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The U.S. Geological Survey's TRIGA® reactor

The U.S. Geological Survey (USGS) operates a low-enriched uranium-fueled, pool-type reactor located at the Federal Center in Denver, Colorado. The mission of the Geological Survey TRIGA® Reactor (GSTR) is to support USGS science by providing information on geologic, plant, and animal specimens to advance methods and techniques unique to nuclear reactors. The reactor facility is supported by programs across the USGS and is organizationally under the Associate Director for Energy and Minerals, and Environmental Health. The GSTR is the only facility in the United States capable of performing automated delayed neutron analyses for detecting fissile and fissionable isotopes. Samples from around the world are submitted to the USGS for analysis using the reactor facility. Qualitative and quantitative elemental analyses, spatial elemental analyses, and geochronology are performed. Few research reactor facilities in the United States are equipped to handle the large number of samples processed at the GSTR. Historically, more than 450,000 sample irradiations have been performed at the USGS facility. Providing impartial scientific information to resource managers, planners, and other interested parties throughout the world is an integral part of the research effort of the USGS.

Fact Sheet↗

SUTRA: A model for 2D or 3D saturated-unsaturated, variable-density ground-water flow with solute or energy transport

SUTRA (Saturated-Unsaturated Transport) is a computer program that simulates fluid movement and the transport of either energy or dissolved substances in a subsurface environment. This upgraded version of SUTRA adds the capability for three-dimensional simulation to the former code (Voss, 1984), which allowed only two-dimensional simulation. The code employs a two- or three-dimensional finite-element and finite-difference method to approximate the governing equations that describe the two interdependent processes that are simulated: 1) fluid density-dependent saturated or unsaturated ground-water flow; and 2) either (a) transport of a solute in the ground water, in which the solute may be subject to: equilibrium adsorption on the porous matrix, and both first-order and zero-order production or decay; or (b) transport of thermal energy in the ground water and solid matrix of the aquifer. SUTRA may also be used to simulate simpler subsets of the above processes. A flow-direction-dependent dispersion process for anisotropic media is also provided by the code and is introduced in this report. As the primary calculated result, SUTRA provides fluid pressures and either solute concentrations or temperatures, as they vary with time, everywhere in the simulated subsurface system. SUTRA flow simulation may be employed for two-dimensional (2D) areal, cross sectional and three-dimensional (3D) modeling of saturated ground-water flow systems, and for cross sectional and 3D modeling of unsaturated zone flow. Solute-transport simulation using SUTRA may be employed to model natural or man-induced chemical-species transport including processes of solute sorption, production, and decay. For example, it may be applied to analyze ground-water contaminant transport problems and aquifer restoration designs. In addition, solute-transport simulation with SUTRA may be used for modeling of variable-density leachate movement, and for cross sectional modeling of saltwater intrusion in aquifers at near-well or regional scales, with either dispersed or relatively sharp transition zones between freshwater and saltwater. SUTRA energy-transport simulation may be employed to model thermal regimes in aquifers, subsurface heat conduction, aquifer thermal-energy storage systems, geothermal reservoirs, thermal pollution of aquifers, and natural hydrogeologic convection systems. Mesh construction, which is quite flexible for arbitrary geometries, employs quadrilateral finite elements in 2D Cartesian or radial-cylindrical coordinate systems, and hexahedral finite elements in 3D systems. 3D meshes are currently restricted to be logically rectangular; in other words, they are similar to deformable finite-difference-style grids. Permeabilities may be anisotropic and may vary in both direction and magnitude throughout the system, as may most other aquifer and fluid properties. Boundary conditions, sources and sinks may be time dependent. A number of input data checks are made to verify the input data set. An option is available for storing intermediate results and restarting a simulation at the intermediate time. Output options include fluid velocities, fluid mass and solute mass or energy budgets, and time-varying observations at points in the system. Both the mathematical basis for SUTRA and the program structure are highly general, and are modularized to allow for straightforward addition of new methods or processes to the simulation. The FORTRAN-90 coding stresses clarity and modularity rather than efficiency, providing easy access for later modifications.

