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At least 1,153 records · Page 64Linked to original sources

Geologic interpretation and multibeam bathymetry of the sea floor in the vicinity of the Race, eastern Long Island Sound

Digital terrain models (DTMs) produced from multibeam bathymetric data provide valuable base maps for marine geological interpretations (Todd and others, 1999; Mosher and Thomson, 2002; ten Brink and others, 2004; Poppe and others, 2006a, b, c, d). These maps help define the geological variability of the sea floor (one of the primary controls of benthic habitat diversity), improve our understanding of the processes that control the distribution and transport of bottom sediments and the distribution of benthic habitats and associated infaunal community structures, and provide a detailed framework for future research, monitoring, and management activities. The bathymetric survey interpreted herein (National Oceanic and Atmospheric Administration (NOAA) survey H11250) covers roughly 94 km² of sea floor in an area where a depression along the Orient Point-Fishers Island segment of the Harbor Hill-Roanoke Point-Charlestown Moraine forms the Race, the eastern opening to Long Island Sound. The Race also divides easternmost Long Island Sound from northwestern Block Island Sound (fig. 1). This bathymetry has been examined in relation to seismic reflection data collected concurrently, as well as archived seismic profiles acquired as part of a long-standing geologic mapping partnership between the State of Connecticut and the U.S. Geological Survey (USGS). The objective of this work was to use these acoustic data sets to interpret geomorphological attributes of the sea floor, and to use these interpretations to better understand the Quaternary geologic history and modern sedimentary processes.

Connecticut;New York↗

Long-term apparent survival of a cold-stunned subpopulation of juveniles green turtles

Understanding the effects of extreme weather on animal populations is fundamental to ecological and conservation sciences and species management. Climate change has resulted in both warm and cold temperature extremes, including an increased frequency of severe cold snaps at middle latitudes in North America. These unusually cold air masses cause rapid declines in nearshore ocean temperatures in coastal areas, with detrimental effects on marine organisms. Acute cold-stun events (hereafter cold stuns) occur when hundreds to thousands of resident juvenile sea turtles fail to escape shallow water during cold snaps. Human intervention through rescue and recovery largely mitigates direct juvenile sea turtle mortality, but delayed effects of cold stuns on rescued individuals are not well understood. Our objective was to examine long-term juvenile green turtle ( Chelonia mydas ) survival across four cold stuns of varying severity in St. Joseph Bay, Florida, between 2010 and 2018. We used the classic Cormack–Jolly–Seber model in a hierarchical Bayesian framework to estimate apparent survival (i.e., emigration and mortality) of rescued turtles at different time intervals. Our results indicated about half of a cohort rescued during a severe cold stun in January 2010 likely remained in the population 1 year later, with 10%–20% remaining 4 years later, and as few as 5% by 2018. The results also suggested higher apparent survival for cohorts rescued during two subsequent milder cold stuns. Emigration was a more plausible ecological explanation for low apparent survival than delayed mortality. Potential ecological mechanisms underlying emigration include a reduction in food availability and a behavioral response to either the severe weather event or handling during rescue (or both). However, the typical annual turnover of juvenile green turtles, though assumed low, is not well known in St. Joseph Bay. Thus, our apparent survival estimates may be reflective of higher-than-expected emigration in the broader population. Our study provides important baseline information about long-term juvenile sea turtle survival after cold stuns in temperate regions. We also highlight the importance of strategic monitoring between cold stuns to examine additional ecological questions.

Florida↗

Global climate changes recorded in coastal wetland sediments: Empirical observations linked to theoretical predictions

Whether coastal areas are experiencing, and responding to, an accelerated rate of global sea-level rise (GSLR) is critically important for the ∼2 billion people living near Earth's oceans. Accretion rates from a suite of physiographically diverse coastal wetlands surrounding Long Island, NY accelerated during the 20th century at 2.3 ± 0.2 × 10 −2 mm yr −2 , which is comparable to reported rates of GSLR acceleration and global temperature changes. Wetlands varied in tidal range, salinity and geomorphic setting, and were located in embayments with limited human impacts in a region with limited and constant rates of subsidence. From geochronologies with temporal resolutions of 2–5 yr, we constructed new composite histories of sediment accretion and mineral deposition. Wetland dynamics are consistent with predictions from sedimentology and a numerical model of ecogeomorphic response, suggesting that these systems, and likely others worldwide, are responding to accelerated GSLR and related climatic changes.

