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The socio-ecological niche

1. Ecologists recognise that we live on an increasingly human-dominated planet, yet most of the field's foundational concepts remain essentially biophysical, with little reference to human society. 2. There are few better examples of this divide between ecological and social theory than the niche concept. During its century-long history, the niche concept has been defined in many ways, including to describe the ecological roles of humans. To date, however, it has not incorporated human influences into its various descriptions of other species' ecological roles. 3. In this essay, we present the socio-ecological niche (SEN) concept, which builds on the literature in niche theory by contributing insights from the social sciences and humanities to better understand the roles of non-human species in modern socio-ecological systems. 4. We argue that the SEN enriches the niche concept and offers a point of connection between ecology and justice.

People and Nature↗

Back to full interseismic plate locking decades after the giant 1960 Chile earthquake

Great megathrust earthquakes arise from the sudden release of energy accumulated during centuries of interseismic plate convergence. The moment deficit (energy available for future earthquakes) is commonly inferred by integrating the rate of interseismic plate locking over the time since the previous great earthquake. But accurate integration requires knowledge of how interseismic plate locking changes decades after earthquakes, measurements not available for most great earthquakes. Here we reconstruct the post-earthquake history of plate locking at Guafo Island, above the seismogenic zone of the giant 1960 ( M w = 9.5) Chile earthquake, through forward modeling of land-level changes inferred from aerial imagery (since 1974) and measured by GPS (since 1994). We find that interseismic locking increased to ~70% in the decade following the 1960 earthquake and then gradually to 100% by 2005. Our findings illustrate the transient evolution of plate locking in Chile, and suggest a similarly complex evolution elsewhere, with implications for the time- and magnitude-dependent probability of future events.

Nature Communications↗

This dynamic planet: World map of volcanoes, earthquakes, impact craters and plate tectonics

Our Earth is a dynamic planet, as clearly illustrated on the main map by its topography, over 1500 volcanoes, 44,000 earthquakes, and 170 impact craters. These features largely reflect the movements of Earth's major tectonic plates and many smaller plates or fragments of plates (including microplates). Volcanic eruptions and earthquakes are awe-inspiring displays of the powerful forces of nature and can be extraordinarily destructive. On average, about 60 of Earth's 550 historically active volcanoes are in eruption each year. In 2004 alone, over 160 earthquakes were magnitude 6.0 or above, some of which caused casualties and substantial damage. This map shows many of the features that have shaped--and continue to change--our dynamic planet. Most new crust forms at ocean ridge crests, is carried slowly away by plate movement, and is ultimately recycled deep into the earth--causing earthquakes and volcanism along the boundaries between moving tectonic plates. Oceans are continually opening (e.g., Red Sea, Atlantic) or closing (e.g., Mediterranean). Because continental crust is thicker and less dense than thinner, younger oceanic crust, most does not sink deep enough to be recycled, and remains largely preserved on land. Consequently, most continental bedrock is far older than the oldest oceanic bedrock. (see back of map) The earthquakes and volcanoes that mark plate boundaries are clearly shown on this map, as are craters made by impacts of extraterrestrial objects that punctuate Earth's history, some causing catastrophic ecological changes. Over geologic time, continuing plate movements, together with relentless erosion and redeposition of material, mask or obliterate traces of earlier plate-tectonic or impact processes, making the older chapters of Earth's 4,500-million-year history increasingly difficult to read. The recent activity shown on this map provides only a present-day snapshot of Earth's long history, helping to illustrate how its present surface came to be. The map is designed to show the most prominent features when viewed from a distance, and more detailed features upon closer inspection. The back of the map zooms in further, highlighting examples of fundamental features, while providing text, timelines, references, and other resources to enhance understanding of this dynamic planet. Both the front and back of this map illustrate the enormous recent growth in our knowledge of planet Earth. Yet, much remains unknown, particularly about the processes operating below the ever-shifting plates and the detailed geological history during all but the most recent stage of Earth's development.