Water-Resources Investigations Report↗

Effects of biodiversity on ecosystem functioning: a consensus of current knowledge

Humans are altering the composition of biological communities through a variety of activities that increase rates of species invasions and species extinctions, at all scales, from local to global. These changes in components of the Earth's biodiversity cause concern for ethical and aesthetic reasons, but they also have a strong potential to alter ecosystem properties and the goods and services they provide to humanity. Ecological experiments, observations, and theoretical developments show that ecosystem properties depend greatly on biodiversity in terms of the functional characteristics of organisms present in the ecosystem and the distribution and abundance of those organisms over space and time. Species effects act in concert with the effects of climate, resource availability, and disturbance regimes in influencing ecosystem properties. Human activities can modify all of the above factors; here we focus on modification of these biotic controls. The scientific community has come to a broad consensus on many aspects of the relationship between biodiversity and ecosystem functioning, including many points relevant to management of ecosystems. Further progress will require integration of knowledge about biotic and abiotic controls on ecosystem properties, how ecological communities are structured, and the forces driving species extinctions and invasions. To strengthen links to policy and management, we also need to integrate our ecological knowledge with understanding of the social and economic constraints of potential management practices. Understanding this complexity, while taking strong steps to minimize current losses of species, is necessary for responsible management of Earth's ecosystems and the diverse biota they contain. Based on our review of the scientific literature, we are certain of the following conclusions: 1) Species' functional characteristics strongly influence ecosystem properties. Functional characteristics operate in a variety of contexts, including effects of dominant species, keystone species, ecological engineers, and interactions among species (e.g., competition, facilitation, mutualism, disease, and predation). Relative abundance alone is not always a good predictor of the ecosystem-level importance of a species, as even relatively rare species (e.g., a keystone predator) can strongly influence pathways of energy and material flows. 2) Alteration of biota in ecosystems via species invasions and extinctions caused by human activities has altered ecosystem goods and services in many well-documented cases. Many of these changes are difficult, expensive, or impossible to reverse or fix with technological solutions. 3) The effects of species loss or changes in composition, and the mechanisms by which the effects manifest themselves, can differ among ecosystem properties, ecosystem types, and pathways of potential community change. 4) Some ecosystem properties are initially insensitive to species loss because (a) ecosystems may have multiple species that carry out similar functional roles, (b) some species may contribute relatively little to ecosystem properties, or (c) properties may be primarily controlled by abiotic environmental conditions. 5) More species are needed to insure a stable supply of ecosystem goods and services as spatial and temporal variability increases, which typically occurs as longer time periods and larger areas are considered. We have high confidence in the following conclusions: 1) Certain combinations of species are complementary in their patterns of resource use and can increase average rates of productivity and nutrient retention. At the same time, environmental conditions can influence the importance of complementarity in structuring communities. Identification of which and how many species act in a complementary way in complex communities is just beginning. 2) Susceptibility to invasion by exotic species is strongly influenced by species composition and, under similar environmental conditions, generally decreases with increasing species richness. However, several other factors, such as propagule pressure, disturbance regime, and resource availability also strongly influence invasion success and often override effects of species richness in comparisons across different sites or ecosystems. 3) Having a range of species that respond differently to different environmental perturbations can stabilize ecosystem process rates in response to disturbances and variation in abiotic conditions. Using practices that maintain a diversity of organisms of different functional effect and functional response types will help preserve a range of management options. Uncertainties remain and further research is necessary in the following areas: 1) Further resolution of the relationships among taxonomic diversity, functional diversity, and community structure is important for identifying mechanisms of biodiversity effects. 2) Multiple trophic levels are common to ecosystems but have been understudied in biodiversity/ecosystem functioning research. The response of ecosystem properties to varying composition and diversity of consumer organisms is much more complex than responses seen in experiments that vary only the diversity of primary producers. 3) Theoretical work on stability has outpaced experimental work, especially field research. We need long-term experiments to be able to assess temporal stability, as well as experimental perturbations to assess response to and recovery from a variety of disturbances. Design and analysis of such experiments must account for several factors that covary with species diversity. 4) Because biodiversity both responds to and influences ecosystem properties, understanding the feedbacks involved is necessary to integrate results from experimental communities with patterns seen at broader scales. Likely patterns of extinction and invasion need to be linked to different drivers of global change, the forces that structure communities, and controls on ecosystem properties for the development of effective management and conservation strategies. 5) This paper focuses primarily on terrestrial systems, with some coverage of freshwater systems, because that is where most empirical and theoretical study has focused. While the fundamental principles described here should apply to marine systems, further study of that realm is necessary. Despite some uncertainties about the mechanisms and circumstances under which diversity influences ecosystem properties, incorporating diversity effects into policy and management is essential, especially in making decisions involving large temporal and spatial scales. Sacrificing those aspects of ecosystems that are difficult or impossible to reconstruct, such as diversity, simply because we are not yet certain about the extent and mechanisms by which they affect ecosystem properties, will restrict future management options even further. It is incumbent upon ecologists to communicate this need, and the values that can derive from such a perspective, to those charged with economic and policy decision-making.

