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The rare-earth elements: Vital to modern technologies and lifestyles

Until recently, the rare-earth elements (REEs) were familiar to a relatively small number of people, such as chemists, geologists, specialized materials scientists, and engineers. In the 21st century, the REEs have gained visibility through many media outlets because of (1) the public has recognized the critical, specialized properties that REEs contribute to modern technology, as well as (2) China's dominance in production and supply of the REEs and (3) international dependence on China for the majority of the world's REE supply. Since the late 1990s, China has provided 85–95 percent of the world’s REEs. In 2010, China announced their intention to reduce REE exports. During this timeframe, REE use increased substantially. REEs are used as components in high technology devices, including smart phones, digital cameras, computer hard disks, fluorescent and light-emitting-diode (LED) lights, flat screen televisions, computer monitors, and electronic displays. Large quantities of some REEs are used in clean energy and defense technologies. Because of the many important uses of REEs, nations dependent on new technologies, such as Japan, the United States, and members of the European Union, reacted with great concern to China’s intent to reduce its REE exports. Consequently, exploration activities intent on discovering economic deposits of REEs and bringing them into production have increased.

Fact Sheet↗

Water-quality assessment of the upper Snake River Basin, Idaho and western Wyoming — Summary of aquatic biological data for surface water through 1992

The 35,800-square-mile upper Snake River Basin in eastern Idaho and western Wyoming was one of 20 areas selected for water-quality study under the National Water-Quality Assessment Program. As part of the initial phase of the study, data were compiled to describe the current (1992) and historical aquatic biological conditions of surface water in the basin. This description of natural and human environmental factors that affect aquatic life provides the framework for evaluating the status and trends of aquatic biological conditions in streams of the basins. Water resource development and stream alterations, irrigated agriculture, grazing, aquaculture, and species introductions have affected stream biota in the upper Snake River Basin. Cumulative effects of these activities have greatly altered cold-water habitat and aquatic life in the middle Snake River reach (Milner Dam to King Hill). Most of the aquatic Species of Special Concern in the basin , consisting of eight native mollusks and three native fish species, are in this reach of the Snake River. Selected long-term studies, including comprehensive monitoring on Rock Creek, have shown reduced pollutant loadings as a result of implementing practice on cropland; however, aquatic life remains affected by agricultural land use. Community level biological data are lacking for most of the streams in the basin, especially for large river. Aquatic life used to assess water quality of the basin includes primarily macroinvertebrate and fish communities. At least 26 different macroinvertebrate and fish community metrics have been utilized to assess water quality of the basin. Eight species of macroinvertebrates and fish are recognized as Species of Special Concern. The native fish faunas of the basin are composed primarily of cold-water species representing 5 families and 26 species. An additional 13 fish species have been introduced to the basin. Concentrations of synthetic organic compounds and trace-element contaminants in whole fish collected in the basin during 1970-90 generally did not exceed National Academy of Sciences and National Academy of Engineering concentration guidelines or the 1980-81 geometric mean concentrations from samples collected as part of the U.S. Fish and Wildlife Service National Contaminant Biomonitoring Program. Currently, there are no State fish consumption advisories on any streams in the basin, The organochlorine compounds DDT and PCB's were the most frequently detected fish tissue contaminant. Selected long-term data on DDT, its metabolites, and PCB's indicate decreasing concentrations of these compounds. Arsenic, mercury, and selenium were slightly elevated compared with nationwide baseline concentrations and may indicate bioaccumularion in the food chain. Concentrations of most other trace elements in fish tissue were below levels of concerns for the protection of humans and wildlife.

Idaho, Wyoming↗

Nitrogen and phosphorus uptake in the Everglades Conservation Areas, Florida, with special reference to the effects of backpumping runoff

In much of the water pumped into the northern Everglades, Florida, concentrations of inorganic nitrogen and phosphorus are relatively high. These nutrients are transported in the canals or into the peripheral marshes. Concentrations decrease sharply within 330 feet or less of the canals, whereas specific conductance remains essentially unchanged within this distance. The sharp decrease in inorganic nitrogen and phosphorus near the canal edge indicates net uptake in these shallow waters. Concentrations of nitrogen and phosphorus also decrease as water moves through the conservation areas in canals. This decrease is due partly to dilution by rainfall and runoff, and partly to net uptake in the canals and their peripheral marsh. The large canals of the northern and eastern parts of the conservation areas often have relatively low concentrations of dissolved oxygen which show little fluctuation within 24 hours. Backpumping 50 percent of the total annual canal runoff in southeast Florida would add from 990 to 6,160 tons of nitrogen and from 10 to 62 tons of phosphorus to the conservation areas. The bottom sediments of the Everglades are a sink for nitrogen and phosphorus. They can, however, be a source of these nutrients when anaerobic conditions exist at the water-sediment interface or when bottom material becomes resuspended. (Woodard-USGS)