IMAP↗

Optimizing historical preservation under climate change—An overview of the optimal preservation model and pilot testing at Cape Lookout National Seashore

Adapting cultural resources to climate-change effects challenges traditional cultural resource decision making because some adaptation strategies can negatively affect the integrity of cultural resources. Yet, the inevitability of climate-change effects—even given the uncertain timing of those effects—necessitates that managers begin prioritizing resources for climate-change adaptation. Prioritization imposes an additional management challenge: managers must make difficult tradeoffs to achieve desired management outcomes related to maximizing the resource values. This report provides an overview of a pilot effort to integrate vulnerability (exposure and sensitivity), significance, and use potential metrics in a decision framework—the Optimal Preservation (OptiPres) Model—to inform climate adaptation planning of a subset of buildings in historic districts (listed on the National Register of Historic Places) at Cape Lookout National Seashore. The OptiPres Model uses a numerical optimization algorithm to assess the timing and application of a portfolio of adaptation actions that could most effectively preserve an assortment of buildings associated with different histories, intended uses, and construction design and materials over a 30-year planning horizon. The outputs from the different budget scenarios, though not prescriptive, provide visualizations of and insights to the sequence and type of optimal actions and the changes to individual building resource values and accumulated resource values. Study findings suggest the OptiPres Model has planning utility related to fiscal efficiency by identifying a budget threshold necessary to maintain the historical significance and use potential of historical buildings while reducing vulnerability (collectively, the accumulated resource value). Specifically, findings identify that a minimum of the industry standard ($222,000 annually for the 17 buildings) is needed to maintain the current accumulated resource value. Additionally, results suggest that additional appropriations provided on regular intervals when annual appropriations are at the industry standard are nearly as efficient as annual appropriations at twice the rate of industry standards and increase the amount of accumulated resource values to nearly the same level. However, periodic increases in funding may increase the risks posed to buildings from the probability of a natural hazard (that is, damage or loss from a hurricane). Suggestions for model refinements include developing standardized cost estimations for adaptation actions based on square footage and building materials, developing metrics to quantify the historical integrity of buildings, integrating social values data, including additional objectives (such as public safety) in the model, refining vulnerability data and transforming the data to include risk assessment, and incorporating stochastic events (that is, hurricane and wind effects) into the model.

North Carolina↗

Bloom forming cyanobacteria can adversely affect zebra and quagga mussel veligers

Quagga ( Dreissena rostriformis bugensis ) and zebra ( D. polymorpha ) mussels are broadcast spawners that produce planktonic, free swimming veligers, a life history strategy dissimilar to native North American freshwater bivalves. Dreissenid veligers require highly nutritious food to grow and survive, and thus may be susceptible to increased mortality rates during harsh environmental conditions like cyanobacteria blooms. However, the impact of cyanobacteria and one of the toxins they can produce (microcystin) has not been evaluated in dreissenid veligers. Therefore, we exposed dreissenid veligers to eleven distinct cultures (isolates) of cyanobacteria representing Anabaena, Aphanizomenon, Dolichospermum, Microcystis, and Planktothrix species and the cyanotoxin microcystin to determine the lethality of cyanobacteria on dreissenid veligers. Six-day laboratory bioassays were performed in microplates using dreissenid veligers collected from the Detroit River, Michigan, USA. Veligers were exposed to increasing concentrations of cyanobacteria and microcystin using the green algae Chlorella minutissima as a control. Based on dose response curves formulated from a Probit model, the LC 50 values for cyanobacteria used in this study range between 15.06 and 135.06 μg/L chlorophyll- a , with the LC 50 for microcystin-LR at 13.03 μg/L. Because LC 50 values were within ranges observed in natural waterbodies, it is possible that dreissenid recruitment may be suppressed when veliger abundances overlap with seasonal cyanobacteria blooms. Thus, the toxicity of cyanobacteria to dreissenid veligers may be useful to include in models forecasting dreissenid mussel abundance and spread.

Ecotoxicology and Environmental Safety↗

Insights into widespread landsliding in southern Appalachia from Hurricane Helene

Between 23 and 27 September 2024, antecedent rain followed by Hurricane Helene produced one of the most damaging weather events in southern Appalachia history. The back-to-back storm events resulted in a maximum cumulative rainfall of 848 mm and hurricane-force wind gusts over 170 km/h in western North Carolina, eastern Tennessee, and southwestern Virginia. The resulting regional flooding, landslides, and tree blowdown caused over 100 fatalities, damaged or destroyed critical infrastructure and thousands of structures, and severed connectivity across the region. Over the next several weeks, a multi-agency landslide response produced a rapid hazard assessment and mapped 2217 landslides, 55% of which damaged infrastructure or property. Orographic uplift enhanced rainfall, resulting in concentrated landsliding along the ~250 km swath of the Blue Ridge escarpment in western North Carolina. Landslides initiated predominantly on windward-facing (southeast-facing) slopes, and localized clustering of initiation points indicated a strong influence of hillslope-scale meteorological and geomorphic factors. Many shallow landslides mobilized into larger, highly mobile, and damaging debris flows that graded into floods. Here, we put our preliminary observations in the context of historical storm-driven landslide events and open new avenues for investigating the nature and extent of landslides and their effects in southern Appalachia and similar environments.