New York↗

An Antarctic ecosystem value index to quantify ecological value across trophic levels and over time

The Southern Ocean around Antarctica is one of the fastest changing regions on the planet and an emerging resource frontier for fisheries. Here, we present the Antarctic Ecosystem Value Index created by merging ecosystem information across food web trophic levels, from phytoplankton to fish and penguins, to quantify the ecological value of marine areas around the Antarctic continent. We find that coastal polynyas - areas of reduced sea-ice - have Index values 31–72% higher than surrounding areas, suggesting that these areas are biologically valuable hot spots for a number of ice-dependent Antarctic Species. Using output from an Earth system model to generate future projections of the Index, we find that high-value locations, often within polynyas, are likely to continue to be valuable throughout the 21st century despite environmental changes. The Antarctic Ecosystem Value Index indicates that penguins lose importance as their habitat becomes increasingly unsuitable, so protecting high-value habitat areas may be critical for these species. This study also shows that while many high-value Index areas are within existing or proposed Marine Protected Areas, there are several opportunities for adopting additional protection, particularly in East Antarctica and the Amundsen Sea.

Nature Communications↗

Potential effects of sea-level rise on the depth to saturated sediments of the Sagamore and Monomoy flow lenses on Cape Cod, Massachusetts

In 2014, the U.S. Geological Survey, in cooperation with the Association to Preserve Cape Cod, the Cape Cod Commission, and the Massachusetts Environmental Trust, began an evaluation of the potential effects of sea-level rise on water table altitudes and depths to water on central and western Cape Cod, Massachusetts. Increases in atmospheric and oceanic temperatures arising, in part, from the release of greenhouse gases likely will result in higher sea levels globally. Increasing water table altitudes in shallow, unconfined coastal aquifer systems could adversely affect infrastructure—roads, utilities, basements, and septic systems—particularly in low-lying urbanized areas. The Sagamore and Monomoy flow lenses on Cape Cod are the largest and most populous of the six flow lenses that comprise the region’s aquifer system, the Cape Cod glacial aquifer. The potential effects of sea-level rise on water table altitude and depths to water were evaluated by use of numerical models of the region. The Sagamore and Monomoy flow lenses have a number of large surface water drainages that receive a substantial amount of groundwater discharge, 47 and 29 percent of the total, respectively. The median increase in the simulated water table altitude following a 6-foot sea-level rise across both flow lenses was 2.11 feet, or 35 percent when expressed as a percentage of the total sea-level rise. The response is nearly the same as the sea-level rise (6 feet) in some coastal areas and less than 0.1 foot near some large inland streams. Median water table responses differ substantially between the Sagamore and Monomoy flow lenses—at 29 and 49 percent, respectively—because larger surface water discharge on the Sagamore flow lens results in increased dampening of the water table response than in the Monomoy flow lens. Surface waters dampen water table altitude increases because streams are fixed-altitude boundaries that cause hydraulic gradients and streamflow to increase as sea-level rises, partially fixing the local water table altitude. The region has a generally thick vadose zone with a mean of about 38 feet; areas with depths to water of 5 feet or less, as estimated from light detection and ranging (lidar) data from 2011 and simulated water table altitudes, currently [2011] occur over about 24.9 square miles, or about 8.4 percent of the total land area of the Sagamore and Monomoy flow lenses, generally in low-lying coastal areas and inland near ponds and streams. Excluding potentially submerged areas, an additional 4.5, 9.8, and 15.9 square miles would have shallow depths to water (5 feet or less) for projected sea-level rises of 2, 4, and 6 feet above levels in 2011. The additional areas with shallow depths to water generally occur in the same areas as the areas with current [2011] depths to water of 5 feet or less: low-lying coastal areas and near inland surface water features. Additional areas with shallow depths to water for the largest sea-level rise prediction (6 feet) account for about 5.7 percent of the total land area, excluding areas likely to be inundated by seawater. The numerous surface water drainages will dampen the response of the water table to sea-level rise. This dampening, combined with the region’s thick vadose zone, likely will mitigate the potential for groundwater inundation in most areas. The potential does exist for groundwater inundation in some areas, but the effects of sea-level rise on depths to water and infrastructure likely will not be substantial on a regional level.

