as part of developing a phytoplankton production model that includes nutrient cycling and other important processes, if feasible. At a minimum develop a mechanistic conceptual model to support more processed-based interpretations of data or design of new studies, rather than making simple predictions of increase or decrease. • Determine if studies of predation rates are feasible in areas where there are delta smelt.

California↗

Water-level changes impact angler effort in a large lake: Implications for climate change

Climate change is expected to influence aquatic habitats and associated fish populations, yet we know little about the impact on recreational anglers. Our goal was to explore whether interannual fluctuations in waterbody surface area and other explanatory variables could be used as indicators of changes in angler fishing effort. Our approach leveraged a combination of remotely sensed waterbody surface area, environmental and fish population data, and onsite angler survey monitoring data for Devils Lake, North Dakota, USA during the open-water fishing period (May 1st to August 31st) for 9 years (1992–2021). The information was used to develop a dynamic waterbody size-angler effort model. Changes in waterbody surface area reliably predicted changes in angler effort (r 2 = 0.60). Increases in waterbody surface area led to increases in angler effort, and decreases in waterbody surface area led to decreases in angler effort. Our findings show promise that remotely sensed fluctuations in waterbody surface area could be used as an indicator of interannual angler effort dynamics. Dynamic waterbody size-angler effort models could provide managers the ability to predict changes in angler effort via climate-related hydrological cycles that affect the size and distribution of waterbodies on the landscape.

North Dakota↗

Late glacial–Younger Dryas climate in interior Alaska as inferred from the isotope values of land snail shells

The isotope values of fossil snail shells can be important archives of climate. Here, we present the first carbon (δ 13 C) and oxygen (δ 18 O) isotope values of snail shells in interior Alaska to explore changes in vegetation and humidity through the late-glacial period. Snail shell δ 13 C values were relatively consistent through the late glacial. However, late-glacial shell δ 13 C values are 2.8‰ higher than those of modern shells. This offset is best explained by the Suess effect and changes in the δ 13 C values of snail diet. Snail shell δ 18 O values varied through the late glacial, which can be partially explained by changes in relative humidity (RH). RH during the snail growing period was modeled based on a published flux balance model. Results suggest a dry period toward the beginning of the Bølling–Allerød (~14 ka) followed by two distinct stages of the Younger Dryas, a wetter stage in the early Younger Dryas from 12.9 to 12.3 ka, and subsequent drier stage in the late Younger Dryas between 12.3 and 11.7 ka. The results show that land snail isotopes in high-latitude regions may be used as a supplementary paleoclimate proxy to help clarify complex climate histories, such as those of interior Alaska during the Younger Dryas.

Alaska↗

Meteorites on Mars observed with Mars Exploration Rovers

Reduced weathering rates due to the lack of liquid water and significantly greater typical surface ages should result in a higher density of meteorites on the surface of Mars compared to Earth. Several meteorites were identified among the rocks investigated during Opportunity's traverse across the sandy Meridiani plains. Heat Shield Rock is a IAB iron meteorite and has been officially recognized as 'Meridiani Planum.' Barberton is olivine-rich and contains metallic Fe in the form of kamacite, suggesting a meteoritic origin. It is chemically most consistent with a mesosiderite silicate clast. Santa Catarina is a brecciated rock with a chemical and mineralogical composition similar to Barberton. Barberton, Santa Catarina, and cobbles adjacent to Santa Catarina may be part of a strewn field. Spirit observed two probable iron meteorites from its Winter Haven location in the Columbia Hills in Gusev Crater. Chondrites have not been identified to date, which may be a result of their lower strengths and probability to survive impact at current atmospheric pressures. Impact craters directly associated with Heat Shield Rock, Barberton, or Santa Catarina have not been observed, but such craters could have been erased by eolian-driven erosion.

