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Book review: Proceedings of the First International Snakehead Symposium

Snakehead fishes (family Channidae) are among the most maligned aquatic invasive species in the USA and some other countries where they have been introduced outside of their native range in Asia and Africa. Nevertheless, snakeheads continue to be widely exploited in the live‐food trade in aquaculture and wild‐capture fisheries, are highly sought by anglers, and are also popular in the aquarium trade (Courtenay and Williams 2004). The Northern Snakehead Channa argus is the most widespread of the three channid species that are currently naturalized in the USA. This species has generated much concern and controversy, a situation that is partly fueled by sensational media coverage and B‐grade science fiction horror films, such as “Frankenfish,” “Snakehead Terror,” and “Snakehead Swamp.” Media reports of snakehead introductions are often replete with provocative terms, such as “vicious,” “villain,” “voracious,” “monster,” “diabolical,” and even “ecological Armageddon.” When snakeheads first appeared in natural waters of the USA, fisheries professionals became increasingly interested in their status. Established populations rapidly expanded in the mid‐Atlantic region and Arkansas, with scattered reports of introduced snakeheads from isolated locations in Hawaii, California, North Carolina, Florida, the Upper Midwest, and New England. In 2002, snakeheads were added to the list of injurious fishes under the Lacey Act, thereby prohibiting their importation or transport across state lines without a permit. This symposium was conceived by the editors and other concerned fisheries professionals of the Mississippi River Basin Panel on Aquatic Invasive Species. The mission of the symposium, held in Alexandria, Virginia, in July 2018, was to bring together experts on snakehead biology and ecology and to synthesize existing information into summary papers. In this book, 35 authors contributed to 15 peer‐reviewed articles that detail the current state of knowledge about snakehead introductions in the USA. Additionally, 16 abstracts are included from meeting presentations that were not accompanied by full‐length manuscripts. Also included is a summary of a facilitated symposium panel discussion featuring eight experts representing state and federal natural resource agencies and private fishing organizations. The book is organized into six sections. In the first section (Distribution), three papers provide an overview of the Channa species introduced into the USA and historical accounts of occurrence and dispersal of the Northern Snakehead in the mid‐Atlantic region and Arkansas. The second section (Biology/Ecology) consists of two articles that examine growth and energetics of Northern Snakehead populations and two papers that investigate diet, diel feeding activity, and movement of this species in the Potomac River drainage. The third section (Monitoring/Response) includes a paper that models range expansion of the Northern Snakehead in the southeastern USA based on occurrence data and environmental conditions. Also included in this section is a paper summarizing an environmental DNA study to assess the status and range of the Bullseye Snakehead C. marulius in southern Florida. The fourth section (Management/Control) is comprised of four papers that address harvest, age and growth, and development of a stock–recruitment model to inform management decisions regarding control and mitigation for Northern Snakehead populations in the greater Chesapeake Bay area. The fifth section (Perspectives) includes a paper on the history of snakehead introductions in Japan and a thought‐provoking social commentary on the human dimensions of Northern Snakehead management. Abstracts in the final section provide brief summaries of a diversity of snakehead studies, including aspects of distribution, ecology, behavior, control and monitoring efforts, public outreach, and pathology. The summary of the panel discussion is an engaging dialogue about the challenges of snakehead management in the context of conflicts regarding snakeheads as injurious versus their value as game and food species. Most of this book is focused on the Northern Snakehead. Much has been done to document snakehead distributions and certain aspects of snakehead biology, such as diets, age, and growth. Less research has been devoted to understanding the ecological impacts of snakeheads to native aquatic communities and ecosystems. This book would have benefited from a chapter summarizing the current systematics and diversity of the Channidae to inform fisheries biologists about the morphological characteristics of the family, approximate numbers of genera and species, and taxonomic instability. Exemplifying the latter, recent molecular and morphological evidence indicates uncertainty regarding identification of the feral snakehead population in Florida (Adamson and Britz 2019). Those authors suggest that this population may have originated from western Thailand, a possibility that could have implications for understanding historical pathways of snakehead introductions into the USA. In comparison with many published AFS symposia, this volume is relatively narrow in scope and lacks cohesive integration. It will primarily be of interest to those fisheries professionals engaged in the study of snakeheads as well as other nonnative species for which there are contrasting social values regarding their management: whether to monitor and attempt control or eradication efforts or to maintain populations for harvest as game or food species. The book should serve to identify information gaps and guide future research.