Florida↗

15/16 ips Operation of the Precision Instrument Company Model P15100 tape recorder to record the standard (30 Hz) NCER seismic data multiplex system

In recent months the need has arisen to record special seismic networks consisting of a dozen or more standard NCER seismic systems telemetered to a central collection point on a reliable, portable, low-power tape recorder. Because of its simplicity and the ease with which it can be adapted for the purpose, the PI 5100 field recorder should be considered for such use. In the tests described here, a PI 5100 was speeded up to run at 15/16 inches per second (ips) and signals from the standard multiplex system test modulator bank were recorded on one tape track by means of a simple, improvised AM record amplifier. The results of these tests are extremely encouraging: the dynamic range of the system when played back on the Bell and Howell Model 3700 B reproduce machine, with subtractive compensation, is nearly as high as for the system employing the B&H 3700 B for recording. These notes indicate the principle employed to speed up the recorder, outline the circuit required to drive the tape heads in the AM record mode, and describe the tests carried out to evaluate the system's performance.

Open-File Report↗

Seabird tissue archival and monitoring project: Protocol for collecting and banking seabird eggs

Archiving biological and environmental samples for retrospective analysis is a major component of systematic environmental monitoring. The long-term storage of carefully selected, representative samples in an environmental specimen bank is an important complement to the real-time monitoring of the environment. These archived samples permit: The use of subsequently developed innovative analytical technology that was not available at the time the samples were archived, for clear state-of-art identification an~ quantification of analytes of interest, The identification and quantification of analytes that are of subsequent interest but that were not of interest at the time the samples were archived, and The comparison of present and past analytical techniques and values, providing continued credibility of past analytical values, and allowing flexibility in environmental monitoring programs. Seabirds, including albatrosses, pelicans, cormorants, terns, kittiwakes, murres, guillemots, and puffins spend most of their lives at sea and have special adaptations for feeding in the marine environment, including the ability to excrete the excess salt obtained from ingesting seawater. Many species nest in dense groups (colonies) on steep, precipitous sea-cliffs and headlands. Seabirds are long-lived and slow to mature. They occupy high positions in the marine food web and are considered sensitive indicators for the marine environment (prey includes krill, small fish, and squid). Breeding success, timing of nesting, diets, and survival rates may provide early indications of changing environmental conditions (e.g., see Hatch et aI., 1993). Chemical analysis of seabird tissues, including egg contents, can be particularly useful in determining whether contaminants (and potential biological effects) associated with human industrial activities, such as offshore petroleum and mineral exploration and development, are accumulating in marine environments. The collection and archival of seabird tissues over a period of several years will be a resource for future analyses, providing samples that can be used to determine historical baseline contaminant levels.

Report↗

Host plant associations of Lepidoptera and implications for forest bird management at Hakalau Forest National Wildlife Refuge