Massachusetts↗

Use of vertical temperature gradients for prediction of tidal flat sediment characteristics

Sediment characteristics largely govern tidal flat morphologic evolution; however, conventional methods of investigating spatial variability in lithology on tidal flats are difficult to employ in these highly dynamic regions. In response, a series of laboratory experiments was designed to investigate the use of temperature diffusion toward sediment characterization. A vertical thermistor array was used to quantify temperature gradients in simulated tidal flat sediments of varying compositions. Thermal conductivity estimates derived from these arrays were similar to measurements from a standard heated needle probe, which substantiates the thermistor methodology. While the thermal diffusivities of dry homogeneous sediments were similar, diffusivities for saturated homogeneous sediments ranged approximately one order of magnitude. The thermal diffusivity of saturated sand was five times the thermal diffusivity of saturated kaolin and more than eight times the thermal diffusivity of saturated bentonite. This suggests that vertical temperature gradients can be used for distinguishing homogeneous saturated sands from homogeneous saturated clays and perhaps even between homogeneous saturated clay types. However, experiments with more realistic tidal flat mixtures were less discriminating. Relationships between thermal diffusivity and percent fines for saturated mixtures varied depending upon clay composition, indicating that clay hydration and/or water content controls thermal gradients. Furthermore, existing models for the bulk conductivity of sediment mixtures were improved only through the use of calibrated estimates of homogeneous end-member conductivity and water content values. Our findings suggest that remotely sensed observations of water content and thermal diffusivity could only be used to qualitatively estimate tidal flat sediment characteristics.

Journal of Geophysical Research C: Oceans↗

Comparing simulated carbon budget of a Lei bamboo forest with flux tower data

Bamboo forest ecosystem is the part of the forest ecosystem. The distribution area of bamboo forest is limited, but in somewhere, like south China, it has been cultivate for a long time with human management. As the climate change has been take great effect on forest carbon budget, many researchers pay attention to the carbon budget in bamboo forest. Moreover cultivative management had a significant impact on the bamboo forest carbon budget. In this study, we modified a terrestrial ecosystem model named Integrated Biosphere Simulator (IBIS) according the management of Lei bamboo forest. Some management, like fertilization, shoots harvesting and organic mulching in winter, had been incorporated into model. Then we had compared model results with the observation data from a Lei bamboo flux tower. The simulated and observed results had achieved good consistency. Our simulated Lei bamboo forest yearly net ecosystem productivity (NEP) was 0.41 kgC a -1 of carbon, which is very close to the observation data 0.45 kgC a -1 of carbon. And the monthly simulated results can take the change of carbon budget in each month, similar to the data we got from flux tower. It reflects that the modified IBIS model can characterize the growth of bamboo forest and perform the simulation well. And then two groups of simulations were set to evaluate effects of cultivative managements on Lei bamboo forests carbon budget. And results showed that both fertilization and organic mulching had taken positive effects on Lei bamboo forests carbon sequestration.

Terrestrial, Atmospheric and Oceanic Sciences↗

Timescales and processes of methane hydrate formation and breakdown, with application to geologic systems

Gas hydrate is an ice-like form of water and low molecular weight gas stable at temperatures of roughly -10ºC to 25ºC and pressures of ~3 to 30 MPa in geologic systems. Natural gas hydrates sequester an estimated one-sixth of Earth’s methane and are found primarily in deepwater marine sediments on continental margins, but also in permafrost areas and under continental ice sheets. When gas hydrate is removed from its stability field, its breakdown has implications for the global carbon cycle, ocean chemistry, marine geohazards, and interactions between the geosphere and the ocean-atmosphere system. Gas hydrate breakdown can also be artificially driven as a component of studies assessing the resource potential of these deposits. Furthermore, geologic processes and perturbations to the ocean-atmosphere system (e.g., warming temperatures) can cause not only dissociation, but also more widespread dissolution of hydrate or even formation of new hydrate in reservoirs. Linkages between gas hydrate and disparate aspects of Earth’s near-surface physical, chemical, and biological systems render an assessment of the rates and processes affecting the persistence of gas hydrate an appropriate Centennial Grand Challenge. This paper reviews the thermodynamic controls on methane hydrate stability and then describes the relative importance of kinetic, mass transfer, and heat transfer processes in the formation and breakdown (dissociation and dissolution) of gas hydrate. Results from numerical modeling, laboratory, and some fields studies are used to summarize the rates of hydrate formation and breakdown, followed by an extensive treatment of hydrate dynamics in marine and cryospheric gas hydrate systems.