Georgia, North Carolina, South Carolina, Tennessee↗

Oxygen isotope exchange kinetics of mineral pairs in closed and open systems: Applications to problems of hydrothermal alteration of igneous rocks and Precambrian iron formations

The systematics of stable-isotope exchange between minerals and fluids are examined in the context of modal mineralogical variations and mass-balance considerations, both in closed and in open systems. On mineral-pair ??18O plots, samples from terranes that have exchanged with large amounts of fluid typically map out steep positively-sloped non-equilibrium arrays. Analytical models are derived to explain these effects; these models allow for different exchange rates between the various minerals and the external fluids, as well as different fluid fluxes. The steep arrays are adequately modelled by calculated isochron lines that involve the whole family of possible exchange trajectories. These isochrons have initially-steep near-vertical positive slopes that rotate toward a 45?? equilibrium slope as the exchange process proceeds to completion. The actual data-point array is thus analogous to the hand of an "isotopic clock" that measures the duration of the hydrothermal episode. The dimensionless ratio of the volumetric fluid flux to the kinetic rate parameter ( u k) determines the shape of each individual exchange trajectory. In a fluid-buffered system ( u k ??? 1), the solutions to the equations: (1) are independent of the mole fractions of the solid phases; (2) correspond to Taylor's open-system water/rock equation; and (3) yield straight-line isochrons that have slopes that approach 1 f, where f is the fraction reacted of the more sluggishly exchanging mineral. The isochrons for this simple exchange model are closely congruent with the isochrons calculated for all of the more complex models, thereby simplifying the application of theory to actual hydrothermal systems in nature. In all of the models an order of magnitude of time (in units of kt) separates steep non-equilibrium arrays (e.g., slope ??? 10) from arrays approaching an equilibrium slope of unity on a ??-?? diagram. Because we know the approximate lifetimes of many hydrothermal systems from geologic and heat-balance constraints, we can utilize the 18O 16O data on natural mineral assemblages to calculate the kinetic rate constants (k's) and the effective diffusion constants (D's) for mineral-H2O exchange: these calculated values (kqtz ??? 10-14, kfeld ??? 10-13-10-12) agree with experimental determinations of such constants. In nature, once the driving force or energy source for the external infiltrating fluid phase is removed, the disequilibrium mineral-pair arrays will either: (1) remain "frozen" in their existing state, if the temperatures are low enough, or (2) re-equilibrate along specific closed-system exchange vectors determined solely by the temperature path and the mineral modal proportions. Thus, modal mineralogical information is a particularly important parameter in both the open- and closed-system scenarios, and should in general always be reported in stable-isotopic studies of mineral assemblages. These concepts are applied to an analysis of 18O 16O systematics of gabbros (Plagioclase-clinopyroxene and plagioclase-amphibole pairs), granitic plutons (quartz-feldspar pairs), and Precambrian siliceous iron formations (quartz-magnetite pairs). In all these examples, striking regularities are observed on ??-?? and ??-?? plots, but we point out that ??-?? plots have many advantages over their equivalent ??-?? diagrams, as the latter are more susceptible to misinterpretation. Using the equations developed in this study, these regularities can be interpreted to give semiquantitative information on the exchange histories of these rocks subsequent to their formation. In particular, we present a new interpretation indicating that Precambrian cherty iron formations have in general undergone a complex fluid exchange history in which the iron oxide (magnetite precursor?) has exchanged much faster with low-temperature (< 400??C) fluids than has the relatively inert quartz. ?? 1989.