Forests dominated or co-dominated by ‘ōhi‘a ( Metrosideros polymorpha ) are critical to most Hawaiian forest birds, but fungal diseases causing Rapid ‘Ōhi‘a Death (ROD) threaten ‘ōhi‘a-based food webs that support native bird communities on Hawai‘i Island. Caterpillars are the most frequently consumed arthropod prey of native birds and their young and are especially frequent in the diets of one threatened (T) and three endangered (E) species (“listed” species) at Hakalau Forest National Wildlife Refuge (Hakalau): ‘akiapōlā‘au ( Hemignathus wilsoni , E), ‘alawī (Hawai‘i creeper; Loxops mana , E), Hawai‘i ‘ākepa ( L. coccineus , E), and ‘i‘iwi ( Drepanis coccinea , T). Hakalau harbors the largest and most stable populations of listed forest birds in Hawai‘i, presumably due to the availability of food resources and the extent of suitable, managed habitat above the range of mosquito-borne avian malaria. Because a previous study indicated that only a few caterpillar species were important in the diets of listed birds at Hakalau, we investigated the distribution of caterpillars on common host plants available to foraging birds. Eleven native plant species hosted two or more taxa identified to genus or species, with at least seven from ‘ōhi‘a, six from koa ( Acacia koa ), and five from ‘ākala ( Rubus hawaiensis ). We identified 16 taxa to genus or species from 9 families, assigning 11 to species. Leaves, which were the focus of our sampling effort, were the substrate used by 20 caterpillar taxa, and dead wood or bark was used by 7 taxa. In a previous study, we classified 19 morphotypes of caterpillar mandibles in the diets of native and alien birds at Hakalau, and in the present study we dissected mandibles from caterpillars that likely matched 10 of those morphotypes. These 10 morphotypes potentially represented >95% of caterpillar prey found in the earlier diet study and were collected from 11 host plant species, with ‘ōhi‘a hosting 8 morphotypes, 4 of which were exclusive to ‘ōhi‘a. The most widely hosted morphotype was found on all 11 plant species that we sampled, including ‘ōhi‘a, but the other 9 morphotypes were found on 1–7 hosts. As shown by the previous diet study, each of the listed bird species consumed caterpillar prey consisting mostly of combinations of two morphotypes drawn from a pool of only five, indicating a high degree of specialization. In the present study, we collected three of the five key morphotypes only on ‘ōhi‘a, highlighting the importance of this tree to listed bird species. Because ‘ōhi‘a forests in Hakalau remain vulnerable to ROD, measures to mitigate the impacts of reduced ‘ōhi‘a cover are important to consider from the perspective of forest bird food webs and diet. Ongoing reforestation of former pasturelands with koa and common understory species should provide alternative caterpillar prey for forest birds. Our results and information from the literature indicate that koa supports, to varying degrees, nearly all forest birds at Hakalau, while ‘ākala, ‘ōhelo ( Vaccinium calycinum ), kōlea ( Myrsine lessertiana ), ‘ōlapa ( Cheirodendron trigynum ), pūkiawe ( Leptecophylla tameiameiae ), and māmaki ( Pipturus albidus ) could benefit bird populations by increasing prey availability and structural complexity in koa-dominated stands. Foraging studies and additional research to identify species and host plant associations of important forest bird prey, including caterpillars and other arthropods, can help managers evaluate the complex interactions between native forest birds and their food webs and habitats.

Hawaii↗

Movements of immature bald eagles: Implications for bird aircraft strike hazard

Bald eagle (Haliaeetus leucocephalus) aircraft strikes have increased dramatically over the last 20 years as their populations have recovered to near historic sizes. Their attraction to airfields and their large body size makes them a danger to aircraft and therefore important to airfield wildlife managers. However, their management is complicated by their special protected status and the iconic place they hold in the eyes of the public. To help airfield wildlife managers plan monitoring efforts and make informed management decisions, we studied the movements of 32 bald eagles telemetered as nestlings in the Chesapeake Bay of Virginia, USA. Managers often need to know when fledged eagles are most likely to move enough to encounter airfields near nests. As fledglings aged they moved progressively farther from the nest and spent more time away from the nest. Twenty-eight days after fledging, eagles spent most of the day (81±10%, 95% confidence interval) near the nest (<500 m) and only 7±7% of the daytime away from the nest (>1 km). By day 53 fledglings ventured beyond 2.5 km from the nest and spent 30 ± 15% the day >1 km away from their nest. However, distances moved were influenced by proximity of the nest to water, the quality and salinity of that water, and human population density. Eagles left their natal areas and generally migrated out of the Chesapeake Bay 60.5 ± 7.7 days (4 August) after fledging and returned to the Chesapeake Bay approximately 225 days later (March-April). Eighty-four percent (27 of 32) of the eagles that we tracked encountered 164 airfields across the east coast with 91% of those airfields located within 10 km of the Chesapeake Bay. Encounters with airfields outside the Chesapeake Bay occurred mainly during the first 1.5 years of life, peaking in late fall and early spring. Eagles were recorded on Chesapeake Bay airfields during each year, but encounters peaked in April of the first year of the bird’s life. This month coincides with the height of reported strikes of eagles by aircraft in the region. Our results suggest that eagles fledging from the Chesapeake Bay are not only an issue for airports near the Chesapeake Bay, but for airports across the east coast. Given the continued growth of the population, this issue is likely to continue and grow in significance.