Ecological Monographs↗

Assessing streamflow sensitivity to variations in glacier mass balance

The mountains ringing the Gulf of Alaska (GOA) receive upwards of 4–8 m yr −1 of precipitation (Simpson et al.2005; Weingartner et al. 2005; O’Neel 2012), much of which runs off into productive coastal waters. The alpine landscape is heavily glacierized, and storage and turnover of water by glaciers substantially influences the regional surface water balance (Neal et al. 2010). In turn, the land-to-ocean flux of freshwater impacts the biogeochemistry, physical oceanography, freshwater and marine ecology of the downstream components of the GOA ecosystem (e.g., Royer et al. 2001; Hood and Scott 2008). In this way, the links between terrestrial and ocean ecosystems along the GOA have widespread impacts on regional socioeconomic issues including water and hydropower resources, fish populations, and sea level change (Dorava and Milner 2000; Royer and Grosch 2006; Cherry et al. 2010; Gardner et al. 2013). Moreover, predicting future changes in physical, chemical and biological processes in near-shore ecosystems along the GOA hinges, in part, on developing a robust understanding of water storage and transfer by glaciers through streams to the ocean. Glacierized basins (i.e. presently ice covered as opposed to glaciated, or historically ice covered) are very efficient producers of runoff, yielding 2–10 times greater runoff than similarly sized, non-glacierized basins (Mayo 1984). The unique energy balance that characterizes these basins (Jansson et al. 2003; Hock 2005) results in substantial alterations to streamflow, even when fractional ice coverage is very small (Stahl and Moore 2006). Consistent and precise treatment of glacier runoff is key to accurate assessment of hydrologic, ecological and socioeconomic impacts, but previously used definitions for glacier runoff are variable. They include: 1) meltwater produced as negative annual mass balance (e.g., Fountain and Tangborn 1985); 2) storage changes in the monthly water budget, where solid precipitation is balanced by melt and evaporation (Huss 2011, concept #2); 3) meltwater derived from melting ice only (irrespective of melting snow or mass balance) (Nolin et al. 2010; Huss 2011, concept #1); 4) all meltwater derived from the glacier surface (Cogley et al. 2011, meltwater runoff); 5) total runoff from the glacier surface (meltwater runoff plus rain on the glacier) (Neal et al. 2010). Total glacier runoff (Definitions 4 and 5 above) includes a contribution from annual mass balance, i.e. the sum of accumulation and ablation through a mass balance year (Definition 1), or what has historically been referred to as the “net” balance (Cogley et al. 2011). Indeed, annual balance has been shown to be an important driver of streamflow trends in glacierized basins, with periods of persistent negative annual balance resulting in statistically significant increases in streamflow (e.g., Pellicciotti et al. 2010). However, in maritime climates, anomalies in glacier runoff can be disconnected from annual balance because of the high variability in winter precipitation. For example, positive anomalies in winter accumulation can result in elevated levels of glacier runoff in times of positive annual mass balance (Thayyen and Gergan 2010). Quantifying the impacts of changing glacier geometries (annual balance) on glacier runoff is essential for predicting future changes in streamflow in glacierized basins. However, determining the role that this component plays in total glacier runoff (Definition 5) requires consistent measurements of seasonal (or shorter period) mass balances, measurements of precipitation at multiple locations within a basin, and streamflow measurements in close proximity to a glacier’s terminus. Practical and logistical challenges associated with assembling such data sets typically preclude such partitioning. As a result, most analyses of the relationship between annual mass balance and streamflow rely on some component of model output to compute glacier runoff (e.g. Huss et al. 2008; Kaser et al. 2010). Ultimately, developing an understanding of how total glacier runoff will change in the future is critical for predicting downstream ecological impacts associated with changes in riverine fluxes of water, sediment, and solutes (e.g., metals and nutrients) to near-shore coastal ecosystems. The purpose of this paper is to evaluate relationships among seasonal and annual glacier mass balances, glacier runoff and streamflow in two glacierized basins in different climate settings. We use long-term glacier mass balance and streamflow datasets from the United States Geological Survey (USGS) Alaska Benchmark Glacier Program to compare and contrast glacier-streamflow interactions in a maritime climate (Wolverine Glacier) with those in a continental climate (Gulkana Glacier). Our overall goal is to improve our understanding of how glacier mass balance processes impact streamflow, ultimately improving our conceptual understanding of the future evolution of glacier runoff in continental and maritime climates.

