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At least 1,405 records · Page 78Linked to original sources

Local climate and cultivation, but not ploidy, predict functional trait variation in Bouteloua gracilis (Poaceae)

Efforts to improve the diversity of seed 18 resources for important restoration species has become a high priority for land managers in many parts of the world. Relationships between functional trait values and the environment from which seed sources are collected can provide important insights into patterns of local adaptation and guidelines for seed transfer. However, little is known about which functional traits exhibit genetic differentiation across populations of restoration species and thus may contribute to local adaptation. Here, we report the results of a common garden experiment aimed at assessing genetic (including ploidy level) and environmental regulation of several functional traits among populations of Bouteloua gracilis, a dominant C4 grass and the most highly utilized restoration species across much of the Colorado Plateau. We found that leaf size and specific leaf area (SLA) varied significantly among populations, and were strongly correlated with the source population environment from which seeds were collected. However, variation in ploidy level had no significant effect on functional traits. Leaves of plants grown from commercial seed releases were significantly larger and had lower SLA than those from natural populations, a result that is concordant with the overall relation between climate and these two functional traits. We suggest that the patterns of functional trait variation shown here may extend to other grass species in the western USA, and may serve as useful proxies for more extensive genecology research. Furthermore, we argue that care should be taken to develop commercial seed lines with functional trait values that match those of natural populations occupying climates similar to target restoration sites.

Plant Ecology↗

U.S. Geological Survey Rewarding Environment Culture Study, 2002

In its 2001 review of the U.S. Geological Survey (USGS), the National Research Council (NRC, p. 126) cautioned that ?high-quality personnel are essential for developing high-quality science information? and urged the USGS to ?devote substantial efforts to recruiting and retaining excellent staff.? Recognizing the importance of the NRC recommendation, the USGS has committed time and resources to create a rewarding work environment with the goal of achieving the following valued outcomes: ? USGS science vitality ? Customer satisfaction with USGS products and services ? Employee perceptions of the USGS as a rewarding place to work ? Heightened employee morale and commitment ? The ability to recruit and retain employees with critical skills To determine whether this investment of time and resources was proving to be successful, the USGS Human Resources Office conducted a Rewarding Environment Culture Study to answer the following four questions. ? Question 1: Does a rewarding work environment lead to the valued outcomes (identified above) that the USGS is seeking? ? Question 2: Which management, supervisory, and leadership behaviors contribute most to creating a rewarding work environment and to achieving the valued outcomes that the USGS is seeking? ? Question 3: Do USGS employees perceive that the USGS is a rewarding place to work? ? Question 4: What actions can and should be taken to enhance the USGS work environment? To begin the study, a conceptual model of a rewarding USGS environment was developed to test assumptions about a rewarding work environment. The Rewarding Environment model identifies the key components that are thought to contribute to a rewarding work environment and the valued outcomes that are thought to result from having a rewarding work environment. The 2002 Organizational Assessment Survey (OAS) was used as the primary data source for the study because it provided the most readily available data. Additional survey data were included as they became available The dividends of creating a rewarding work environment can be great. As the results of the USGS Rewarding Environment Culture Study of 2002 indicate, creating a rewarding work environment is an investment that can have an important impact on the outcomes that the USGS values?the vitality of our science, the satisfaction of our customers, and the morale, commitment, and performance of our employees.

Open-File Report↗

Evidence of crustal contamination, sediment, and fluid components in the campanian volcanic rocks

The Campanian Volcanic Subprovince is part of the classic western potassic volcanic province of the Italian Peninsula. The Campanian volcanic products show the effects of shallow assimilation and fractional crystallisation, and the contribution of regional crustal sources (e.g., Hercynian basement-Calabrian crust). The Roccamonfina, Campi Flegrei, and Ventotene volcanic rocks are characterised by wide isotopic and geochemical variations. Such variations appear to reflect both AFC processes and chemical heterogeneity in the upper mantle that may be linked to subduction processes. Mixing curves (Th/Ce-, Ba/K- and Eu/Eu*-143Nd/144Nd) linking sediments and mantle end-members account for the variations in the Campanian Subprovince volcanic rocks with a sediment contribution of 2-10%. The upper mantle sources for the low- and high-K rocks at Roccamonfina have been constrained on the basis of a multi-element normalised diagram. The two sources require different amounts of sediment in the mantle wedge (LK???2% versus HK???10%) and a fluid component probably from altered ocean crust to explain the fluid mobile elements. Low-K Roccamonfina rocks are geochemically similar to those from Campi Flegrei, Ventotene, and Somma-Vesuvius, suggesting a similar proportion of sediment in their upper mantle source regions. ?? 2004 B.V. All rights reserved.