Journal of Geophysical Research E: Planets↗

Radiocarbon dating of silica sinter deposits in shallow drill cores from the Upper Geyser Basin, Yellowstone National Park

To explore the timing of hydrothermal activity at the Upper Geyser Basin (UGB) in Yellowstone National Park, we obtained seven new accelerator mass spectrometry (AMS) radiocarbon 14 C ages of carbonaceous material trapped within siliceous sinter. Five samples came from depths of 15–152 cm within the Y-1 well, and two samples were from well Y-7 (depths of 24 cm and 122 cm). These two wells, at Black Sand and Biscuit Basins, respectively, were drilled in 1967 as part of a scientific drilling program by the U.S. Geological Survey ( White et al., 1975 ). Even with samples as small as 15 g, we obtained sufficient carbonaceous material (a mixture of thermophilic mats, pollen, and charcoal) for the 14 C analyses. Apparent time of deposition ranged from 3775 ± 25 and 2910 ± 30 14 C years BP at the top of the cores to about 8000 years BP at the bottom. The dates are consistent with variable rates of sinter formation at individual sites within the UGB over the Holocene. On a basin-wide scale, though, these and other existing 14 C dates hint that hydrothermal activity at the UGB may have been continuous throughout the Holocene.

Wyoming↗

Climate change and Arctic ecosystems: 2. Modeling, paleodata-model comparisons, and future projections

Large variations in the composition, structure, and function of Arctic ecosystems are determined by climatic gradients, especially of growing-season warmth, soil moisture, and snow cover. A unified circumpolar classification recognizing five types of tundra was developed. The geographic distributions of vegetation types north of 55°N, including the position of the forest limit and the distributions of the tundra types, could be predicted from climatology using a small set of plant functional types embedded in the biogeochemistry-biogeography model BIOME4. Several palaeoclimate simulations for the last glacial maximum (LGM) and mid-Holocene were used to explore the possibility of simulating past vegetation patterns, which are independently known based on pollen data. The broad outlines of observed changes in vegetation were captured. LGM simulations showed the major reduction of forest, the great extension of graminoid and forb tundra, and the restriction of low- and high-shrub tundra (although not all models produced sufficiently dry conditions to mimic the full observed change). Mid-Holocene simulations reproduced the contrast between northward forest extension in western and central Siberia and stability of the forest limit in Beringia. Projection of the effect of a continued exponential increase in atmospheric CO 2 concentration, based on a transient ocean-atmosphere simulation including sulfate aerosol effects, suggests a potential for larger changes in Arctic ecosystems during the 21st century than have occurred between mid-Holocene and present. Simulated physiological effects of the CO 2 increase (to >700 ppm) at high latitudes were slight compared with the effects of the change in climate.

Journal of Geophysical Research D: Atmospheres↗

Geomorphic control of landscape carbon accumulation

We use the CREEP process-response model to simulate soil organic carbon accumulation in an undisturbed prairie site in Iowa. Our primary objectives are to identify spatial patterns of carbon accumulation, and explore the effect of erosion on basin-scale C accumulation. Our results point to two general findings. First, redistribution of soil carbon by erosion results in a net increase in basin-wide carbon storage relative to a noneroding environment. Landscape-average mean residence times are increased in an eroding landscape owing to the burial/preservation of otherwise labile C. Second, field observations taken along a slope transect may overlook significant intraslope variations in carbon accumulation. Spatial patterns of modeled deep C accumulation are complex. While surface carbon with its relatively short equilibration time is predictable from surface properties, deep carbon is strongly influenced by the landscape's geomorphic and climatic history, resulting in wide spatial variability. Convergence and divergence associated with upland swales and interfluves result in bimodal carbon distributions in upper and mid slopes; variability in carbon storage within modeled mid slopes was as high as simulated differences between erosional shoulders and depositional valley bottoms. The bimodality of mid-slope C variability in the model suggests that a three-dimensional sampling strategy is preferable over the traditional two-dimensional analog or "catena" approach. Copyright 2006 by the American Geophysical Union.