Alaska↗

Use of the Legal-Institutional Analysis Model to assess hydropower licensing negotiations

In the United States, the Federal Energy Regulatory Commission (FERC) is responsible for issuing or renewing licenses for hydropower projects owned and operated by power companies. During the licensing process, these companies are required to consult with agencies and other parties that are affected by project operating regimes. Typical participants include state and federal fish and wildlife agencies, environmental interest groups, and the FERC. One of the most difficult tasks facing participants is to reach agreement about what kinds of environmental conditions should be placed on license. Researchers at the United States Geological Survey developed a model to analyze the institutional context of natural resource disputes. The Legal-Institutional Analysis Model (LIAM) is a computerized model that allows an analyst to determine the likely behavior of each organization in a conflict. The model also analyzes the types and levels of negotiating power held by each organization. Researchers at the USGS have used the model in several cases involving hydropower license applications. To use the model, they facilitate workshops for stakeholder groups in order to develop a shared understanding of the likely obstacles and opportunities for successful resolution of the issues. This allows a systematic workshop analyses to develop strategies for successful negotiations, because they are able to better understand the negotiation problem and work more effectively with both their allies and their competitors.

Conference Paper↗

Sea-floor geology and topography offshore in Eastern Long Island Sound

A gridded multibeam bathymetric dataset covers approximately 133.7 square kilometers of sea floor offshore in eastern Long Island Sound. Although originally collected for charting purposes during National Oceanic and Atmospheric Administration hydrographic survey H11997, these acoustic data, and the sea-floor sampling and photography stations subsequently occupied to verify them during USGS cruise 2010-015-FA, are part of an expanding series of studies that provide a fundamental framework for research and resource management (for example, cables, pipelines, and dredging) activities in this major East Coast estuary. Results show the composition and terrain of the seabed and provide information on sediment transport and benthic habitat. Bedrock outcrops, erosional outliers, lag deposits of boulders, scour depressions, and extensive gravel pavements are common in the eastern part of the study area. These features, which result from the near-constant exposure to strong tidal currents, indicate sedimentary environments dominated by processes associated with erosion. Large fields of transverse and barchanoid sand waves in the western part of the study area reflect slightly lower energy levels and sedimentary environments where processes associated with coarse bedload transport prevail.

Open-File Report↗

Preliminary lithologic, geotechnical, and geophysical data from drill hole CW-81-2, Chuitna West coal field, Cook Inlet region, Alaska

The drilling and logging activity described in this report was undertaken in July 1981, as part of the Energy Lands program of the U.S. Geological Survey. The general objectives of the project of which this work is a part are to provide an understanding of the nature, location, and extent of the engineering geology and environmental geology concerns in areas of potential coal development in the Cook Inlet region, Alaska. The lithologic, geotechnical, and geophysical data presented in this report include some of the data needed to evaluate geologic hazards, and to predict the response of geologic materials to large-scale coal mining and related development in the Chuitna West coal field of the Beluga coal resource area. Specifically, the information may be used in evaluation of natural- and cut-slope stability, spoil-pile stability, ground response to seismic activity, blasting effects, excavatability, ground-water conditions, and erosion potential. The drill site (fig. 1, point C), located on the edge of a small, gently sloping basin draining northwestward into the Chuitna River, is approximately 90 km, (55 mi) west of Anchorage, Alaska, and 29 km (18 mi) northwest of Tyonek, a native village on the northwest side of Cook Inlet.

Alaska↗

Long-term ecosystem and biogeochemical research in Loch Vale watershed, Rocky Mountain National Park, Colorado