Journal of Geophysical Research-Solid Earth↗

Limiting the effects of earthquakes on gravitational-wave interferometers

Ground-based gravitational wave interferometers such as the Laser Interferometer Gravitational-wave Observatory (LIGO) are susceptible to ground shaking from high-magnitude teleseismic events, which can interrupt their operation in science mode and significantly reduce their duty cycle. It can take several hours for a detector to stabilize enough to return to its nominal state for scientific observations. The down time can be reduced if advance warning of impending shaking is received and the impact is suppressed in the isolation system with the goal of maintaining stable operation even at the expense of increased instrumental noise. Here, we describe an early warning system for modern gravitational-wave observatories. The system relies on near real-time earthquake alerts provided by the U.S. Geological Survey (USGS) and the National Oceanic and Atmospheric Administration (NOAA). Preliminary low latency hypocenter and magnitude information is generally available in 5 to 20 min of a significant earthquake depending on its magnitude and location. The alerts are used to estimate arrival times and ground velocities at the gravitational-wave detectors. In general, 90% of the predictions for ground-motion amplitude are within a factor of 5 of measured values. The error in both arrival time and ground-motion prediction introduced by using preliminary, rather than final, hypocenter and magnitude information is minimal. By using a machine learning algorithm, we develop a prediction model that calculates the probability that a given earthquake will prevent a detector from taking data. Our initial results indicate that by using detector control configuration changes, we could prevent interruption of operation from 40 to 100 earthquake events in a 6-month time-period.

Classical and Quantum Gravity↗

Hemispheric-scale wind selection facilitates bar-tailed godwit circum-migration of the Pacific

The annual 29 000 km long migration of the bar-tailed godwit, Limosa lapponica baueri, around the Pacific Ocean traverses what is arguably the most complex and seasonally structured atmospheric setting on Earth. Faced with marked variation in wind regimes and storm conditions across oceanic migration corridors, individuals must make critical decisions about when and where to fly during nonstop flights of a week's duration or longer. At a minimum, their decisions will affect wind profitability and thus reduce energetic costs of migration; in the extreme, poor decisions or unpredictable weather events will risk survival. We used satellite telemetry to track the annual migration of 24 bar-tailed godwits and analysed their flight performance relative to wind conditions during three major migration legs between nonbreeding grounds in New Zealand and breeding grounds in Alaska. Because flight altitudes of birds en route were unknown, we modelled flight efficiency at six geopotential heights across each migratory segment. Birds selected departure dates when atmospheric conditions conferred the greatest wind assistance both at departure and throughout their flights. This behaviour suggests that there exists a cognitive mechanism, heretofore unknown among migratory birds, that allows godwits to assess changes in weather conditions that are linked (i.e. teleconnected) across widely separated atmospheric regions. Godwits also showed adaptive flexibility in their response not only to cues related to seasonal changes in macrometeorology, such as spatial shifting of storm tracks and temporal periods of cyclogenesis, but also to cues associated with stochastic events, especially at departure sites. Godwits showed limits to their response behaviours, however, especially relative to rapidly developing stochastic events while en route. We found that flight efficiency depended significantly upon altitude and hypothesize that godwits exhibit further adaptive flexibility by varying flight altitude en route to optimize flight efficiency.

Animal Behaviour↗

Evidence for radionuclide transport by sea ice

Ice and ice-borne sediments were collected across the Arctic Basin during the Arctic Ocean Section, 1994 (AOS-94), a recent US/Canada trans- Arctic expedition. Sediments were analysed for 137Cs, clay mineralogy and carbon. Concentrations of 137Cs ranged from 5 to 73 Bq kg-1 in the ice- borne sediments. Concentrations of ice samples without sediment were all less than 1 Bq m-3. The sediment sample with the highest 137Cs concentration (73 Bq kg-1)was collected in the Beaufort Sea. This concentration was significantly higher than in bottom sediments collected in the same area, indicating an ice transport mechanism from an area with correspondingly higher concentrations. Recent results from the application of ice transport models and sediment analyses indicate that it is very likely that sediments are transported by ice, from the Siberian shelf areas to the Beaufort Sea.