Chemical Geology↗

High-temperature quartz cement and the role of stylolites in a deep gas reservoir, Spiro Sandstone, Arkoma Basin, USA

The Spiro Sandstone, a natural gas play in the central Arkoma Basin and the frontal Ouachita Mountains preserves excellent porosity in chloritic channel-fill sandstones despite thermal maturity levels corresponding to incipient metamorphism. Some wells, however, show variable proportions of a late-stage, non-syntaxial quartz cement, which post-dated thermal cracking of liquid hydrocarbons to pyrobitumen plus methane. Temperatures well in excess of 150°C and possibly exceeding 200°C are also suggested by (i) fluid inclusions in associated minerals; (ii) the fact that quartz post-dated high-temperature chlorite polytype IIb; (iii) vitrinite reflectance values of the Spiro that range laterally from 1.9 to ≥ 4%; and (iii) the occurrence of late dickite in these rocks. Oxygen isotope values of quartz cement range from 17.5 to 22.4‰ VSMOW (total range of individual in situ ion microprobe measurements) which are similar to those of quartz cement formed along high-amplitude stylolites (18.4–24.9‰). We favour a model whereby quartz precipitation was controlled primarily by the availability of silica via deep-burial stylolitization within the Spiro Sandstone. Burial-history modelling showed that the basin went from a geopressured to a normally pressured regime within about 10–15 Myr after it reached maximum burial depth. While geopressure and the presence of chlorite coats stabilized the grain framework and inhibited nucleation of secondary quartz, respectively, stylolites formed during the subsequent high-temperature, normal-pressured regime and gave rise to high-temperature quartz precipitation. Authigenic quartz growing along stylolites underscores their role as a significant deep-burial silica source in this sandstone.

Arkansas;Oklahoma↗

Climatic forcing of Quaternary deep-sea benthic communities in the North Pacific Ocean

There is growing evidence that changes in deep-sea benthic ecosystems are modulated by climate changes, but most evidence to date comes from the North Atlantic Ocean. Here we analyze new ostracod and published foraminiferal records for the last 250,000 years on Shatsky Rise in the North Pacific Ocean. Using linear models, we evaluate statistically the ability of environmental drivers (temperature, productivity, and seasonality of productivity) to predict changes in faunal diversity, abundance, and composition. These microfossil data show glacial-interglacial shifts in overall abundances and species diversities that are low during glacial intervals and high during interglacials. These patterns replicate those previously documented in the North Atlantic Ocean, suggesting that the climatic forcing of the deep-sea ecosystem is widespread, and possibly global in nature. However, these results also reveal differences with prior studies that probably reflect the isolated nature of Shatsky Rise as a remote oceanic plateau. Ostracod assemblages on Shatsky Rise are highly endemic but of low diversity, consistent with the limited dispersal potential of these animals. Benthic foraminifera, by contrast, have much greater dispersal ability and their assemblages at Shatsky Rise show diversities typical for deep-sea faunas in other regions. Statistical analyses also reveal ostracod-foraminferal differences in relationships between environmental drivers and biotic change. Rarefied diversity is best explained as a hump-shaped function of surface productivity in ostracods, but as having a weak and positive relationship with temperature in foraminifera. Abundance shows a positive relationship with both productivity and seasonality of productivity in foraminifera, and a hump-shaped relationship with productivity in ostracods. Finally, species composition in ostracods is influenced by both temperature and productivity, but only a temperature effect is evident in foraminifera. Though complex in detail, the global-scale link between deep-sea ecosystems and Quaternary climate changes underscores the importance of the interaction between the physical and biological components of paleoceanographical research for better understanding the history of the biosphere.

Paleobiology↗

Geology and assessment of undiscovered oil and gas resources of the East Greenland Rift Basins Province, 2008