Transactions of the American Fisheries Society↗

Modulators of mercury risk to wildlife and humans in the context of rapid global change

Environmental mercury (Hg) contamination is an urgent global health threat. The complexity of Hg in the environment can hinder accurate determination of ecological and human health risks, particularly within the context of the rapid global changes that are altering many ecological processes, socioeconomic patterns, and other factors like infectious disease incidence, which can affect Hg exposures and health outcomes. However, the success of global Hg-reduction efforts depends on accurate assessments of their effectiveness in reducing health risks. In this paper, we examine the role that key extrinsic and intrinsic drivers play on several aspects of Hg risk to humans and organisms in the environment. We do so within three key domains of ecological and human health risk. First, we examine how extrinsic global change drivers influence pathways of Hg bioaccumulation and biomagnification through food webs. Next, we describe how extrinsic socioeconomic drivers at a global scale, and intrinsic individual-level drivers, influence human Hg exposure. Finally, we address how the adverse health effects of Hg in humans and wildlife are modulated by a range of extrinsic and intrinsic drivers within the context of rapid global change. Incorporating components of these three domains into research and monitoring will facilitate a more holistic understanding of how ecological and societal drivers interact to influence Hg health risks.

Ambio↗

Sea-water systems for experimental aquariums; a collection of papers

This volume was created to provide a source of information on design, construction, and operation of experimental aquarium facilities. The idea developed out of our own frustrated search for published material on sea-water supply systems when we were planning facilities for the new Sandy Hook Marine Laboratory. We found that we had to spend many weeks visiting laboratories and many months corresponding with aquarists to obtain the information we needed. It became clear, as a result of this, that nearly everyone who has built a sea-water system has experienced similar difficulties.

Research Report↗

A prototype drought monitoring system integrating climate and satellite data

Droughts are natural hazards with varying patterns in space, time, and intensity. Their dynamic character challenges our ability in planning, predicting, monitoring, and providing relief to affected areas. Because of the spatial and temporal variability and multiple impacts of droughts, we need to improve the tools and data available for mapping and monitoring this phenomenon on all scales. A team of researchers from the US Geological Survey’s EROS Data Center, the National Drought Mitigation Center, and the High Plains Regional Climate Center are developing methods for regional-scale mapping and monitoring drought conditions for the conterminous U.S. Currently in its first year, the project is focusing on developing a prototype model for the central U.S. The ultimate goal of the project is to deliver timely geo-referenced information (in the form of maps and data) about areas where the vegetation is impacted by drought, using the Internet as the primary delivery mechanism. Data collected from the Advanced Very High Resolution Radiometer (AVHRR) sensor provide synoptic, near real time measurements of surface conditions. Previous studies have established significant relationships between climate variables and satellite-derived vegetation indices over non-irrigated croplands and grasslands. We are researching methods for integrating information provided by satellite-derived metrics on seasonal vegetation performance and climate-based drought indicators to produce a timely and spatially-detailed drought monitoring product. Eventually, this information, coupled with map products of key drought indicators, will be available to many end users for making critical and timely decisions, from farm to regional scale.

Conference Paper↗

Biology characterization breakout report

The primary goal of the biology characterization breakout group was to identify the strategies, tools, data priorities, and key partnerships needed to conduct baseline biological characterizations of deep-sea benthic environments across the U.S. EEZ in the Pacific. Discussions focused primarily on priorities for the characterization of deep-water (>200-meter depths) benthic biological communities; however, the group also emphasized that such characterizations need to be linked to efforts to characterize the overlying water column. The group was tasked with identifying how to prioritize exploration and characterization efforts, including how to identify priority geographic areas and specific methodologies needed to execute exploration activities. The expert community that provided input included representatives from various stakeholder groups actively working on deep-sea issues across the Pacific, including researchers and managers from government agencies, academic institutions, nongovernmental institutions, and the private sector. This report provides a summary of specific guidance identified as key for the successful exploration of deep-sea benthic habitats within the U.S. EEZ in the Pacific, as well as in adjacent international waters.