Loch Vale watershed was instrumented in 1983 with initial support from the National Acid Precipitation Assessment Program to ask whether ecosystems of Rocky Mountain National Park (RMNP) were affected by acidic atmospheric deposition. Research and monitoring activities were expanded in 1991 by the U.S. Geological Survey Water, Energy, and Biogeochemical Budgets program to understand the processes, and their interactions, controlling water, energy, and biogeochemical fluxes. With help from many collaborators we have characterized trends and patterns in atmospheric deposition, climate, and hydrology, including glaciers and other ice features. Instead of acidic deposition, we documented high atmospheric inputs of reactive nitrogen (Nr), and have studied the ecological consequences in soils, surface water, and vegetation. Using paleolimnology, we documented the onset of human-caused change to lake primary producers ca. 1950 in response to increased Nr deposition and warming. Our results provided the basis for the Colorado Nitrogen Deposition Reduction Plan, a state policy that aims to reduce Nr emissions to protect resources in RMNP by 2032. Carbon cycle research revealed mountain wetlands now release more carbon than they store, and respiration and methane flux occurs even during winter through deep snow packs. Trend analyses found export of Nr to be closely tied to atmospheric inputs, but can lag in response to drought. Current research explores consequences of the combination of warming, changes in precipitation dynamics, and atmospheric deposition of Nr and dust on stream and lake CO 2 dynamics, lake biology and trophic state, and soil carbon composition. Dramatic increases in park visitors have prompted studies on the effects of recreational use on water quality. New tools such as remote sensing and high frequency instream water quality sensors are being applied to lake and stream studies. Monitoring, combined with experiments, models, and spatial comparisons is an essential foundation for science-based resource management.

Colorado↗

Fisheries sustainability: Perceptions from the ninth World Fisheries Congress

The World Fisheries Congress (WFC) is one of the largest global gatherings of fisheries professionals and scientists. It is held every 4 years with the purpose of sharing ideas and perspectives about new research, emerging issues, scientific breakthroughs, and governance related to fisheries science, industry, conservation, and management. The ninth WFC, held in Seattle (USA) in 2024, focused on fish and fisheries at the food–water–energy nexus and understanding fisheries sustainability from diverse perspectives. Fisheries sustainability is a goal shared globally that faces challenges across spatial scales from the implementation of good governance and accelerating anthropogenic pressures. Leveraging the unique opportunity to gain insights from WFC delegates, this study assesses perceptions of fisheries sustainability from diverse representation across career stage, geo­graphic region, and professional and cultural backgrounds. Survey results show that respondents (i.e., WFC delegates who chose to take the survey) perceived limited progress towards fisheries sustainability, often with a variable and unclear definition of what sustainability entails. Fish were primarily valued from a provisioning resource perspective, with environmental aspects of fisheries management and conservation seen as the area with the most progress and the greatest needs, rather than economic or social dimensions of fisheries.

Fisheries↗

Interannual variability of snowmelt in the Sierra Nevada and Rocky Mountains, United States: examples from two alpine watersheds

The distribution of snow and the energy flux components of snowmelt are intrinsic characteristics of the alpine water cycle controlling the location of source waters and the effect of climate on streamflow. Interannual variability of these characteristics is relevant to the effect of climate change on alpine hydrology. Our objective is to characterize the interannual variability in the spatial distribution of snow and energy fluxes of snowmelt in watersheds of a maritime setting, Tokopah Basin (TOK) in California's southern Sierra Nevada, and a continental setting, Green Lake 4 Valley (GLV4) in Colorado's Front Range, using a 12 year database (1996–2007) of hydrometeorological observations and satellite-derived snow cover. Snowpacks observed in GLV4 exhibit substantially greater spatial variability than in TOK (0.75 versus 0.28 spatial coefficient of variation). In addition, modeling results indicate that the net turbulent energy flux contribution to snowmelt in GLV4 is, on average, 3 times greater in magnitude (mean 29% versus 10%) and interannual variability (standard deviation 17% versus 6%) than in TOK. These energy flux values exhibit strong seasonality, increasing as the melt season progresses to times later in the year (R 2 = 0.54–0.77). This seasonality of energy flux appears to be associated with snowmelt rates that generally increase with onset date of melt (0.02 cm d -2 ). This seasonality in snowmelt rate, coupled to differences in hydrogeology, may account for the observed differences in correspondence between the timing of snowmelt and timing of streamflow in these watersheds.

Sierra Nevada;Rocky Mountains↗

Planning report for the Gulf Coast Regional Aquifer-System Analysis in the Gulf of Mexico coastal plain, United States

Large quantities of water for municipal, industrial and agriculture use are supplied from the aquifers in Tertiary and younger sediments over an area of about 225,000 square miles in the Coastal Plain of Alabama, Arkansas, Florida, Illinois, Kentucky, Louisiana, Mississippi, Missouri, Tennessee, and Texas. Three regional aquifer systems, the Mississippi Embayment aquifer system, the Coastal Lowlands aquifer system, and the Texas Coastal Uplands aquifer system have been developed to varying degrees throughout the area. A variety of problems has resulted from development such as movement of the saline-freshwater interface into parts of aquifers that were previously fresh, lowering of the potentiometric surface with resulting increases in pumping lift, and land-surface subsidence due to the compaction of clays within the aquifer. Increased demand for ground water is anticipated to meet the needs of urban growth, expanded energy development, and growth of irrigated agriculture. The U. S. Geological Survey initiated an eightyear study in 1981 to define the geohydrologic framework, describe the chemistry of the ground water, and to analyze the regional ground-water flow patterns. The objectives, plan, and organization of the study are described in this report and the major tasks to be undertaken are outlined.