In 2007 the U.S. Geological Survey (USGS) completed an assessment of undiscovered, technically recoverable oil and gas resources in the East Greenland Rift Basins Province of Northeast Greenland. The province was selected as the prototype for the U.S. Geological Survey Circum-Arctic Resource Appraisal (CARA). In collaboration with the Geological Survey of Denmark and Greenland (GEUS), the province was subdivided into nine geologically distinctive areas. Seven of these were defined as Assessment Units (AUs), of which five were quantitatively assessed. These are: North Danmarkshavn Salt Basin, South Danmarkshavn Basin, Thetis Basin, Northeast Greenland Volcanic Province, and Liverpool Land Basin. Jameson Land Basin and the Jameson Land Basin Subvolcanic Extension were defined as AUs but were not quantitatively assessed. Onshore studies by GEUS and other organizations suggest that at least four stratigraphic intervals may contain potential source rocks for petroleum. The geological history of related areas in western Norway and burial history modeling suggest that Upper Jurassic strata are most likely to contain petroleum source rocks. A wide variety of possible trapping mechanisms are expected within the province. Potential traps in the North Danmarkshavn Salt Basin AU are dominated by structures formed through salt tectonics; those in the South Danmarkshavn Basin and the Northeast Greenland Volcanic Province are characterized by extensional structures and by stratigraphic traps in submarine fan complexes. Prospective inversion structures of Tertiary age are present along the western margin of South Danmarkshavn Basin AU, and the large horst block structures that separate the Danmarkshavn and Thetis Basins may provide numerous opportunities for traps in fault blocks and along various facies-related permeability barriers. Possible reservoirs include shallow marine to nonmarine sandstones of Middle Jurassic age, sandstones in Upper Jurassic synrift deposits, Cretaceous sandstones in submarine fan complexes, sandstones in Paleogene progradational sequences, and in Upper Carboniferous to Lower Permian warm-water carbonate sequences, especially in northern Danmarkshavn Basin. Marine shales are expected to provide the main sealing lithologies in most AUs. Most of the undiscovered oil, gas, and natural gas liquids are likely to be in the offshore areas of the province and are inferred to belong to an Upper Jurassic Composite Total Petroleum System. The USGS estimated that the East Greenland Rift Basins Province contains approximately (mean) 31,400 million barrels oil equivalent (MMBOE) of oil, natural gas, and natural gas liquids. Of the five assessed AUs, North Danmarkshavn Salt Basin and the South Danmarkshavn Basin are estimated to contain most of the undiscovered petroleum.

Professional Paper↗

New U.S. Geological Survey method for the assessment of reserve growth

Reserve growth is defined as the estimated increases in quantities of crude oil, natural gas, and natural gas liquids that have the potential to be added to remaining reserves in discovered accumulations through extension, revision, improved recovery efficiency, and additions of new pools or reservoirs. A new U.S. Geological Survey method was developed to assess the reserve-growth potential of technically recoverable crude oil and natural gas to be added to reserves under proven technology currently in practice within the trend or play, or which reasonably can be extrapolated from geologically similar trends or plays. This method currently is in use to assess potential additions to reserves in discovered fields of the United States. The new approach involves (1) individual analysis of selected large accumulations that contribute most to reserve growth, and (2) conventional statistical modeling of reserve growth in remaining accumulations. This report will focus on the individual accumulation analysis. In the past, the U.S. Geological Survey estimated reserve growth by statistical methods using historical recoverable-quantity data. Those statistical methods were based on growth rates averaged by the number of years since accumulation discovery. Accumulations in mature petroleum provinces with volumetrically significant reserve growth, however, bias statistical models of the data; therefore, accumulations with significant reserve growth are best analyzed separately from those with less significant reserve growth. Large (greater than 500 million barrels) and older (with respect to year of discovery) oil accumulations increase in size at greater rates late in their development history in contrast to more recently discovered accumulations that achieve most growth early in their development history. Such differences greatly affect the statistical methods commonly used to forecast reserve growth. The individual accumulation-analysis method involves estimating the in-place petroleum quantity and its uncertainty, as well as the estimated (forecasted) recoverability and its respective uncertainty. These variables are assigned probabilistic distributions and are combined statistically to provide probabilistic estimates of ultimate recoverable quantities. Cumulative production and remaining reserves are then subtracted from the estimated ultimate recoverable quantities to provide potential reserve growth. In practice, results of the two methods are aggregated to various scales, the highest of which includes an entire country or the world total. The aggregated results are reported along with the statistically appropriate uncertainties.

Scientific Investigations Report↗

Incorporating evolutionary insights to improve ecotoxicology for freshwater species

Ecotoxicological studies have provided extensive insights into the lethal and sublethal effects of environmental contaminants. These insights are critical for environmental regulatory frameworks, which rely on knowledge of toxicity for developing policies to manage contaminants. While varied approaches have been applied to ecotoxicological questions, perspectives related to the evolutionary history of focal species or populations have received little consideration. Here, we evaluate chloride toxicity from the perspectives of both macroevolution and contemporary evolution. First, by mapping chloride toxicity values derived from the literature onto a phylogeny of macroinvertebrates, fish, and amphibians, we tested whether macroevolutionary relationships across species and taxa are predictive of chloride tolerance. Next, we conducted chloride exposure tests for two amphibian species to assess whether potential contemporary evolutionary change associated with environmental chloride contamination influences chloride tolerance across local populations. We show that explicitly evaluating both macroevolution and contemporary evolution can provide important and even qualitatively different insights from those obtained via traditional ecotoxicological studies. While macroevolutionary perspectives can help forecast toxicological end points for species with untested sensitivities, contemporary evolutionary perspectives demonstrate the need to consider the environmental context of exposed populations when measuring toxicity. Accounting for divergence among populations of interest can provide more accurate and relevant information related to the sensitivity of populations that may be evolving in response to selection from contaminant exposure. Our data show that approaches accounting for and specifically examining variation among natural populations should become standard practice in ecotoxicology.