Conference Paper↗

Tracking millennial-scale Holocene glacial advance and retreat using osmium isotopes: Insights from the Greenland ice sheet

High-resolution Os isotope stratigraphy can aid in reconstructing Pleistocene ice sheet fluctuation and elucidating the role of local and regional weathering fluxes on the marine Os residence time. This paper presents new Os isotope data from ocean cores adjacent to the West Greenland ice sheet that have excellent chronological controls. Cores MSM-520 and DA00-06 represent distal to proximal sites adjacent to two West Greenland ice streams. Core MSM-520 has a steadily decreasing Os signal over the last 10 kyr ( 187 Os/ 188 Os = 1.35–0.81). In contrast, Os isotopes from core DA00-06 (proximal to the calving front of Jakobshavn Isbræ) highlight four stages of ice stream retreat and advance over the past 10 kyr ( 187 Os/ 188 Os = 2.31; 1.68; 2.09; 1.47). Our high-resolution chemostratigraphic records provide vital benchmarks for ice-sheet modelers as we attempt to better constrain the future response of major ice sheets to climate change. Variations in Os isotope composition from sediment and macro-algae (seaweed) sourced from regional and global settings serve to emphasize the overwhelming effect weathering sources have on seawater Os isotope composition. Further, these findings demonstrate that the residence time of Os is shorter than previous estimates of ∼10 4 yr.

Quaternary Science Reviews↗

Crystal chemistry of thallium in marine ferromanganese deposits

Our understanding of the up to 7 orders of magnitude partitioning of thallium (Tl) between seawater and ferromanganese (FeMn) deposits rests upon two foundations: (1) being able to quantify the Tl(I)/Tl(III) ratio that reflects the extent of the oxidative scavenging of Tl by vernadite (δ-MnO 2 ), the principle manganate mineral in oxic and suboxic environments, and (2) being able to determine the sorption sites and bonding environments of the Tl(I) and Tl(III) complexes on vernadite. We investigated these foundations by determining the oxidation state and chemical form of Tl in FeMn crusts and nodules from the global oceans at a Tl concentration ranging from several hundred ppm (mg/kg) down to the low ppm level. Seventeen hydrogenetic crusts and eleven nodules from the Pacific, Atlantic, Arctic, and Indian Oceans and Baltic Sea were characterized by chemical analysis, X-ray diffraction, Raman spectroscopy, Mn K-edge X-ray absorption near-edge structure (XANES) spectroscopy, Tl L 3 -edge high energy-resolution XANES (HR-XANES) spectroscopy, and extended X-ray absorption fine structure (EXAFS) spectroscopy. The Tl concentration increases linearly from 1.5 to 319 ppm with the Mn/Fe ratio in Fe-vernadite from hydrogenetic crusts, whereas the percentage of Tl(III) to total Tl varies between 62 and 100% independent of both the Mn/Fe and Mn(III)/Mn(IV) ratios. The data, complemented by molecular modeling of the Tl(III) coordination and by XANES calculations, suggest that the enrichment of Tl in Fe-vernadite is driven by (1) the oxidative uptake of octahedrally coordinated Tl(III) above the vacant Mn(IV) sites and on the layer edges of the vernadite layers, and (2) the sorption of Tl(I) on the crystallographic site of Ba at the surface of the vernadite layers, which is an analogue to the surface site of K. Thus, Tl has a high affinity for vernadite regardless of its oxidation state, and the lack of correlation between Tl(III) and the Mn/Fe ratio in FeMn crusts is explained by the affinity of Tl(I) for the Ba site. The Tl concentration varies between 2 and 112 ppm in surface and buried nodules independent of the Mn/Fe ratio, and the percentage of Tl(III) varies between 0 and 100%. Nodules subjected to sediment diagenesis with replacement of layered vernadite by tunneled todorokite are depleted in Tl and have more reduced thallium. Knowledge of the complex interplay of mineralogy, surface chemical processes, and crystallographic siting is required to understand the variability of Tl concentrations, redox state, and acquisition processes by marine FeMn deposits.