Journal of Volcanology and Geothermal Research↗

The Independent Volcanic Eruption Source Parameter Archive (IVESPA, version 1.0): A new observational database to support explosive eruptive column model validation and development

Eruptive column models are powerful tools for investigating the transport of volcanic gas and ash, reconstructing past explosive eruptions, and simulating future hazards. However, the evaluation of these models is challenging as it requires independent estimates of the main model inputs (e.g. mass eruption rate) and outputs (e.g. column height). There exists no database of independently estimated eruption source parameters (ESPs) that is extensive, standardized, maintained, and consensus-based. This paper introduces the Independent Volcanic Eruption Source Parameter Archive (IVESPA, ivespa.co.uk), a community effort endorsed by the International Association of Volcanology and Chemistry of the Earth’s Interior (IAVCEI) Commission on Tephra Hazard Modelling. We compiled data for 134 explosive eruptive events, spanning the 1902-2016 period, with independent estimates of: i) total erupted mass of fall deposits; ii) duration; iii) eruption column height; and iv) atmospheric conditions. Crucially, we distinguish plume top versus umbrella spreading height, and the height of ash versus sulphur dioxide injection. All parameter values provided have been vetted independently by at least two experts. Uncertainties are quantified systematically, including flags to describe the degree of interpretation of the literature required for each estimate. IVESPA also includes a range of additional parameters such as total grain size distribution, eruption style, morphology of the plume (weak versus strong), and mass contribution from pyroclastic density currents, where available. We discuss the future developments and potential applications of IVESPA and make recommendations for reporting ESPs to maximize their usability across different applications. IVESPA covers an unprecedented range of ESPs and can therefore be used to evaluate and develop eruptive column models across a wide range of conditions using a standardized dataset.

Journal of Volcanology and Geothermal Research↗

Atmospheric dust deposition varies by season and elevation in the Colorado Front Range, USA

As atmospheric dust deposition continues to increase across the southwestern United States, it has the potential to alter ecosystem productivity and structure by delivering nutrients, base cations, and pollutants to remote mountain sites. Due to the sparse distribution of dust monitoring sites, open questions remain about the spatial and temporal variability of dust fluxes and composition across mountainous terrain. We present a 1 year (November 2017 to November 2018) record of seasonal dust fluxes and composition from an elevation transect across the Colorado Front Range extending from the urban plains to the remote alpine. At all nine sites, dust was enriched in the essential nutrient phosphorus and the metals copper, zinc, lead, and cadmium, elements that are enriched in dust deposited at sites across the Rocky Mountain West. We observed a seasonal pattern in dust composition, with the highest concentrations of zinc and cadmium during the summer, when back trajectory modeling suggested a greater contribution of dust from local urban and agricultural regions to the east of the collection sites. During the summer, there was also a trend of higher dust fluxes at lower elevations; dust fluxes ranged from 18.9 ± 0.1 g m −2 yr −1 on the plains to 5.9 ± 0.2 g m −2 yr −1 in the alpine. Our results suggest that urban and agricultural land east of the Colorado Front Range is an important source of nutrients and pollutants to all elevations of the mountain range.

Colorado↗

Strontium isotopes reveal ephemeral streams used for spawning and rearing by an imperiled potamodromous cyprinid--Clear Lake hitch Lavinia exilicauda chi

Identification of habitats responsible for the successful production and recruitment of rare migratory species is a challenge in conservation biology. Here, a tool was developed to assess life stage linkages for the threatened potamodromous cyprinid Clear Lake hitch Lavinia exilicauda chi . Clear Lake hitch undertake migrations from Clear Lake (Lake County, CA, USA) into ephemeral tributary streams for spawning. An aqueous isoscape of strontium isotopic ratios ( 87 Sr/ 86 Sr) was constructed for Clear Lake and its watershed to trace natal origins and migration histories of adult recruits. Aqueous 87 Sr/ 86 Sr differentiated Clear Lake from 8 of 10 key tributaries and clustered into 5 strontium isotope groups (SIGs) with 100% classification success. Otolith 87 Sr/ 86 Sr showed all five groups contributed variably to the population. The age at which juveniles migrated from natal streams to Clear Lake ranged from 11 to 152 days (mean ± s.d., 43 ± 34 days) and was positively associated with the permanency of natal habitat. This information can be used by resource managers to develop conservation actions for Clear Lake hitch. This study demonstrates the utility of strontium isotopes in otoliths as a tool to identify important freshwater habitats occupied over the lifespan of an individual that would otherwise be challenging or impossible to trace with other methods.