Journal of Geophysical Research G: Biogeosciences↗

Likely ferromagnetic minerals identified by the Perseverance rover and implications for future paleomagnetic analyses of returned Martian samples

Although Mars today does not have a core dynamo, magnetizations in the Martian crust and in meteorites suggest a magnetic field was present prior to 3.7 billion years (Ga) ago. However, the lack of ancient, oriented Martian bedrock samples available on Earth has prevented accurate estimates of the dynamo's intensity, lifetime, and direction. Constraining the nature and lifetime of the dynamo are vital to understanding the evolution of the Martian interior and the potential habitability of the planet. The Perseverance rover, which is exploring Jezero crater, is providing an unprecedented opportunity to address this gap by acquiring absolutely oriented bedrock samples with estimated ages from ∼2.3 to >4.1 Ga. As a first step in establishing whether these samples could contain records of Martian paleomagnetism, it is important to determine their ferromagnetic mineralogy, the grain sizes of the phases, and the forms of any natural remanent magnetization. Here, we synthesize data from various Perseverance instruments to achieve those goals and discuss the implications for future laboratory paleomagnetic analyses. Using the rover's instrument payload, we find that cored samples likely contain iron oxides enriched in Cr and Ti. The relative proportions of Fe, Ti, and Cr indicate that the phases may be titanomagnetite or Fe-Ti-Cr spinels that are ferromagnetic at room temperature, but we cannot rule out the presence of non-ferromagnetic ulvöspinel, ilmenite, and chromite due to signal mixing. Importantly, the inferred abundance of iron oxides in the samples suggests that even <1 mm-sized samples will be easily measurable by present-day magnetometers.

Journal of Geophysical Research: Planets↗

Which earthquake accounts matter?

Earthquake observations contributed by human observers provide an invaluable source of information to investigate both historical and modern earthquakes. Commonly, the observers whose eyewitness accounts are available to scientists are a self‐selected minority of those who experience a given earthquake. As such these may not be representative of the overall population that experienced shaking from the event. Eyewitness accounts can contribute to modern science only if they are recorded in the first place and archived in an accessible repository. In this study, we explore the extent to which geopolitics and socioeconomic disparities can limit the number of earthquake observers whose observations can contribute to science. We first revisit a late nineteenth‐century earthquake in the central United States in 1882 that provides an illustrative example of an event that has been poorly characterized due to a reliance on English‐language archival materials. For modern earthquakes, we analyze data collected for recent earthquakes in California and India via the online “Did You Feel It?” (DYFI) system. In California, online data‐collection systems appear to be effective in gathering eyewitness accounts from a broad range of socioeconomic groups. In India, however, responses to the DYFI system reveal a strong bias toward responses from urban areas as opposed to rural settlements, as well a bias with literacy rate. The dissimilarity of our results from modern earthquakes in the United States and India provides a caution that, in some parts of the world, contributed felt reports can still potentially provide an unrepresentative view of earthquake effects, especially if online data collection systems are not designed to be broadly accessible. This limitation can in turn potentially shape our understanding of an earthquake’s impact and the characterization of seismic hazard.

Arkansas, Oklahoma, Texas↗

Recognition of oxidized sulfide minerals as an exploration guide for uranium

The difference in color between tan to red oxidized sandstone and gray reduced sandstone on either side of the reduction-oxidation (redox) interface, which is- the locus of uranium concentration in roll-type deposits, has been noted and used locally as an exploration guide within known uranium districts. Reduced sandstone is characterized in many deposits by the presence of iron sulflde minerals (particularly marcasite and pyrite) that occur as replacements of and overgrowths on iron-titanium oxide minerals and plant debris and as cement of detrital grains. Oxidation of the sulfldes by oxygenated ground water forms yellow to red ferric oxide and ferric hydroxide phases ("limonite") that replace the FeS 2 minerals. Processes other than the oxidation of sulfldes, however, can cause reddening of clastic sediments without the creation of a redox boundary, and so color alone is not a sufficient condition by which to judge the potential for uranium ore in frontier areas. Ferric oxides that form by the oxidation of iron sulflde minerals can be distinguished from other forms of ferric oxide by reflection microscopic examination of polished grain mounts- and polished thin sections'. Diagnostic features of oxidized sulfldes are limonite pseudomorphs of sulfldes and limonite containing internal textures that mimic characteristic textures of previously sulfldized detrital phases. Recognition of oxidized sulfides by reflection microscopy, then, can distinguish oxidized sandstones, which might have a redox boundary downdip and which would therefore be favorable hosts for uranium concentration, from those without such potential.