Conference Paper↗

How machine learning can improve predictions and provide insight into fluvial sediment transport in Minnesota

Understanding fluvial sediment transport is critical to addressing many environmental concerns such as exacerbated flooding, degradation of aquatic habitat, excess nutrients, and the economic challenges of restoring aquatic systems. However, fluvial sediment transport is difficult to understand because of the multitude of factors controlling the potential sources, delivery, mechanics, and storage of sediment in aquatic systems. While physical fluvial sediment samples are an integral part of developing solutions for these environmental concerns, samples cannot be collected at every river and time of interest. Therefore, accurate and cost-effective estimates of sediment loading are needed to manage riverine sediment transport at a multitude of scales (Ellison et al. 2016); also needed are methods to estimate sediment transport at sites where little or no physical samples have been collected (Gray & Simes 2008). The application of machine learning (ML) approaches to estimate sediment transport has grown over the past two decades (Afan et al. 2016). ML used in sediment transport research has shown multiple benefits over traditional approaches, such as increased prediction accuracy, the ability to learn complex linear and non-linear relations amongst the dataset and providing the ability to interpret these complex relations with important features used in the model (Cisty et al. 2021; Francke et al. 2008; Khan et al. 2021; Zounemat-Kermani et al. 2020; Cutler et al. 2007).

Minnesota↗

Whole-coal versus ash basis in coal geochemistry: a mathematical approach to consistent interpretations

Several standard methods require coal to be ashed prior to geochemical analysis. Researchers, however, are commonly interested in the compositional nature of the whole-coal, not its ash. Coal geochemical data for any given sample can, therefore, be reported in the ash basis on which it is analyzed or the whole-coal basis to which the ash basis data are back calculated. Basic univariate (mean, variance, distribution, etc.) and bivariate (correlation coefficients, etc.) measures of the same suite of samples can be very different depending which reporting basis the researcher uses. These differences are not real, but an artifact resulting from the compositional nature of most geochemical data. The technical term for this artifact is subcompositional incoherence. Since compositional data are forced to a constant sum, such as 100% or 1,000,000 ppm, they possess curvilinear properties which make the Euclidean principles on which most statistical tests rely inappropriate, leading to erroneous results. Applying the isometric logratio (ilr) transformation to compositional data allows them to be represented in Euclidean space and evaluated using traditional tests without fear of producing mathematically inconsistent results. When applied to coal geochemical data, the issues related to differences between the two reporting bases are resolved as demonstrated in this paper using major oxide and trace metal data from the Pennsylvanian-age Pond Creek coal of eastern Kentucky, USA. Following ilr transformation, univariate statistics, such as mean and variance, still differ between the ash basis and whole-coal basis, but in predictable and calculated manners. Further, the stability between two different components, a bivariate measure, is identical, regardless of the reporting basis. The application of ilr transformations addresses both the erroneous results of Euclidean-based measurements on compositional data as well as the inconsistencies observed on coal geochemical data reported on different bases.

International Journal of Coal Geology↗

Galliform exclusion from the Migratory Bird Treaty Act has produced an alternate conservation path, but no evidence for differences in population status

The Migratory Bird Treaty Act (MBTA) is critical to avian conservation in the United States, both through its protection of migratory birds and as a catalyst for a century of coordinated avian conservation. While more than 1,000 species are protected by MBTA, of extant bird species native to the continental U.S., only 20 species belonging to the order Galliformes are explicitly excluded. Management of galliforms has occurred largely without direct federal oversight, placing this group on a fundamentally different conservation path during the century following MBTA passage. In this paper, we review the historical context and biological justification for exclusion of galliforms from MBTA and synthesize how their present-day conservation differs from that of migratory birds. We find the most prominent difference between the two groups involves the scope of coordination among stakeholders. The U.S. government, primarily via the Department of Interior, acts as de facto coordinating body for migratory bird conservation and plays the central role in oversight, funding, and administration of management in the United States. In contrast, galliform management falls primarily to individual state wildlife agencies, and coordinated conservation efforts have been more ad hoc and unevenly spread across species. Migratory birds benefit from an almost universally greater scope of research and monitoring, scale of habitat conservation, and sophistication of harvest management compared with galliforms. Galliform harvest management plans, in particular, are less likely to use measurable objectives, reporting of uncertainty in population parameters, and explanation of harvest management techniques. Based on a review of species status lists (e.g., the U.S. Endangered Species Act), we found no evidence that galliforms were more frequently listed than migratory species. Regional trend estimates from the North American Breeding Bird Survey (BBS) were more likely to be negative for galliforms over the period 1966–2015, but this was primarily driven by Northern Bobwhite ( Colinus virginianus ). Data to assess galliform population status are generally poor, which complicates assessment for roughly half of galliform species. Increased support for coordination among state agencies and other stakeholders, similar to that applied to migratory birds, could help to ensure that galliform conservation is poised to tackle forthcoming challenges associated with global change.