Virginia↗

Rare earth element mineral deposits in the United States

Because of their unique special chemical properties, many of the metals in the group of rare earth elements (REEs) have essential applications in 21st century technologies. Examples of products that use REEs are cell phones, computers, fluorescent and light-emitting-diode lights, flat-screen television and computer monitors, and in high-strength magnets used by clean energy technologies such as the generators of wind turbines and batteries of hybrid and electric vehicles. REEs are used in many defense applications, such as in components of jet engines, missile guidance systems, antimissile defense systems, satellites, and communication systems. The rare earth elements have become vital to manufacturing numerous high-tech products, which has been accompanied by a large increase in their demand. At the same time, there has been concern by the United States and many other Nations about the near-monopoly of mining, processing, and supply of REEs from one Nation, China. Between 2011 and 2017, China produced approximately 84 percent of the world’s REEs, and during this time the United States only produced REEs between 2012 and 2015. The U.S. production came entirely from the Mountain Pass mine in California, providing only about 4 percent of the world REE supply. Because REEs are essential for technological applications and are primarily supplied by one Nation, there has been an increased concern in identifying new sources of REEs, including economic REE deposits. In response to these concerns, since 2009, the U.S. Geological Survey (USGS) has conducted numerous studies focused on the distribution, geology, and potential resources for the REE-bearing mineral deposits in the United States. The basic characteristics of mineral deposit types that host REE enrichments in the United Sates are summarized in this report, with selected examples. Several types of REE-enriched mineral deposits are reviewed, including deposits in carbonatites, alkaline igneous rocks, sedimentary phosphate-rich rocks (phosphorite), regions containing REE-rich veins, iron oxide deposits containing REE-bearing apatite, monazite-xenotime-bearing placer deposits (heavy-mineral sands), and ion-adsorption clay deposits (REE in granite-derived regolith). A better understanding of these mineral deposits will assist in identifying domestic resources to help alleviate the dependence on imported REEs. The economic development of REE mineral deposits is affected by many factors beyond mining, such as commodity prices and mineral processing costs. Most of the REEs are hosted by minerals that have complex chemical formulas; this presents more challenges to process and extract the REEs. Continued advancements and refinements in mineral processing techniques may allow REE deposits with complex mineralogy to be economically developed in the future.

Circular↗

Synoptic analysis of a decade of daily measurements of SO2 emission in the troposphere from volcanoes of the global ground-based Network for Observation of Volcanic and Atmospheric Change

Volcanic plumes are common and far-reaching manifestations of volcanic activity during and between eruptions. Observations of the rate of emission and composition of volcanic plumes are essential to recognize and, in some cases, predict the state of volcanic activity. Measurements of the size and location of the plumes are important to assess the impact of the emission from sporadic or localized events to persistent or widespread processes of climatic and environmental importance. These observations provide information on volatile budgets on Earth, chemical evolution of magmas, and atmospheric circulation and dynamics. Space-based observations during the last decades have given us a global view of Earth's volcanic emission, particularly of sulfur dioxide ( SO 2 ). Although none of the satellite missions were intended to be used for measurement of volcanic gas emission, specially adapted algorithms have produced time-averaged global emission budgets. These have confirmed that tropospheric plumes, produced from persistent degassing of weak sources, dominate the total emission of volcanic SO 2 . Although space-based observations have provided this global insight into some aspects of Earth's volcanism, it still has important limitations. The magnitude and short-term variability of lower-atmosphere emissions, historically less accessible from space, remain largely uncertain. Operational monitoring of volcanic plumes, at scales relevant for adequate surveillance, has been facilitated through the use of ground-based scanning differential optical absorption spectrometer (ScanDOAS) instruments since the beginning of this century, largely due to the coordinated effort of the Network for Observation of Volcanic and Atmospheric Change (NOVAC). In this study, we present a compilation of results of homogenized post-analysis of measurements of SO 2 flux and plume parameters obtained during the period March 2005 to January 2017 of 32 volcanoes in NOVAC. This inventory opens a window into the short-term emission patterns of a diverse set of volcanoes in terms of magma composition, geographical location, magnitude of emission, and style of eruptive activity. We find that passive volcanic degassing is by no means a stationary process in time and that large sub-daily variability is observed in the flux of volcanic gases, which has implications for emission budgets produced using short-term, sporadic observations. The use of a standard evaluation method allows for intercomparison between different volcanoes and between ground- and space-based measurements of the same volcanoes. The emission of several weakly degassing volcanoes, undetected by satellites, is presented for the first time. We also compare our results with those reported in the literature, providing ranges of variability in emission not accessible in the past. The open-access data repository introduced in this article will enable further exploitation of this unique dataset, with a focus on volcanological research, risk assessment, satellite-sensor validation, and improved quantification of the prevalent tropospheric component of global volcanic emission.