Evolutionary Applications↗

Life-history tradeoffs and reproductive cycles in Spotted Owls

The study of tradeoffs among life-history traits has long been key to understanding the evolution of life-history strategies. However, more recently, evolutionary ecologists have realized that reproductive costs have the potential to influence population dynamics. Here, we tested for costs of reproduction in the California Spotted Owl ( Strix occidentalis occidentalis ), and assessed whether costs of reproduction in year t &minus; 1 on reproduction in year t could be responsible for regionally synchronized biennial cycles in reproductive output. Logistic regression analysis and multistate mark&ndash;recapture models with state uncertainty revealed that breeding reduced the likelihood of reproducing in the subsequent year by 16% to 38%, but had no influence on subsequent survival. We also found that costs of reproduction in year t &minus; 1 were correlated with climatic conditions in year t , with evidence of higher costs during the dry phase of the El Ni&ntilde;o&ndash;Southern Oscillation. Using a simulation-based population model, we showed that strong reproductive costs had the potential to create biennial cycles in population-level reproductive output; however, estimated costs of reproduction appeared to be too small to explain patterns observed in Spotted Owls. In the absence of strong reproductive costs, we hypothesize that observed natural cycles in the reproductive output of Spotted Owls are related to as-yet-unmeasured, regionally concordant fluctuations in environmental conditions or prey resources. Despite theoretical evidence for demographic effects, our analyses illustrate that linking tradeoffs to actual changes in population processes will be challenging because of the potential confounding effects of individual and environmental variation.

The Auk↗

Juvenile salmonid monitoring following removal of Condit Dam in the White Salmon River Watershed, Washington, 2017

Condit Dam, at river kilometer 5.3 on the White Salmon River, Washington, was breached in 2011, and removed completely in 2012, providing anadromous salmonids with the opportunity to recolonize habitat blocked for nearly 100 years. Prior to dam removal, a multi-agency workgroup concluded that the preferred salmonid restoration alternative was to allow natural recolonization. Monitoring would assess fish recolonization efficacy, followed by management evaluation 5 years after dam removal. Limited monitoring of salmon and steelhead recolonization has occurred since 2011. The U.S. Geological Survey began juvenile salmonid monitoring in 2016 and did a second year during 2017, with sampling efforts like those of 2016. River conditions differed between the 2 years, both during (that is, high flows in 2017) and prior to (that is, 2015 summer drought conditions and December 2015 White Salmon River flood event) sampling. We operated a rotary screw trap at river kilometer 2.3 (3 kilometers downstream of the former dam site) from early April through early June to assess species diversity, and production of smolt and other migrant life stages. We also used backpack electrofishing during summer to assess juvenile salmonid distribution and abundance. Both sampling methods provided the opportunity to collect genetic samples (analysis of samples was not covered under funding received from the Mid-Columbia Fisheries Enhancement Group for the 2017 monitoring efforts) and to tag fish with passive integrated transponder (PIT) tags, which will provide life-history data through future recaptures and detections. The screw trap captured steelhead (anadromous rainbow trout, Oncorhynchus mykiss ), fry, parr, and smolts; coho salmon ( O. kisutch ) fry, parr, and smolts; and Chinook salmon ( O. tshwaytscha ) fry, parr, and one smolt. Prolonged high water and some missed trapping periods during 2017 prevented us from generating smolt estimates. Despite difficult trapping conditions, the number of coho salmon fry and parr, and steelhead fry and parr captured in 2017 exceeded those captured during 2016. The number of age-0 Chinook salmon captured in the screw trap during 2017 was much higher ( n = 222) than in 2016 ( n = 4). Electrofishing in tributaries provided information on distribution and abundance of juvenile coho salmon and O. mykiss . Juvenile coho salmon were again found in Mill and Buck Creeks and, for the first time, in Rattlesnake Creek (all three creeks are upstream of the former dam site). In both Rattlesnake and Buck Creeks, age-0 O. mykiss abundance decreased between 2016 and 2017; however, age-1 and older O. mykiss and age-0 coho salmon abundance increased between years at both sites. Data on O. mykiss abundance at sites in Buck and Rattlesnake Creeks is providing the opportunity to begin to understand trends and variability post-dam removal and to compare to pre-dam removal periods. Mean age-0 O. mykiss abundance (fish per meter [fish/m]) at the Rattlesnake Creek site has been slightly lower during post-dam removal (mean = 3.0, n = 2, range = 2.4–3.6) than pre-dam removal (mean = 3.4, n = 5, range = 1.5–5.1). However, the presence of juvenile coho salmon in Rattlesnake Creek during 2017 (0.5 fish/m) brought total age-0 salmonid abundance in 2017 to 2.9 fish/m. Mean age-1 or older O. mykiss abundance (fish/m) at the Rattlesnake Creek site has been lower post-dam removal (mean = 0.2, n = 2, range = 0.1–0.3) than pre-dam removal (mean = 0.5, n = 2, range = 0.3–0.8). Mean age-0 O. mykiss abundance (fish/m) at the Buck Creek site has been higher post-dam removal (mean = 2.1, n = 2, range = 1.2–3.0) than pre-dam removal (mean = 1.8, n = 2, range = 1.6–1.9). The addition of age-0 coho salmon to Buck Creek brings mean age-0 salmonid abundance post-dam removal to 2.7 fish/m (range = 1.9–3.4). Mean age-1 or older O. mykiss abundance (fish/m) in Buck Creek has been slightly higher post-dam removal (mean = 0.8, n = 2, range = 0.6–1.1) than pre-dam removal (mean = 0.6, n = 2, both years 0.6).