ACS Earth and Space Chemistry↗

Re-evaluating the tectonic affinity of Proterozoic crustal provinces in the Southwest USA: Detrital zircon evidence for a Laurentian source for the Yavapai and Mojave Provinces

Models for crustal growth commonly involve the accretion of dominantly juvenile crust to continental margins. However, tracking the provenance and tectonic affinity of dominantly juvenile crustal provinces is challenging. This difficulty is highlighted by uncertainty over whether the Yavapai and Mojave Provinces, part of the >1300-km-wide system of Proterozoic orogens in southwestern Laurentia, (1) have similar crustal and tectonic histories and (2) if they formed on or near Laurentian, Australian, or Antarctic cratons. Here, we contribute new large-n detrital zircon U-Pb geochronology and Sm-Nd whole-rock isotope geochemistry to help constrain the provenance of the Yavapai Province and address these broader questions. Yavapai Province metasedimentary rocks from central Colorado in the southwestern USA have abundant pre-1.80 Ga detrital zircon grains, with ca. 1.85 Ga, 2.30 Ga, and 2.50−2.70 Ga peaks, and variable amounts of 1.79−1.78 Ga grains. Evolved whole-rock Sm-Nd isotopic compositions from these rocks, including 2.36−2.08 Ga model ages, also suggest mixing between 1.79 Ga and 1.78 Ga Yavapai Province arcs and early Proterozoic to Archean sources. Nearly identical pre-1.8 Ga detrital and inherited zircon age distributions suggest that the Yavapai and Mojave Provinces formed on and/or incorporated similar material. The Trans-Hudson orogen, and to a slightly lesser extent the Penokean orogen, provide the closest matches to the pre-1.80 Ga material in the Yavapai and Mojave Provinces. This similarity, coupled with a weaker resemblance to Australian and Antarctic sources, support a Laurentian affinity for the Yavapai and Mojave Provinces. We envision Paleoproterozoic arc formation on both oceanic crust and material of Laurentian affinity and multiple phases of arc-back-arc genesis, closure, and accretionary tectonism along the long-lived margin of the supercontinent Columbia (Nuna).

Arizona, Colorado, Idaho, New Mexico, Utah, Wyomin↗

Lead and strontium isotope studies of the Boulder Batholith, Southwestern Montana

The isotopic composition of lead in feldspar varies widely from pluton to pluton of the Late Cretaceous Boulder batholith, encompassing the following ranges in isotopic values: 16.9-18.1 for Pb 206 /Pb 204 ; 15.4-15.7 for Pb 207 /Pb 204 ; and 37.7-38.5 for Pb 205 /Pb 204 . Although each pluton has a characteristic isotopic composition, the fact that Pb 206 /Pb 204 for the Butte Quartz Monzonite varies by 1.3 percent, compared to a range of about 8.6 percent for the batholith as a whole, suggests that perfect isotopic mixing of the magma was not always attained. Whole rock initial Sr 87 /Sr 88 for the entire batholith ranges from 0.705 to 0.710, comparable to ranges for the Sierra Nevada and British Columbia batholiths. Ore leads of the Butte district are isotopically very similar to feldspar leads of the host Butte Quartz Monzonite. This isotopic similarity was interpreted by Murthy and Patterson (1961a) to indicate complete mixing of independently derived feldspar lead and ore lead rather than close genetic relationship. However, detailed study of the only sample in the present investigation, from the Donald pluton, that clearly has mixed leads shows significant differences in lead isotopic composition between megacryst K-feldspar and both the groundmass K-feldspar and plagioclase, indicating that isotopic mixing of leads is not complete, even within a single hand specimen. Spatial relations of isotopic differences among the various plutons strongly suggest that complete mixing of leads of different isotopic composition from the magma did not occur in the Butte Quartz Monzonite nor in any other pluton of the batholith, and that the isotopic similarity between Butte ore and feldspar lead of the host rock indeed stems from a genetic association. Lead and strontium isotope ratios generally behave in a similar way; that is, the more radiogenic the lead in a rock, the more radiogenic the strontium. The source of the lead which could produce the isotope variations observed for the batholith is calculated to have a mean age of about 2,200 m.y., which is compatible with ages of Precambrian crystalline rocks in the region, and an isotopic makeup with U 238 /pb 204 <9, Th/U > 4, and Rb/Sr of 0.03-0.09. However, no large volumes of prebatholith rocks exposed in the Boulder batholith region are of the required isotopic composition, which is typical of basaltic-gabbroic or quartz dioritic chemical composition. Models involving complete melting of possible source materials to account for the isotope variations are considered and rejected. Mechanisms involving par.tial melting of lower crustal or upper mantle source material appear to be the most viable in explaining the observed isotopic compositions. Assimilation of upper crustal material (i.e., the Precambrian Belt and pre-Belt rocks, in which the lead and strontium are more radiogenic than in the batholith rocks) may have accompanied partial melting of the lower crust or upper mantle and indeed must have played a major role if the source material had a composition isotopically comparable to that observed for oceanic tholelites (i.e., low Th/U, U 238 /Pb 204 and Rb/Sr), but would be relatively unimportant if the source material were sufficiently radiogenic to begin with as might be expected from basalt, gabbro, or quartz diorite compositions 2,200 m.y. old. © 1968 Society of Economic Geologists, Inc.