North America↗

Modeling tidal freshwater marsh sustainability in the Sacramento-San Joaquin Delta under a broad suite of potential future scenarios

In this paper, we report on the adaptation and application of a one-dimensional marsh surface elevation model, the Wetland Accretion Rate Model of Ecosystem Resilience (WARMER), to explore the conditions that lead to sustainable tidal freshwater marshes in the Sacramento&ndash;San Joaquin Delta. We defined marsh accretion parameters to encapsulate the range of observed values over historic and modern time-scales based on measurements from four marshes in high and low energy fluvial environments as well as possible future trends in sediment supply and mean sea level. A sensitivity analysis of 450 simulations was conducted encompassing a range of eScholarship provides open access, scholarly publishing services to the University of California and delivers a dynamic research platform to scholars worldwide. porosity values, initial elevations, organic and inorganic matter accumulation rates, and sea-level rise rates. For the range of inputs considered, the magnitude of SLR over the next century was the primary driver of marsh surface elevation change. Sediment supply was the secondary control. More than 84% of the scenarios resulted in sustainable marshes with 88 cm of SLR by 2100, but only 32% and 11% of the scenarios resulted in surviving marshes when SLR was increased to 133 cm and 179 cm, respectively. Marshes situated in high-energy zones were marginally more resilient than those in low-energy zones because of their higher inorganic sediment supply. Overall, the results from this modeling exercise suggest that marshes at the upstream reaches of the Delta&mdash;where SLR may be attenuated&mdash;and high energy marshes along major channels with high inorganic sediment accumulation rates will be more resilient to global SLR in excess of 88 cm over the next century than their downstream and low-energy counterparts. However, considerable uncertainties exist in the projected rates of sea-level rise and sediment avail-ability. In addition, more research is needed to constrain future rates of aboveground and belowground plant productivity under increased CO<sub>2</sub> concentrations and flooding.

California↗

Ecosystem approach to inland fisheries: Research needs and implementation strategies

Inland fisheries are a vital component in the livelihoods and food security of people throughout the world, as well as contributing huge recreational and economic benefits. These valuable assets are jeopardized by lack of research-based understanding of the impacts of fisheries on inland ecosystems, and similarly the impact of human activities associated with inland waters on fisheries and aquatic biodiversity. To explore this topic, an international workshop was organized in order to examine strategies to incorporate fisheries into ecosystem approaches for management of inland waters. To achieve this goal, a new research agenda is needed that focuses on: quantifying the ecosystem services provided by fresh waters; quantifying the economic, social and nutritional benefits of inland fisheries; improving assessments designed to evaluate fisheries exploitation potential; and examining feedbacks between fisheries, ecosystem productivity and aquatic biodiversity. Accomplishing these objectives will require merging natural and social science approaches to address coupled social-ecological system dynamics. ?? 2010 The Royal Society.

Conference Paper↗

Range condition as input to water quality monitoring in the northern Plains

Federal Clean Water Act requires that states develop Total Maximum Daily Loads (TMDLs) for water bodies. Once the state has developed an inventory of TMDLs, it is required to provide public notice of the report and have it approved by the Environmental Protection Agency. The South Dakota Department of Environment and Natural Resources (DENR) is using the USDA’s annualized Agricultural Non-Point Source Pollution Model to determine what land use changes are required to meet TMDL goals (South Dakota DENR, 2006). Of the approximately 450 parameters required for running the model, several are related to the condition of range and pasture sites and their respective management practices. Range condition is highly correlated with the nature of runoff occurring in a site. In addition to assisting the DENR, USGS is interested in improving its overall ability to monitor Northern Plains range condition with particular emphasis on the seven state study area (Colorado, Kansas, Montana, Nebraska, North Dakota, South Dakota, and Wyoming) being addressed by the Drought Monitoring, Carbon Cycle Research, Phenological Trends and other projects. It is understood than no one project can develop tools that adequately characterize the dynamics of the region’s rangelands, but by developing a suite of tools brought together from a number of projects there exists the opportunity to provide state, regional, and tribal land managers with the ability to address their particular needs.