Washington↗

Lunar mare basaltic volcanism: Volcanic features and emplacement processes

Volcanism is a fundamental process in the geological evolution of the Moon, providing clues to the composition and structure of the mantle, the location and duration of interior melting, the nature of convection and lunar thermal evolution. Progress in understanding volcanism has been remarkable in the short 60-year span of the Space Age. Before Sputnik 1 in 1957, the lunar farside was unknown, the origin of the dark lunar maria was debated (sedimentary or volcanic), and significant controversy surrounded the question of how the multitude of craters on the surface formed. Was the Moon formed hot or cold, was the lunar surface young or old, were the craters of impact or volcanic origin? A lunar farside deficient in the darker maria was revealed by Luna 3 in 1959 ( Lipsky 1965a , b ). The Ranger, Lunar Orbiter, Surveyor, Luna and Zond missions significantly augmented pre-Sputnik telescopic observations and began to reveal the diversity of lunar geologic landforms. Return of lunar soil and rock samples from the lunar surface by Apollo (11–12, 14–17) ( Compton 1989 ) and Luna (16, 20, 24) missions ( Harvey 2007a , b ; Huntress and Marov 2011 ) changed the debates overnight ( Hinners 1971 ; Taylor 1975 ). The lunar rocks were igneous and extremely ancient, all from the first half of Solar System history; the oldest, highland anorthosites, were overlain by relatively younger, but still extremely old, extrusive basalts forming the maria.

Reviews in Mineralogy and Geochemistry↗

A vegetation history from the arid prepuna of northern Chile (22-23°S) over the last 13,500 years

The Quaternary paleoclimate of the central Andes is poorly understood due to numerous discrepancies among the diverse proxy records that span this geographically and climatically complex region. The exact timing, duration and magnitude of wet and dry phases are seldom duplicated from one proxy type to another, and there have been few opportunities to compare climatic records from the same proxy along environmental gradients. Vegetation histories from fossil rodent middens provide one such opportunity on the Pacific slope of the Andes. We previously reported a vegetation history from the upper margin (2400&ndash;3000 m) of the absolute desert in the central Atacama Desert of northern Chile. That record identified a distinct wet phase that peaked between 11.8 and 10.5 ka, when steppe grasses and other upland elements expanded as much as 1000 m downslope, and a secondary wet period during the middle to late Holocene (7.1&ndash;3.5 ka). The latter wet phase remains controversial and is not as readily apparent in our low-elevation midden record. We thus sought to replicate both phases in a midden record from the mid-elevations (3100&ndash;3300 m) of the arid prepuna, where slight precipitation increases would be amplified. Midden records from these elevations identify conditions wetter than today at 13.5&ndash;9.6, 7.6&ndash;6.3, 4.4&ndash;3.2 and possibly 1.8&ndash;1.2 ka. Dry phases occurred at 9.4&ndash;8.4 ka and possibly at ca. 5.1 ka. Present floras and modern hyperarid conditions were established after 3.2 ka. The records from the two elevational bands generally match with some important differences. These differences could reflect both the discontinuous aspect of the midden record and the episodic nature of precipitation and plant establishment in this hyperarid desert.