Earth System Science Data↗

The Geology and Petrography of Crater Lake National Park

Twenty years ago Crater Lake was unknown to the general public, but since then a knowledge of its remarkable features has been spread abroad through the press, and Congress recognized its worth as an educational feature and made it a national park by the act approved May 22, 1902. As defined in the bill, the park is 'bounded north by the parallel forty-three degrees four minutes north latitude, south by forty-two degrees forty-eight minutes north latitude, east by the meridian one hundred and twenty-two degrees west longitude, and west by the meridian one hundred and twenty-two degrees sixteen minutes west longitude, having an area of two hundred and forty-nine square miles'. The Ashland sheet of United States Geological Survey, on the scale of 4 miles to 1 inch, includes the area lying between meridians 122 deg and 123 deg and parallels 42 deg and 43 deg. This map includes the region between Ashland and Crater Lake. On account of the great scientific interest of Crater Lake a special map, known as the Crater Lake special sheet, was prepared on the scale of 1 mile to an inch, including the country immediately adjacent to Crater Lake, between meridians 122 deg and 122 deg 15' and parallels 42 deg 50' and 43 deg 4'. From these two maps the accompanying map of the Crater Lake National Park (Pl. 1) has been prepared. The two papers published here refer practically to the whole region included in the National Park. The one, Part I, treats primarily of the geology, the development of the great volcano, Mount Mazama, and its collapse, which gave birth to Crater Lake; the other, Part II, deals with the petrography, and gives a special description of the various rocks occurring in the park. Origin of the name Mount Mazama - A great impetus to the spread of information concerning Crater Lake was given by the Mazamas of Portland, Oreg., who held a meeting at the lake in August, 1896, which attracted many visitors. The principal features in the history of the lake had previously been made out, and the Mazamas, recognizing the fact that the great peak which was nearly destroyed in preparing the pit for the lake had no name, gave it the name of their own society. Upon the rim of the lake are a number of small peaks, each having its own designation. The term Mount Mazama refers to the whole rim encircling the lake. It is but a mere remnant of the once lofty peak, the real Mount Mazama, which rose far into the region of eternal snow. To get a basis for reconstructing the original Mount Mazama it is necessary to study in detail the structure and composition of its foundation, now so attractively displayed in the encircling cliffs of Crater Lake.

Oregon↗

Determination and analysis of bearing capacity of calcarenites off the Florida Keys

A specially designed instrument was used to determine the in situ bearing capacity at 12 sites in the carbonate sand seaward of the Florida Keys. The resulting data set not only represents unique information in such an environment, but also provided an opportunity to determine whether bearing capacity is controlled by any specific property of the calcarenites, or, conversely, whether the bearing-capacity value could be used as an index of a particular substrate characteristic. The in sltu measurements were made in several subenvironments in order to bracket the variability of sediment properties throughout the area. Samples were collected at each bearing-capacity test site and w .ere analyzed for selected geological and geotechnical properties, including texture, grain shapes, and biological constituents. No relationship was found between bearing capacity and any of the analyzed properties of the sediment. Although many salient characteristics of calcarenites exist, at the stress levels used in this study their influence is either masked owing to the complex interaction of properties that leads to a specific bearing-capacity value or, at least in these sediments, is absent.

Open-File Report↗

The HayWired Earthquake Scenario

Foreword The 1906 Great San Francisco earthquake (magnitude 7.8) and the 1989 Loma Prieta earthquake (magnitude 6.9) each motivated residents of the San Francisco Bay region to build countermeasures to earthquakes into the fabric of the region. Since Loma Prieta, bay-region communities, governments, and utilities have invested tens of billions of dollars in seismic upgrades and retrofits and replacements of older buildings and infrastructure. Innovation and state-of-the-art engineering, informed by science, including novel seismic-hazard assessments, have been applied to the challenge of increasing seismic resilience throughout the bay region. However, as long as people live and work in seismically vulnerable buildings or rely on seismically vulnerable transportation and utilities, more work remains to be done. With that in mind, the U.S. Geological Survey (USGS) and its partners developed the HayWired scenario as a tool to enable further actions that can change the outcome when the next major earthquake strikes. By illuminating the likely impacts to the present-day built environment, well-constructed scenarios can and have spurred officials and citizens to take steps that change the outcomes the scenario describes, whether used to guide more realistic response and recovery exercises or to launch mitigation measures that will reduce future risk. The HayWired scenario is the latest in a series of like-minded efforts to bring a special focus onto the impacts that could occur when the Hayward Fault again ruptures through the east side of the San Francisco Bay region as it last did in 1868. Cities in the east bay along the Richmond, Oakland, and Fremont corridor would be hit hardest by earthquake ground shaking, surface fault rupture, aftershocks, and fault afterslip, but the impacts would reach throughout the bay region and far beyond. The HayWired scenario name reflects our increased reliance on the Internet and telecommunications and also alludes to the interconnectedness of infrastructure, society, and our economy. How would this earthquake scenario, striking close to Silicon Valley, impact our interconnected world in ways and at a scale we have not experienced in any previous domestic earthquake? The area of present-day Contra Costa, Alameda, and Santa Clara Counties contended with a magnitude-6.8 earthquake in 1868 on the Hayward Fault. Although sparsely populated then, about 30 people were killed and extensive property damage resulted. The question of what an earthquake like that would do today has been examined before and is now revisited in the HayWired scenario. Scientists have documented a series of prehistoric earthquakes on the Hayward Fault and are confident that the threat of a future earthquake, like that modeled in the HayWired scenario, is real and could happen at any time. The team assembled to build this scenario has brought innovative new approaches to examining the natural hazards, impacts, and consequences of such an event. Such an earthquake would also be accompanied by widespread liquefaction and landslides, which are treated in greater detail than ever before. The team also considers how the now-prototype ShakeAlert earthquake early warning system could provide useful public alerts and automatic actions. Scientific Investigations Report 2017–5013 and accompanying data releases are the products of an effort led by the USGS, but this body of work was created through the combined efforts of a large team including partners who have come together to form the HayWired Coalition (see chapter A). Use of the HayWired scenario has already begun. More than a full year of intensive partner engagement, beginning in April 2017, is being directed toward producing the most in-depth look ever at the impacts and consequences of a large earthquake on the Hayward Fault. With the HayWired scenario, our hope is to encourage and support the active ongoing engagement of the entire community of the San Francisco Bay region by providing the scientific, engineering, and economic and social science inputs for use in exercises and planning well into the future. As HayWired volumes are published, they will be made available at https://doi.org/10.3133/sir20175013 .