Colorado, Kansas, Montana, Nebraska, North Dakota,↗

U.S. Geological Survey Trace Elements and related reports through 1953

This report combines and brings up-to-date the information previously given in Trace Elements Investigations Report 325, "Numerical list of U.S. Geological Survey Trace Elements Reports to April 30, 1953," and Trace Elements Investigations Report 301, "Topical index and bibliography of U.S. Geological Survey Trace Elements and related reports." Part I is a numerical list of U.S. Geological Survey Trace Elements Investigations and Memorandum reports. It supersedes TEI-325. This part lists not only reports (followed by a date) that have been transmitted to the U.S. Atomic Energy Commission, but also reports in preparation (followed by an asterisk) for which tentative titles were available on December 31, 1953. Reports that have been published are indicated by the abbreviation of the medium of publication. (See also part II.) Part II is a reference guide to Trace Elements and related reports that are available to the public; this part supersedes Part 2 of the TEI-301 (published as Geological survey Circular 281). These reports are grouped according to the type of publication or release. Abstracts published in Nuclear Science Abstracts are not included in Part II, although certain TEI and TEM reports, the abstracts of which have been published in NSA, are so indicated in Part I. Publications in process on December 31, 1953, are designated by an asterisk. Part III is a finding list of states, areas, and subjects. It is based on information derived mostly from the titles of reports and, where titles are of a general nature, from a cursory review of the reports. This list is not a complete index of the information given in Trace Elements and related reports, but is designed to find subjects of major interest. Because of the numerous entries for Colorado and Utah, information has been listed by counties and, where possible, by subject under these states. Other states have county listings only if a county is included in the title of a report; otherwise, areas may be listed separately under the state. Major subjects are listed separately in the index and also where appropriate under states. Analytical methods and subjects related to analytical research are listed under Analytical Methods and Research, but not separately throughout the index. Most mineralogic studies are included under the heading Mineralogy, but are not necessarily listed according to location. Part IV is a finding list of authors. The words “with” and “and” are used to indicate seniority of authorship. For example, a listing of Jones and Brown indicates that Jones is the senior author. A listing of Jones with Brown indicates that Brown is the senior author. In both parts III and IV all Trace Elements reports are listed, as well as other related reports that have not been issued as Trace Elements reports. The following standard abbreviations have been used: TEI, Trace Elements Investigations report; TEM, Trace Elements Memorandum report; P, Professional Paper; B, Bulletin; C, Circular; J, Journal; OF, open file; TIS, Technical Information Service release; NSA, Nuclear Science Abstracts; QM, Quadrangle Map Series; and OM, Oil and Gas map or Mineral Investigations map or report.

Trace Elements Investigations↗

A capture-recapture survival analysis model for radio-tagged animals

In recent years, survival analysis of radio-tagged animals has developed using methods based on the Kaplan-Meier method used in medical and engineering applications (Pollock et al., 1989a,b). An important assumption of this approach is that all tagged animals with a functioning radio can be relocated at each sampling time with probability 1. This assumption may not always be reasonable in practice. In this paper, we show how a general capture-recapture model can be derived which allows for some probability (less than one) for animals to be relocated. This model is not simply a Jolly-Seber model because it is possible to relocate both dead and live animals, unlike when traditional tagging is used. The model can also be viewed as a generalization of the Kaplan-Meier procedure, thus linking the Jolly-Seber and Kaplan-Meier approaches to survival estimation. We present maximum likelihood estimators and discuss testing between submodels. We also discuss model assumptions and their validity in practice. An example is presented based on canvasback data collected by G. M. Haramis of Patuxent Wildlife Research Center, Laurel, Maryland, USA.