Journal of Research of the U.S. Geological Survey↗

Reexamination of the magnitudes for the 1906 and 1922 Chilean earthquakes using Japanese tsunami amplitudes: Implications for source depth constraints

Far-field tsunami records from the Japanese tide gauge network allow the reexamination of the moment magnitudes ( M w ) for the 1906 and 1922 Chilean earthquakes, which to date rely on limited information mainly from seismological observations alone. Tide gauges along the Japanese coast provide extensive records of tsunamis triggered by six great ( M w >8) Chilean earthquakes with instrumentally determined moment magnitudes. These tsunami records are used to explore the dependence of tsunami amplitudes in Japan on the parent earthquake magnitude of Chilean origin. Using the resulting regression parameters together with tide gauge amplitudes measured in Japan we estimate apparent moment magnitudes of M w 8.0–8.2 and M w 8.5–8.6 for the 1906 central and 1922 north-central Chile earthquakes. The large discrepancy of the 1906 magnitude estimated from the tsunami observed in Japan as compared with those previously determined from seismic waves ( M s 8.4) suggests a deeper than average source with reduced tsunami excitation. A deep dislocation along the Chilean megathrust would favor uplift of the coast rather than beneath the sea, giving rise to a smaller tsunami and producing effects consistent with those observed in 1906. The 1922 magnitude inferred from far-field tsunami amplitudes appear to better explain the large extent of damage and the destructive tsunami that were locally observed following the earthquake than the lower seismic magnitudes ( M s 8.3) that were likely affected by the well-known saturation effects. Thus, a repeat of the large 1922 earthquake poses seismic and tsunami hazards in a region identified as a mature seismic gap.

Journal of Geophysical Research B: Solid Earth↗

Exploration and discovery in Yellowstone Lake: Results from high-resolution sonar imaging, seismic reflection profiling, and submersible studies

Discoveries from multi-beam sonar mapping and seismic reflection surveys of the northern, central, and West Thumb basins of Yellowstone Lake provide new insight into the extent of post-collapse volcanism and active hydrothermal processes occurring in a large lake environment above a large magma chamber. Yellowstone Lake has an irregular bottom covered with dozens of features directly related to hydrothermal, tectonic, volcanic, and sedimentary processes. Detailed bathymetric, seismic reflection, and magnetic evidence reveals that rhyolitic lava flows underlie much of Yellowstone Lake and exert fundamental control on lake bathymetry and localization of hydrothermal activity. Many previously unknown features have been identified and include over 250 hydrothermal vents, several very large (>500 m diameter) hydrothermal explosion craters, many small hydrothermal vent craters (∼1–200 m diameter), domed lacustrine sediments related to hydrothermal activity, elongate fissures cutting post-glacial sediments, siliceous hydrothermal spire structures, sublacustrine landslide deposits, submerged former shorelines, and a recently active graben. Sampling and observations with a submersible remotely operated vehicle confirm and extend our understanding of the identified features. Faults, fissures, hydrothermally inflated domal structures, hydrothermal explosion craters, and sublacustrine landslides constitute potentially significant geologic hazards. Toxic elements derived from hydrothermal processes also may significantly affect the Yellowstone ecosystem.

Wyoming↗

Vulnerability of gulf ribbed mussels to marsh surface maximum temperatures

Gulf ribbed mussels ( Geukensia granosissima ) act as ecosystem engineers and reside within the marsh platform of saltmarshes across the northern Gulf of Mexico. With climate models projecting increasing temperatures, and more frequent and extreme heat events, these mussels face increasing temperature-related risks. Marsh surface and subsurface (5-cm depth) temperature was measured continuously in the summer of 2022 in south Louisiana Gulf ribbed mussel habitat at nine stations. Marsh surface maximum temperatures were 5°C higher and more variable than recorded water temperatures, exceeding 38°C for periods of up to 3 h which generally coincided with low tides and peak solar radiation. Marsh subsurface temperatures were cooler with a lower mean and maximum temperature compared with the marsh surface, but higher than adjacent water. In two laboratory experiments the acclimated and acute thermal tolerance of wild mussels collected from the saltmarsh where temperatures were recorded, were explored. G. granosissima survived more than 40 days of continuous exposure in the laboratory to mean daily temperature values recorded for the marsh and subsurface microhabitats (28°C–34°C) but their calculated median lethal time (LT 50 ) ranged from 35 to 56 days (36°C), to less than 3 days (40°C). Mussels acclimated to temperatures similar to long-term average water temperatures (28°C–32°C) and then exposed to maximum daily temperatures acutely experienced LT 50 of less than 6 days (38°C), <1 day (40°C), and of less than 5 h (42°C). For G. granosissima both their thermal tolerance and behavioral response likely contribute to their survival in the face of extreme heat events, and their resulting distribution across the marsh surface and subsurface. Overall, results indicate that ribbed mussels in coastal Louisiana may rely on their ability to migrate vertically and bury in the marsh to avoid extreme heat exposure (temperature, duration) that may be lethal. The ability of Gulf ribbed mussels to endure short-term thermal extremes may ultimately determine the mussels' use as a tool in marsh stabilization and coastal restoration.