Palaeogeography, Palaeoclimatology, Palaeoecology↗

Gulf killifish (Fundulus grandis) in the Pecos River: Unique life history traits in a nonnative, island population

Nonnative species may display unique life history traits when established in habitats with distinctive environmental and biotic contexts compared with their native ecosystems. Gulf killifish ( Fundulus grandis ), native to coastal habitats of the Gulf of Mexico, are established in several inland river systems where they pose a potential threat to native fishes. In the Pecos River, Texas, nonnative Gulf killifish have shown a high rate of piscivory compared with native coastal populations; otherwise, little is known about the ecology of the species in inland systems. We examined reproductive characteristics, size, and age of Gulf killifish in the Pecos River. We found that reproduction takes place approximately between late March and September, with the gonadosomatic index of females showing a large and extended peak in spring and a second minor peak in late August–September. Our age estimations indicate that this population consists mostly of fish <2 years old, similarly to that reported for coastal populations. Total length ranged 11.9–143.4 mm for males and 32.3–162.5 mm for females, indicating a sexually dimorphic size structure with Pecos River individuals reaching larger sizes compared with coastal populations. The relatively large size and piscivorous nature of Gulf killifish, along with tolerance for a wide range of environmental conditions, are attributes in nonnative species hypothesized to promote invasion success and replacement of native species.

New Mexico, Texas↗

Uranium concentrations in groundwater, northeastern Washington

A study of uranium in groundwater in northeastern Washington was conducted to make a preliminary assessment of naturally occurring uranium in groundwater relying on existing information and limited reconnaissance sampling. Naturally occurring uranium is associated with granitic and metasedimentary rocks, as well as younger sedimentary deposits, that occur in this region. The occurrence and distribution of uranium in groundwater is poorly understood. U.S. Environmental Protection Agency (EPA) regulates uranium in Group A community water systems at a maximum contaminant level (MCL) of 30 μg/L in order to reduce uranium exposure, protect from toxic kidney effects of uranium, and reduce the risk of cancer. However, most existing private wells in the study area, generally for single family use, have not been sampled for uranium. This document presents available uranium concentration data from throughout a multi-county region, identifies data gaps, and suggests further study aimed at understanding the occurrence of uranium in groundwater. The study encompasses about 13,000 square miles (mi 2 ) in the northeastern part of Washington with a 2010 population of about 563,000. Other than the City of Spokane, most of the study area is rural with small towns interspersed throughout the region. The study area also includes three Indian Reservations with small towns and scattered population. The area has a history of uranium exploration and mining, with two inactive uranium mines on the Spokane Indian Reservation and one smaller inactive mine on the outskirts of Spokane. Historical (1977–2016) uranium in groundwater concentration data were used to describe and illustrate the general occurrence and distribution of uranium in groundwater, as well as to identify data deficiencies. Uranium concentrations were detected at greater than 1 microgram per liter (μg/L) in 60 percent of the 2,382 historical samples (from wells and springs). Uranium concentrations ranged from less than 1 to 88,600 μg/L, and the median concentration of uranium in groundwater for all sites was 1.4 μg/L. New (2017) uranium in groundwater concentration data were obtained by sampling 13 private domestic wells for uranium in areas without recent (2000s) water-quality data. Uranium was detected in all 13 wells sampled for this study; concentrations ranged from 1.03 to 1,180 μg/L with a median of 22 μg/L. Uranium concentrations of groundwater samples from 6 of the 13 wells exceeded the MCL for uranium. Uranium concentrations in water samples from two wells were 1,130 and 1,180 μg/L, respectively; nearly 40 times the MCL. Additional data collection and analysis are needed in rural areas where self-supplied groundwater withdrawals are the primary source of water for human consumption. Of the roughly 43,000 existing water wells in the study area, only 1,755 wells, as summarized in this document, have available uranium concentration data, and some of those data are decades old. Furthermore, analysis of area groundwater quality would benefit from a more extensive chemical-analysis suite including general chemistry in order to better understand local geochemical conditions that largely govern the mobility of uranium. Although the focus of the present study is uranium, it also is important to recognize that there are other radionuclides of concern that may be present in area groundwater.

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