Book chapter↗

Post-fire rockfall and debris-flow hazard zonation in the Eagle Creek Fire burn area, Columbia River Gorge, Oregon: a tool for emergency managers and first responders

The Eagle Creek Fire engulfed 48,832 acres (196 km2) within the Columbia River Gorge, Oregon beginning September 2nd and was 100% contained by November 30th, 2017. The Columbia River Gorge area is steep and heavily forested characterized by cliffs and flanking talus slopes, receiving > 100 inches (> 254 cm) of precipitation annually. The Columbia River Gorge is a critical lifeline for Oregon and Washington, including interstate highway 84 (I-84) and state route 14 (SR-14), commercial train lines, freight traffic, major pipelines, shipping corridor, 1,000s of permanent residents, tourists and motorists, and major hydroelectric dams. Before the Eagle Creek Fire, there was significant landslide and debris-flow hazard. More than 80 landslides have been recorded in the Gorge during the last ~100 years, with 58 of these recorded in the exceptionally wet and stormy winters of 1996 and 1997. Several of these landslides damaged property and temporarily closed I-84, train and ship traffic. There is some uncertainty on the degree to which the fire will enhance debris-flow susceptibility, because the climate, terrain and geology is different from the regions where most post-fire debris-flow research has been conducted. A large portion of the Columbia River Gorge National Scenic Area, including popular hiking trails, remain closed 18 months after the fire, with the Historic Columbia River Highway opened 14 months after the fire. In the aftermath of the Eagle Creek Fire, emergency managers and first responders identified a critical need for a post-fire landslide response plan and hazard map. The Oregon Department of Transportation (ODOT), the Oregon Department of Geology and Mineral Industries (DOGAMI), and the U.S. Geological Survey (USGS) participated in the creation of the plan including making a landslide hazard map specific to their outlook, which includes swift decision making during emergencies such as landslide or flood events. This paper presents a perspective of post-fire debris flow-hazard response and assessment from the Eagle Creek burn area in the Columbia River Gorge, Oregon.

Oregon↗

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↗

The Soufriere Hills eruption, Montserrat, British West Indies: Introduction to special section, part 1

The special section on the eruption of Soufriere Hills volcano is a collection of 24 papers that summarises the early scientific work of the Montserrat Volcano Observatory. Part 1 of the special section, published in a previous issue of GRL , provided a sampling of the multidisciplinary investigations undertaken at Montserrat. The papers published in Part 1 included an overview of the eruption, investigations on seismicity, ground deformation studies, and petrology. The papers of this issue comprise Part 2 of the special section. These papers also cover a broad spectrum of topics, including various topics in seismology, petrology, pyroclastic flow models, gas chemistry, hydrothermal systems, and tsunami models. In general, papers in Part 1 may be said to be more observational- or data-orientated, and those of Part 2 more model-orientated, but indeed there is much overlap of descriptive material, data, and modelling within the individual contributions. Considered in total the collection presents a representative summary of the scientific effort carried out in Montserrat through much of 1997.

Geophysical Research Letters↗

Source pulse enhancement by deconvolution of an empirical Green's function

Observations of the earthquake source-time function are enhanced if path, recording-site, and instrument complexities can be removed from seismograms. Assuming that a small earthquake has a simple source, its seismogram can be treated as an empirical Green's function and deconvolved from the seismogram of a larger and/or more complex earthquake by spectral division. When the deconvolution is well posed, the quotient spectrum represents the apparent source-time function of the larger event. This study shows that with high-quality locally recorded earthquake data it is feasible to Fourier transform the quotient and obtain a useful result in the time domain. In practice, the deconvolution can be stabilized by one of several simple techniques. In this paper, the method is implemented and tested on high-quality digital recordings of aftershocks of the Jan. 9, 1982 Miramichi (New Brunswick) earthquake. In particular, seismograms from a Jan. 17 aftershock (017 13:33 GMT, local mag.=3.5) exhibit path or site effects which complicate the determination of source parameters. After deconvolution, the apparent far-field source of this event is a simple pulse in displacement with duration ≈ 0.07 second for both P and S.

Geophysical Research Letters↗

Ecoregions of Alaska

This publication represents a milestone in the U.S. global change research program on the land characterization of Arctic land processes. The book describes 20 ecological regions and includes a folded, color-coded map that shows them. The map legend summarizes the characteristics of each region and has 41 color photographs of representative sites. The map and accompanying information should prove helpful in making practical decisions concerning land management planning and in determining the availability of natural resources.

Alaska↗