California↗

The 2011 Mineral, Virginia, earthquake and its significance for seismic hazards in eastern North America: overview and synthesis

The 23 August 2011 M w (moment magnitude) 5.7 &plusmn; 0.1, Mineral, Virginia, earthquake was the largest and most damaging in the central and eastern United States since the 1886 M w 6.8&ndash;7.0, Charleston, South Carolina, earthquake. Seismic data indicate that the earthquake rupture occurred on a southeast-dipping reverse fault and consisted of three subevents that progressed northeastward and updip. U.S. Geological Survey (USGS) "Did You Feel It?" intensity reports from across the eastern United States and southeastern Canada, rockfalls triggered at distances to 245 km, and regional groundwater-level changes are all consistent with efficient propagation of high-frequency seismic waves (&sim;1 Hz and higher) in eastern North America due to low attenuation. Reported damage included cracked or shifted foundations and broken walls or chimneys, notably in unreinforced masonry, and indicated intensities up to VIII in the epicentral area based on USGS "Did You Feel It?" reports. The earthquake triggered the first automatic shutdown of a U.S. nuclear power plant, located &sim;23 km northeast of the main shock epicenter. Although shaking exceeded the plant's design basis earthquake, the actual damage to safety-related structures, systems, and components was superficial. Damage to relatively tall masonry structures 130 km to the northeast in Washington, D.C., was consistent with source directivity, soft-soil ground-motion amplification, and anisotropic wave propagation with lower attenuation parallel to the northeast-trending Appalachian tectonic fabric. The earthquake and aftershocks occurred in crystalline rocks within Paleozoic thrust sheets of the Chopawamsic terrane. The main shock and majority of aftershocks delineated the newly named Quail fault zone in the subsurface, and shallow aftershocks defined outlying faults. The earthquake induced minor liquefaction sand boils, but notably there was no evidence of a surface fault rupture. Recurrence intervals, and evidence for larger earthquakes in the Quaternary in this area, remain important unknowns. This event, along with similar events during historical time, is a reminder that earthquakes of similar or larger magnitude pose a real hazard in eastern North America.

Virginia↗

Arthropods of Rose Atoll with special reference to ants and Pulvinaria Urbicola Scales (Hempitera Coccidae) on Pisonia Grandis trees

Rose Atoll, at the eastern end of the Samoan Archipelago, is a small but important refuge for seabirds, shorebirds, and sea turtles. While the vertebrate community is relatively well-studied, the terrestrial arthropod fauna, and its role in ecosystem function, are poorly known. Arthropods may be influencing the decline of Pisonia grandis, an ecologically important tree that once dominated the 6.6 ha of land on Rose Atoll. Reasons for the decline are not fully understood but a facultative relationship between two invasive arthropods, the soft scale Pulvinaria urbicola and ants, likely has contributed to tree death. The primary objectives of this study were to systematically survey the terrestrial arthropod fauna and identify ant species that tend scales on Pisonia. Using an array of standard arthropod collecting techniques, at least 73 species from 20 orders were identified, including nine ant species. Of the ants collected, only Tetramorium bicarinatum and T. simillimum were observed tending scales on Pisonia. No known natural enemies of Pulvinaria scales were found, suggesting little predation on scale populations. Treatment of Pisonia with the systemic insecticide imidacloprid failed to eliminate Pulvinaria scales, although short-term suppression apparently occurred. The arthropod fauna of Rose Atoll is dominated by exotic species that likely have a significant impact on the structure and function of the island&rsquo;s ecosystem.