Montana↗

Ground-water recharge in the arid and semiarid southwestern United States

Ground-water recharge in the arid and semiarid southwestern United States results from the complex interplay of climate, geology, and vegetation across widely ranging spatial and temporal scales. Present-day recharge tends to be narrowly focused in time and space. Widespread water-table declines accompanied agricultural development during the twentieth century, demonstrating that sustainable ground-water supplies are not guaranteed when part of the extracted resource represents paleorecharge. Climatic controls on ground-water recharge range from seasonal cycles of summer monsoonal and winter frontal storms to multimillennial cycles of glacial and interglacial periods. Precipitation patterns reflect global-scale interactions among the oceans, atmosphere, and continents. Large-scale climatic influences associated with El Niño and Pacific Decadal Oscillations strongly, but irregularly, control weather in the study area, so that year-to-year variations in precipitation and ground-water recharge are large and difficult to predict. Proxy data indicate geologically recent periods of naturally occurring multidecadal droughts unlike any in the modern instrumental record. Any anthropogenically induced climate change will likely reduce ground-water recharge through diminished snowpack at higher elevations. Future changes in El Niño and monsoonal patterns, both crucial to precipitation in the study area, are highly uncertain in current models. Current land-use modifications influence ground-water recharge through vegetation, irrigation, and impermeable area. High mountain ranges bounding the study area—the San Bernadino Mountains and Sierra Nevada to the west, and the Wasatch and southern Colorado Rocky Mountains to the east—provide external geologic controls on ground-water recharge. Internal geologic controls stem from tectonic processes that led to numerous, variably connected alluvial-filled basins, exposure of extensive Paleozoic aquifers in mountainous recharge areas, and distinct modes of recharge in the Colorado Plateau and Basin and Range subregions. The chapters in this professional paper present (first) an overview of climatic and hydrogeologic framework (chapter A), followed by a regional analysis of ground-water recharge across the entire study area (chapter B). These are followed by an overview of site-specific case studies representing different subareas of the geographically diverse arid and semiarid southwestern United States (chapter C); the case studies themselves follow in chapters D–K. The regional analysis includes detailed hydrologic modeling within the framework of a high-resolution geographic-information system (GIS). Results from the regional analysis are used to explore both the distribution of ground-water recharge for mean climatic conditions as well as the influence of two climatic patterns—the El Niño-Southern Oscillation and Pacific Decadal Oscillation—that impart a high degree of variability to the hydrologic cycle. Individual case studies employ a variety of geophysical and geochemical techniques to investigate recharge processes and relate the processes to local geologic and climatic conditions. All of the case studies made use of naturally occurring tracers to quantify recharge. Thermal and geophysical techniques that were developed in the course of the studies are presented in appendices. The quantification of ground-water recharge in arid settings is inherently difficult due to the generally low amount of recharge, its spatially and temporally spotty nature, and the absence of techniques for directly measuring fluxes entering the saturated zone from the unsaturated zone. Deep water tables in arid alluvial basins correspond to thick unsaturated zones that produce up to millennial time lags between changes in hydrologic conditions at the land surface and subsequent changes in recharge to underlying ground water. Recent advances in physical, chemical, isotopic, and modeling techniques have fostered new types of recharge assessments. Chemical and isotopic techniques include an increasing variety of environmental tracers that are useful and robust. Physically based techniques include the use of heat as a tracer and computationally intensive geophysical imaging tools for characterizing hydrologic conditions in the unsaturated zone. Modeling-based techniques include spatially distributed water-budget computations using high-resolution remotely sensed and ground-based geographic data. Application of these techniques to arid and semiarid settings in the southwestern United States reveals distinct patterns of recharge corresponding to geologic setting, climatic and vegetative history, and land use. Analysis of recharge patterns shows that large expanses of alluvial basin floors are drying out under current climatic conditions, with little to no recharge to underlying ground water. Ground-water recharge occurs mainly beneath upland catchments in which thin soils overlie permeable bedrock, ephemeral channels in which flow may average only several hours per year, and active agricultural areas. The chapters in this professional paper represent a coordinated attempt to develop a better understanding of one of the Nation's most critical yet difficult-to-quantify renewable resources.