California↗

Preface: Marine gas hydrate reservoir systems along the eastern continental margin of India: Results of the National Gas Hydrate Program Expedition 02

The 2015 India National Gas Hydrate Program (NGHP) Expedition 02 was conducted to obtain new information on the occurrence of gas hydrate systems and to advance the understanding of geologic controls on the formation of gas hydrate accumulations in the offshore of India. The ultimate goal of the NGHP effort is to assess the energy resource potential of marine gas hydrates in India. The Guest Editors for this special thematic issue of the Journal of Marine and Petroleum Geology (JMPG) have worked with more than 100 scientists and engineers to prepare the 45 individual reports included in this special issue to address the operational and technical contributions of the NGHP-02 Expedition. This thematic issue on natural gas hydrates in the offshore of India is built on the foundation of five previous JMPG thematic issues that focused on the scientific results of other marine gas hydrate expeditions. These foundational contributions include: (1) the “Scientific Results of the 2005 USDOE-Chevron JIP Drilling for Methane Hydrates Objectives in the Gulf of Mexico” (Volume 25, Issue 9, November 2008), (2) the “Resource and Hazard Implications of Gas Hydrates in the Northern Gulf of Mexico: Results of the 2009 Joint Industry Project Leg II Drilling Expedition” (Volume 34, Issue 1, June 2012), (3) the “Scientific Results of the Second Gas Hydrate Drilling Expedition in the Ulleung Basin (UBGH2), East Sea of Korea” (Volume 47, November 2013), (4) “Geologic Implications of Gas Hydrates in the Offshore of India: Results of the National Gas Hydrate Program Expedition 01” (Volume 58, Part A, December 2014), and (5) “Gas Hydrate Drilling in Eastern Nankai” (Volume 66, Part 2, September 2015). The NGHP-02 Expedition was conducted from 03-March- 2015 to 28-July- 2015 off the eastern coast of India. The first two months of the expedition were dedicated to establishing 25 new research sites that featured the drilling of a dedicated downhole logging hole at each site. The next three months of the NGHP-02 Expedition were dedicated to sediment coring and other downhole measurement operations at 10 of the sites established during the expedition’s first phase. The results of downhole logging, coring and formation pressure testing operations during NGHP-02 have confirmed the presence of large, highly concentrated gas hydrate accumulations in coarse-grained, sand-rich depositional systems throughout large portions of the Krishna-Godavari Basin. Post expedition research and reporting efforts included collaborative analysis of the unprecedented number of shipboard acquired data sets and core samples obtained during NGHP-02. The presentation of the scientific results of the NGHP-02 Expedition has culminated in the publication of the NGHP Expedition 02 Scientific Results Volume, which is represented by this Special Issue of the Journal of Marine and Petroleum Geology. This Special Issue features a series of four reports that summarize the operational and scientific results of NGHP-02 Expedition that are presented in the 41 technical reports included this Special Issue. The first summary report, “India National Gas Hydrate Program Expedition 02: Operational and Technical Summary,” focuses on reviewing the tools and operational procedures for the NGHP-02 Expedition that led to the acquisition of an unprecedented amount of high-quality downhole logging and core data from numerous pore-filling, fracture-filling, and sediment-displacement type gas hydrate occurrences. The summary report titled “India National Gas Hydrate Program Expedition 02 Summary of Scientific Results: Gas Hydrate Systems Along the Eastern Continental Margin of India” documents gas hydrate occurrences discovered during the NGHP-02 Expedition and examines geologic controls on the gas hydrate systems along the Eastern Continental Margin of India.

Journal of Marine and Petroleum Geology↗

Biochar modulates the dynamics of legacy nutrients in enhancing soil health and crop productivity

Most major crops in agricultural soils exhibit relatively low nutrient use efficiency for nitrogen (N), phosphorus (P), and potassium (K), often necessitating supplemental nutrient inputs to achieve sustainable yields. Furthermore, the increasing use of biowastes such as compost, manure, and biosolids, which frequently have nutrient ratios that do not match crop requirements, has contributed to excessive nutrient inputs and subsequent accumulation in soils. This situation has been further exacerbated by intensive farming practices involving multiple cropping cycles per season. Overuse of nutrients causes them to accumulate in the soil, creating a legacy nutrient pool. The application of biochar as soil amendment is considered a potential strategy to control legacy nutrients dynamics. The current review inspects the possible value of biochar in modulating legacy nutrient reserves in the soil, thereby increasing the bioavailability of nutrients and improving crop yield. This review discusses the search scope and synthesis approaches for the bibliometric methodological component through rigorous screening process (Preferred Reporting Items for Systematic Reviews and Meta-Analysis (PRISMA)), focusing on journal articles published in last 20 years that specifically address legacy nutrient management. The significance of the economic and environmental effects of legacy nutrients and the insufficient knowledge of how biochar application influences nutrient dynamics in soil highlight the necessity for additional research to address current gaps.