Water-Resources Investigations Report↗

Coastal geoindicators of environmental change in the humid tropics

The primary geoindicators appropriate for monitoring environmental changes in the humid tropics are transitory surface water levels, shoreline position, wetlands distribution, coral reefs, landforms, and sediment sequence and composition. Lateral zonations and temporal successions of vegetation also can be used as geoindicators of riverine and shoreline changes. All of these coastal geoindicators are sensitive to regional tectonic processes and anthropogenic alterations and they typically reflect significant changes in coastal conditions such as fluvial processes, coastal energy, water quality, relative sea level, and sediment supply. Where humid tropical coasts coincide with active tectonic margins, indicators of seismic activity are critical to understanding Coastal changes associated with co-seismic subsidence or uplift, tsunamis, and liquefaction of coastal sediments. Coastal landforms and sedimentary deposits that record late Quaternary environmental changes include perched fluvial and marine terraces, delta-plain morphologies, crevassesplay deposits, peats and other paleosols, beach ridges, mud capes, and mud volcanoes. Although these features and deposits typically reflect environmental changes spanning more than 100 years, they are relevant to modern processes, management of coastal lands and resources, and prediction of future conditions. In some regions of the humid tropics, large coastal areas are unaffected by hurricanes or typhoons. Nevertheless, these tropical coasts are vulnerable to other non-storm processes, such as El Nin??o events, tsunamis, and monsoons that increase water levels, and cause widespread flooding and beach erosion. The environmental and political significance of coastal geoindicators increases when they are integrated and applied to issues of human safety and health such as hazards mapping, risk assessment, and dispersion of contaminated sediments. However, to be relevant, those socio-environmental applications demand accurate predictions of future trends and rates of change.

Environmental Geology↗

Sea-floor morphology and sedimentary environments in southern Narragansett Bay, Rhode Island

Multibeam echosounder data collected by the National Oceanic and Atmospheric Administration along with sediment samples and still and video photography of the sea floor collected by the U.S. Geological Survey were used to interpret sea-floor features and sedimentary environments in southern Narragansett Bay, Rhode Island, as part of a long-term effort to map the sea floor along the northeastern coast of the United States. Sea-floor features include rocky areas and scour depressions in high-energy environments characterized by erosion or nondeposition, and sand waves and megaripples in environments characterized by coarse-grained bedload transport. Two shipwrecks are also located in the study area. Much of the sea floor is relatively featureless within the resolution of the multibeam data; sedimentary environments in these areas are characterized by processes associated with sorting and reworking. This report releases bathymetric data from the multibeam echosounder, grain-size analyses of sediment samples, and photographs of the sea floor and interpretations of the sea-floor features and sedimentary environments. It provides base maps that can be used for resource management and studies of topics such as benthic ecology, contaminant inventories, and sediment transport.

Rhode Island↗

Brookian sequence well log correlation sections and occurrence of gas hydrates, north-central North Slope, Alaska

Gas hydrates are naturally occurring crystalline, ice-like substances that consist of natural gas molecules trapped in a solid-water lattice. Because of the compact nature of their structure, hydrates can effectively store large volumes of gas and, consequently, have been identified as a potential unconventional energy source. First recognized to exist geologically in the 1960s, significant accumulations of gas hydrate have been found throughout the world. Gas hydrate occurrence is limited to environments such as permafrost regions and subsea sediments because of the pressure and temperature conditions required for their formation and stability. Permafrost-associated gas hydrate accumulations have been discovered in many regions of the Arctic, including Russia, Canada, and the North Slope of Alaska. Gas hydrate research has a long history in northern Alaska. This research includes the drilling, coring, and well log evaluation of two gas hydrate stratigraphic test wells and two resource assessments of gas hydrates on the Alaska North Slope. Building upon these previous investigations, this report provides a summary of the pertinent well log, gas hydrate, and stratigraphic data for key wells related to gas hydrate occurrence in the north-central North Slope. The data are presented in nine well log correlation sections with 122 selected wells to provide a regional context for gas hydrate accumulations and the relation of the accumulations to key stratigraphic horizons and to the base of the ice-bearing permafrost. Also included is a well log database that lists the location, available well logs, depths, and other pertinent information for each of the wells on the correlation section.