Professional Paper↗

Geese migrating over the Pacific Ocean select altitudes coinciding with offshore wind turbine blades

Renewable energy facilities are a key part of mitigating climate change, but can pose threats to wild birds and bats, most often through collisions with infrastructure. Understanding collision risk and the factors affecting it can help minimize impacts on wild populations. For wind turbines, flight altitude is a major factor influencing collision risk, and altitude-selection analyses can evaluate when and why animals fly at certain altitudes under certain conditions. We used GPS tags to track Pacific Flyway geese (Pacific greater white-fronted goose, tule greater white-fronted goose and lesser snow goose) on transoceanic migrations between Alaska and the Pacific Coast of the contiguous United States, an area where offshore windfarm development is beginning. We evaluated how geographic and environmental covariates affected (1) whether birds were at rest on the water versus in flight (binomial model) and (2) altitude selection when in flight (similar to a step-selection framework). We then used a Monte Carlo simulation to predict the probability of flying at each altitude under various conditions, considering both the fly/rest decision and altitude selection. In both spring and fall, geese showed strong selection for altitudes within the expected rotor-swept zone (20–200 m asl), with 56% of locations expected to be within the rotor-swept zone under mean daylight conditions and 28% at night. This indicates a high possibility that migrating geese may be at risk of collision when passing through windfarms. Although there was some variation across subspecies, geese were most likely to be within the rotor-swept zone with little wind or light tailwinds, low clouds, little to no precipitation and moderate to cool air temperatures. Geese were unlikely to be in the rotor-swept zone at night, when most individuals were at rest on the water. Synthesis and applications . These results could be used to inform windfarm management, including decisions to shut down turbines when collision risk is high. The altitude-selection framework we demonstrate could facilitate further study of other bird species to develop a holistic view of how windfarms in this area could affect the migratory bird community as a whole.

Journal of Applied Ecology↗

Geologic constraints on the formation and evolution of Saturn’s mid-sized moons

Saturn’s mid-sized icy moons have complex relationships with Saturn’s interior, the rings, and with each other, which can be expressed in their shapes, interiors, and geology. Observations of their physical states can, thus, provide important constraints on the ages and formation mechanism(s) of the moons, which in turn informs our understanding of the formation and evolution of Saturn and its rings. Here, we describe the cratering records of the mid-sized moons and the value and limitations of their use for constraining the histories of the moons. We also discuss observational constraints on the interior structures of the moons and geologically-derived inferences on their thermal budgets through time. Overall, the geologic records of the moons (with the exception of Mimas) include evidence of epochs of high heat flows, short- and long-lived subsurface oceans, extensional tectonics, and considerable cratering. Curiously, Mimas presents no clear evidence of an ocean within its surface geology, but its rotation and orbit indicate a present-day ocean. While the moons need not be primordial to produce the observed levels of interior evolution and geologic activity, there is likely a minimum age associated with their development that has yet to be determined. Uncertainties in the populations impacting the moons makes it challenging to further constrain their formation timeframes using craters, whereas the characteristics of their cores and other geologic inferences of their thermal evolutions may help narrow down their potential histories. Disruptive collisions may have also played an important role in the formation and evolution of Saturn’s mid-sized moons, and even the rings of Saturn, although more sophisticated modeling is needed to determine the collision conditions that produce rings and moons that fit the observational constraints. Overall, the existence and physical characteristics of Saturn’s mid-sized moons provide critical benchmarks for the development of formation theories.

Space Science Reviews↗