Louisiana↗

Population connectivity of aquatic insects in a dam-regulated, desert river

Humans have exaggerated natural habitat fragmentation, negatively impacting species dispersal and reducing population connectivity. Habitat fragmentation can be especially detrimental in freshwater populations, whose dispersal is already constrained by the river network structure. Aquatic insects, for instance, are generally limited to two primary modes of dispersal: downstream drift in the aquatic juvenile life stages and flight during the terrestrial winged adult stage. Yet the impacts of large hydropower dams can make rivers uninhabitable for incoming (drifting) juvenile insects, with remaining refugia found only in tributaries. The ability of adult aquatic insects to traverse such river stretches in search of suitable tributary habitat likely depends on factors such as species-specific dispersal ability and distance between tributaries. To explore the intersection of natural and human-induced habitat fragmentation on aquatic insect dispersal ability, we quantified population genetics of three taxa with varying dispersal abilities, a caddisfly (Hydropsychidae, Hydropsyche oslari ), a mayfly (Baetidae: Fallceon quilleri ), and a water strider (Veliidae: Rhagovelia distincta ), throughout tributaries of the Colorado River in the Grand Canyon, Arizona, USA. Using 2bRAD reduced genome sequencing and landscape genetics analyses, we revealed a strong pattern of isolation by distance among mayfly populations. This contrasts with caddisfly and water strider populations, which were largely panmictic. Analysis of thousands of informative single nucleotide polymorphisms showed that realized dispersal ability may not be accurately predicted by species traits for these widespread species. Principal components analysis revealed a strong division between caddisfly populations upstream and downstream of Havasu Creek (279 km through the 390 km study reach), suggesting that the geography of the Grand Canyon imposes a dispersal barrier for this species. Our use of genetic tools in the Grand Canyon to understand population structure has enabled us to elucidate dispersal barriers for aquatic insects. Ultimately, these data may be useful in informing effective conservation management plans for understudied organisms of conservation interest.

River Research and Applications↗

Comparisons of two moments‐based estimators that utilize historical and paleoflood data for the log Pearson type III distribution

The expected moments algorithm (EMA) [ Cohn et al. , 1997 ] and the Bulletin 17B [ Interagency Committee on Water Data , 1982 ] historical weighting procedure (B17H) for the log Pearson type III distribution are compared by Monte Carlo computer simulation for cases in which historical and/or paleoflood data are available. The relative performance of the estimators was explored for three cases: fixed‐threshold exceedances, a fixed number of large floods, and floods generated from a different parent distribution. EMA can effectively incorporate four types of historical and paleoflood data: floods where the discharge is explicitly known, unknown discharges below a single threshold, floods with unknown discharge that exceed some level, and floods with discharges described in a range. The B17H estimator can utilize only the first two types of historical information. Including historical/paleoflood data in the simulation experiments significantly improved the quantile estimates in terms of mean square error and bias relative to using gage data alone. EMA performed significantly better than B17H in nearly all cases considered. B17H performed as well as EMA for estimating X 100 in some limited fixed‐threshold exceedance cases. EMA performed comparatively much better in other fixed‐threshold situations, for the single large flood case, and in cases when estimating extreme floods equal to or greater than X 500 . B17H did not fully utilize historical information when the historical period exceeded 200 years. Robustness studies using GEV‐simulated data confirmed that EMA performed better than B17H. Overall, EMA is preferred to B17H when historical and paleoflood data are available for flood frequency analysis.

Water Resources Research↗