Alaska↗

Water-balance techniques for determining available soil-water storage for selected sandy and clay soil study sites in Cass County, North Dakota, 2016–17

The U.S. Geological Survey, in cooperation with the U.S. Department of Agriculture Natural Resources Conservation Service, collected field and remotely sensed data on precipitation, evapotranspiration (ET), and soil-water content to determine available soil-water storage (AWS) at six study sites on sandy and clay soils in Cass County, North Dakota. Data were collected at all the study sites from May 1–October 31, 2016, and from May 1–October 24, 2017. Estimated daily AWS was determined using daily meteorological and potential evapotranspiration (PET) data obtained from various climate stations, and estimated monthly AWS was determined using monthly meteorological and PET data and monthly ET data determined using the Operational Simplified Surface Energy Balance model. AWS during 2016 and 2017 was determined at daily and monthly time steps because of data availability and to assess results using varying time steps. Comparisons of measured and estimated daily values of AWS at the Brewer Lake site indicated poor agreement during May–October 2016 and May–October 2017. Comparisons of measured and estimated daily values of AWS at the Embden East and Embden West sites indicated poor and fair agreement respectively. At the Lynchburg Crop and Lynchburg Grass sites, comparisons of measured and estimated daily values of AWS indicated fair and good relations, respectively, even with the possible effects of soil cracks. Mean estimated values of daily runoff plus soil percolation for the four sandy soil sites indicated that a maximum of about 19 percent of the estimated runoff plus soil percolation could be considered runoff and that the remaining 81 percent could be considered soil percolation, and for the two clay soil sites about 13 percent of the runoff plus soil percolation could have been considered runoff and about 87 percent could have been considered soil percolation. Results indicated little difference between using monthly PET or monthly ET in water-balance equations to estimate monthly AWS for the grouped sandy soil sites, and only slightly better results were obtained using monthly PET than monthly ET to estimate monthly AWS for the grouped clay soil study sites. Overall, the monthly water-balance models did not perform as well as the daily water-balance models for determining AWS at the six study sites. Additional data collection from a longer-period study and adjustments to the models may improve results from the monthly water-balance techniques.

North Dakota↗

Earth observation based assessment of the water production and water consumption of Nile Basin agro-ecosystems

The increasing competition for water resources requires a better understanding of flows, fluxes, stocks, and the services and benefits related to water consumption. This paper explains how public domain Earth Observation data based on Moderate Resolution Imaging Spectroradiometer (MODIS), Second Generation Meteosat (MSG), Tropical Rainfall Measurement Mission (TRMM) and various altimeter measurements can be used to estimate net water production (rainfall (P) > evapotranspiration (ET)) and net water consumption (ET > P) of Nile Basin agro-ecosystems. Rainfall data from TRMM and the Famine Early Warning System Network (FEWS-NET) RainFall Estimates (RFE) products were used in conjunction with actual evapotranspiration from the Operational Simplified Surface Energy Balance (SSEBop) and ETLook models. Water flows laterally between net water production and net water consumption areas as a result of runoff and withdrawals. This lateral flow between the 15 sub-basins of the Nile was estimated, and partitioned into stream flow and non-stream flow using the discharge data. A series of essential water metrics necessary for successful integrated water management are explained and computed. Net water withdrawal estimates (natural and humanly instigated) were assumed to be the difference between net rainfall (P net ) and actual evapotranspiration (ET) and some first estimates of withdrawals—without flow meters—are provided. Groundwater-dependent ecosystems withdraw large volumes of groundwater, which exceed water withdrawals for the irrigation sector. There is a strong need for the development of more open-access Earth Observation databases, especially for information related to actual ET. The fluxes, flows and storage changes presented form the basis for a global framework to describe monthly and annual water accounts in ungauged river basins.