Rose Atoll; America Samoa↗

Remote sensing in the USGS Mineral Resource Surveys Program in the eastern United States

Mineral deposits commonly occur within special geologic units or structures, such as fault zones, which can be detected and mapped from aircraft and satellite images. Modern techniques analyze multispectral images that record the way solar energy is reflected or emitted by the materials exposed at the Earth's surface. In sparsely vegetated regions, including most of the Western United States, mineral composition is determined directly by analyzing the spectral properties of rock outcrops. In more densely vegetated terrain, such as the Eastern United States, rock and soil composition can be determined directly in manmade exposures, such as plowed fields and construction sites, or much more general determinations can be made indirectly by analyzing the distribution and apparent health of naturally occurring plants. The association of certain plants with particular rock or soil types has been known for decades. For example, coniferous trees grow preferentially on well-drained sandy soil, whereas deciduous trees dominate on shaly bedrock. These two forest types reflect solar radiation quite differently and, therefore, are distinguished readily in conventional aerial photographs. More subtle plant-bedrock associations require digital multispectral image analysis to infer compositional information from the spectral characteristics of the forest canopy.

Information Handout↗

Status and understanding of groundwater quality in the South Coast Interior groundwater basins, 2008: California GAMA Priority Basin Project

Groundwater quality in the approximately 653-square-mile (1,691-square-kilometer) South Coast Interior Basins (SCI) study unit was investigated as part of the Priority Basin Project of the Groundwater Ambient Monitoring and Assessment (GAMA) Program. The South Coast Interior Basins study unit contains eight priority groundwater basins grouped into three study areas, Livermore, Gilroy, and Cuyama, in the Southern Coast Ranges hydrogeologic province. The GAMA Priority Basin Project is being conducted by the California State Water Resources Control Board in collaboration with the U.S. Geological Survey (USGS) and the Lawrence Livermore National Laboratory. The GAMA South Coast Interior Basins study was designed to provide a spatially unbiased assessment of untreated (raw) groundwater quality within the primary aquifer system, as well as a statistically consistent basis for comparing water quality between basins. The assessment was based on water-quality and ancillary data collected by the USGS from 50 wells in 2008 and on water-quality data from the California Department of Public Health (CDPH) database. The primary aquifer system was defined by the depth intervals of the wells listed in the CDPH database for the SCI study unit. The quality of groundwater in the primary aquifer system may be different from that in the shallower or deeper water-bearing zones; shallow groundwater may be more vulnerable to surficial contamination. The first component of this study, the status of the current quality of the groundwater resource, was assessed by using data from samples analyzed for volatile organic compounds (VOCs), pesticides, and naturally occurring inorganic constituents, such as trace elements and minor ions. This status assessment is intended to characterize the quality of groundwater resources within the primary aquifer system of the SCI study unit, not the treated drinking water delivered to consumers by water purveyors. Relative-concentrations (sample concentration divided by the health- or aesthetic-based benchmark concentration) were used for evaluating groundwater quality for those constituents that have Federal or California regulatory or non-regulatory benchmarks for drinking-water quality. A relative-concentration greater than 1.0 indicates a concentration greater than a benchmark, and a relative-concentration less than or equal to 1.0 indicates a concentration equal to or less than a benchmark. Relative-concentrations of organic constituents and special-interest constituents were classified as “high” (relative-concentration greater than 1.0), “moderate” (relative-concentration greater than 0.1 and less than or equal to 1.0), or “low” (relative-concentration less than or equal to 0.1). Relative-concentrations of inorganic constituents were classified as “high” (relative-concentration greater than 1.0), “moderate” (relative-concentration greater than 0.5 and less than or equal to 1.0), or “low” (relative-concentration less than or equal to 0.5). Aquifer-scale proportion was used as the primary metric in the status assessment for evaluating regional-scale groundwater quality. High aquifer-scale proportion is defined as the percentage of the area of the primary aquifer system with a relative-concentration greater than 1.0 for a particular constituent or class of constituents; percentage is based on an areal rather than a volumetric basis. Moderate and low aquifer-scale proportions were defined as the areal percentage of the primary aquifer system with moderate and low relative-concentrations, respectively. Two statistical approaches—grid-based and spatially weighted—were used to evaluate aquifer-scale proportions for individual constituents and classes of constituents. Grid-based and spatially weighted estimates were comparable in the SCI study unit (within 90-percent confidence intervals). Inorganic constituents (one or more) with health-based benchmarks were detected at high relative-concentrations in 29 percent of the primary aquifer system, at moderate relative-concentrations in 37 percent, and at low relative-concentrations in 34 percent. High aquifer-scale proportions of inorganic constituents primarily reflected high aquifer-scale proportions of nitrate (14 percent), boron (8.6 percent), molybdenum (8.6 percent), and arsenic (5.7 percent). In contrast, the relative-concentrations of organic constituents (one or more) were high in 1.6 percent, moderate in 2.0 percent, and low or not detected in 96 percent of the primary aquifer system. Of the 207 organic and special-interest constituents analyzed for, 15 constituents were detected. Perchlorate was found at moderate relative-concentrations in 34 percent of the aquifer. Two organic constituents were frequently detected (in greater than 10 percent of samples): the trihalomethane chloroform and the herbicide simazine. The second component of this study, the understanding assessment, identified natural and human factors that may have affected groundwater quality by evaluating land use, physical characteristics of the wells, and geochemical conditions of the aquifer. This evaluation was done by using statistical tests of correlations between these potential explanatory factors and water-quality data. Concentrations of arsenic, molybdenum, and manganese were generally greater in anoxic and pre-modern groundwater than other groundwater. In contrast, concentrations of nitrate and perchlorate were significantly higher in oxic and modern groundwater. Concentrations of simazine were greater in modern than pre-modern groundwater. Chloroform detections were positively correlated with greater urban land use. Boron concentrations and chloroform detections were higher in the Livermore study area than in the other study areas of the SCI; total dissolved solids and sulfate concentrations were greater in the Cuyama study area.