Remote Sensing↗

Chemical analyses of coal from the Emery and Ferron Sandstone members of the Mancos Shale, Henry Mountains Field, Wayne and Garfield counties, Utah

As part of a continuing program by the U.S. Geological Survey to collect and chemically analyze representative samples of U.S. coals, 18 samples were collected from the Upper Cretaceous Emery and Ferron Sandstone Members of the Mancos Shale in the Henry Mountains coal field, Wayne and Garfield Counties, Utah (fig. 1). The 18 samples are briefly described in table 1. Thirteen of these samples were collected from seven holes that were drilled in connection with the Henry Mountains EMRIA (Energy Mineral Rehabilitation Inventory and Analyses) study (U.S. Department of the Interior, 1978). The locations of the seven core holes and the four other sampling sites are shown on figure 2. The Henry Mountains coal field is adjacent to the Henry Mountains of southeastern Utah. The basin is a long, narrow syncline about 110 km long and 24 km wide bounded on the west by the Waterpocket Fold and on the east by the Henry Mountains. The most comprehensive geologic report available on the area is by Hunt and others (1953). Their work included a considerable amount of information on the coal resources. Other work in the area concerning coal or stratigraphy of coal bearing units includes: Doelling (1972), Peterson and Ryder (1975), Doelling (1975), Law (1977; 1978; 1979 a,b), and U.S. Department of the Interior (1978). In the Henry Mountains field, there are three coal bearing units in rocks of Late Cretaceous age. In ascending order they are the Dakota Sandstone, the Ferron Sandstone Member of the Mancos Shale, and the Emery Sandstone Member of the Mancos Shale. The coal beds of the Henry Mountains coal field originated as layers of peat that were deposited, for the most part, in coastal swamp environments. Individual coal beds are discontinuous and exhibit large variations in thickness and quality. The thickest and most continuous coal beds occur in the Emery Sandstone Member along or near the axis of the Henry Mountains syncline (Law, 1978).

Utah↗

Young (<7 Ma) gold deposits and active geothermal systems of the Great Basin: Enigmas, questions, and exploration potential

Young gold systems in the Great Basin (£ 7 Ma), though not as well studied as their older counterparts, comprise a rapidly growing and in some ways controversial group. The gold inventory for these systems has more than doubled in the last 5 years from roughly 370 tonnes (12 Moz) to 890 tonnes (29 Moz). Although these deposits are characterized by low grades, tonnages can be high and stripping ratios low, and they have been mined profitably, as exemplified by Florida Canyon and Hycroft. Active geothermal systems in the Great Basin also comprise a rapidly growing group, as evidenced by a number of recent discoveries of geothermal groundwater and a more than 50% increase in electricity production capacity from these systems in the last 5 years. Many young gold deposits are closely associated with active geothermal systems, suggesting that gold deposits may be forming today in the Great Basin. Measured or estimated geothermal reservoir temperatures commonly approach or exceed 200∞C, and other characteristics and processes (advanced argillic caps, hydrothermal eruption breccias) of these young deposits resemble those of nearby Tertiary precious metal deposits. Nonetheless, many young gold systems, especially in Nevada, are not associated with coeval igneous rocks. Similarly, almost all electricity-grade geothermal systems in Nevada are not associated with Quaternary silicic volcanic rocks, and have lower temperature gradients, lower 3He/4He ratios, and lower dissolved trace element concentrations than most magmatic-heated geothermal systems elsewhere in the world. The increasing economic significance of young gold deposits and active geothermal systems justifies more research to better understand their origins, particularly because in some aspects they remain enigmatic and controversial. Are young gold deposits in Nevada truly amagmatic, or have they received metal and fluid contributions from magmas deeper within the crust? Has gold in these deposits been remobilized from older gold mineralization? Current research is investigating these and other questions to improve our genetic understanding of these young gold systems, which in turn can lead to improved exploration targeting. The recent rapid growth in resources for both young gold deposits and geothermal systems underscores their underdeveloped exploration potential. Even though many young gold deposits exhibit relatively shallow hot-springs-style mineralization, their young age may preclude exposure by erosion. Uplift along active normal faults has exposed some deposits (e.g., Florida Canyon, Dixie Comstock, Wind Mountain), but in other areas, such as the Walker Lane, where strike-slip faulting is prevalent, the opportunities for exposure can be limited. Many active geothermal systems are also concealed below the surface in that hot springs or steam vents may be absent above areas of thermal groundwater. With sources of energy to support mine production becoming more problematic, the potential advantages of simultaneously exploring for young gold deposits and spatially associated geothermal systems are becoming more apparent. Exploration methods recently proven effective in geothermal exploration that can be adapted to gold exploration include temperature surveys, hyperspectral remote sensing, geophysical surveys, water analyses, and detailed mapping of geothermal-related features and related fault systems.

Conference Paper↗