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Rare and endangered species of Hawai`i Volcanoes National Park; endangered, threatened, and rare animal, plant, and community handbook

Introduction Hawai`i Volcanoes National Park (HAVO) is the largest area in the State of Hawai`i protected for its geology and landscapes and its native flora and fauna. The park covers approximately 135,000 hectares or 333,000 acres in all. These lands stretch from the seacoast of Kīlauea Volcano to far above timberline on the summit of Mauna Loa (Figure 1). This vast area includes expanses of forests, woodlands, shrublands, and barren lava flows that represent an array of native ecosystems. Contained within these communities are a great many species of rare animals and plants, most of them unique to the island of Hawai`i, and some of them surviving only in the park. These are the biological treasures of Hawai`i Volcanoes National Park. Our book is a guide to all animal and plant species in HAVO that are specially recognized as endangered species in the general sense. (The official designations at four levels and the unofficial designation of species of concern are explained later.) There are 23 such animal species and 71 plant species covered in the handbook, including six species planted in HAVO but not naturally occurring. In addition, we describe seven rare communities. In some cases, HAVO offers the best opportunity to save these species and communities from extinction. Increasingly, the park has attempted to restore rare populations by conducting surveys to locate them, controlling threats such as feral livestock, and bolstering existing populations or creating new ones by planting nursery stock. To aid such efforts, our original intent was to publish an identification guide for researchers and field management personnel. Particularly, we wanted to familiarize the reader with the many rare plant species which otherwise are known mainly from the technical literature. Because we soon came to realize that this handbook would be useful to a much larger, general readership, our aim is to make this information available to anyone interested in endangered animals and plants at Hawai`i Volcanoes National Park.

Hawaii↗

Paleotectonic investigations of the Pennsylvanian System in the United States, Part I: Introduction and regional analyses of the Pennsylvanian System

The Pennsylvanian is the fourth geologic system to be analyzed and synthesized by geologists of the U.S. Geological Survey in the form of a paleotectonic study covering the conterminous United States. Earlier investigations were of the Jurassic, Triassic, and Permian Systems. Results were published as Miscellaneous Geologic Investigation Maps I-175, I-300, and I-450 and in Professional Paper 515. The objective of these investigations is to provide in graphic form the factual basis for recognition of tectonic events of each system on a countrywide scale. The maps in this publication depict rock thickness, generalized lithology, ancient geography, and other regional relations of the Pennsylvanian System. Method of preparation of the maps, the stratigraphic limits of the map units, and various stratigraphic and structural features and their probable tectonic significance are discussed. Pennsylvanian data were largely compiled between 1961 and 196 by 16 geologists, including the late Harold R. Wanless, who covered the five eastern regions and contributed to several of the special studies. The areas of responsibility of the cooperating geologists are indicated in figure 1. Work in Kansas was done by Gary F. Stewart, of the Kansas Geological Survey. Results of this investigation are presented in three units. Part I comprises an introduction and 17 chapters, each describing and discussing one of the regions in which the conterminous United States was divided for purposes of study and mapping. Part II is a synthesis of Pennsylvanian history to accompany interpretive maps of the five divisions of the Pennsylvanian System treated in this publication; it also includes a series of chapters on depositional environments, climatic conditions, and economic products of the system. The final section of part II is devoted to an index of localities and sources used in construction of the principal maps of this publication. Part III consists of the plates on which are presented the major maps and sections.

Professional Paper↗