Land↗

Identifying sources of contaminants in urban stormwater and evaluation of their removal efficacy across a continuum of urban best management practices

Precipitation events in urban areas often result in stormwater runoff containing a diverse array of chemical contaminants. Although many traditional contaminants, such as nutrients, heavy metals, and polycyclic aromatic hydrocarbons have been studied extensively, only recently has evidence emerged showing that trace organic compounds (TrOCs), including pharmaceuticals, personal care products and pesticides are frequently found in stormwater runoff. As there is little existing information about the sources of TrOCs in urban stormwater or their removal efficacy across a range of stormwater treatment options, we conducted a study to address these knowledge gaps and to characterize the potential contribution of TrOCs to groundwater resources from stormwater infiltration practices, based on several synoptic measurements. The current study allowed us to enhance an existing effort to assess TrOC presence and toxicity in stormwater runoff and treatment pond outflow by addressing questions related to TrOC sources to stormwater and TrOC transport to groundwaters. Analysis of eDNA confirms multiple sources of TrOCs to stormwater including human sewage, dog waste, and feces from waterfowl. It is likely that the presence of some TrOCs detected in stormwater are the result of direct, untreated sewage inputs to stormwater from either human (i.e., leaking sewer infrastructure) or pet waste (washed from sidewalks into storm drains). The seasonal detection of avian eDNA is noteworthy as it highlights seasonality and patterns of migration patterns as contributing factors to stormwater contamination. In contrast to human and pet waste, which likely enters stormwater ponds via the stormwater conveyance system, avian feces may enter ponds either through stormwater runoff or through direct inputs by waterfowl stopping-over temporarily at stormwater ponds. Stormwater ponds had little effect in reducing TrOCs as determined by comparative inflow and outflow analysis. Our results also indicate that overall few TrOCs were present in receiving groundwater adjacent to underground infiltration basins, compared to inflow. However, some contaminants were present at relatively high concentrations compared to stormwater flowing into the basins. This is particularly true for pesticides and their degradants. Fewer TrOCs were detected in interstitial water collected near stormwater ponds compared to inflow and outflow. The presence and concentrations of TrOCs in outflow from ponds was generally similar to or higher than what was observed in inflow. The data collected as part of this study can be used to guide future research or monitoring in an effort to better understand TrOC fate and transport in the environment via stormwater BMPs. Specifically, more work is needed to track parcels of water as they flow through BMPs to better quantify transport and degradation of TrOCs, monitor flow into and out of ponds for mass balance calculations, and conduct tracer tests to better quantify the amount of water that monitoring wells are intercepting from underground infiltration basins. These results have been shared in multiple presentations and in meetings with high school teachers to develop age-appropriate curriculum to highlight the role of individuals in reducing and preventing stormwater contamination. The ongoing pandemic hindered some of these efforts (cancelled conferences; suspended MN Water Roundtable meetings; pre-occupation with teachers moving materials online), however, as dissemination activities become more common in the near future, we will continue to educate stakeholders and educators about the root causes and effects of urban stormwater contamination.

Minnesota↗

Geologic influence on induced seismicity: Constraints from potential field data in Oklahoma

Recent Oklahoma seismicity shows a regional correlation with increased wastewater injection activity, but local variations suggest that some areas are more likely to exhibit induced seismicity than others. We combine geophysical and drill hole data to map subsurface geologic features in the crystalline basement, where most earthquakes are occurring, and examine probable contributing factors. We find that most earthquakes are located where the crystalline basement is likely composed of fractured intrusive or metamorphic rock. Areas with extrusive rock or thick (>4 km) sedimentary cover exhibit little seismicity, even in high injection rate areas, similar to deep sedimentary basins in Michigan and western North Dakota. These differences in seismicity may be due to variations in permeability structure: within intrusive rocks, fluids can become narrowly focused in fractures and faults, causing an increase in local pore fluid pressure, whereas more distributed pore space in sedimentary and extrusive rocks may relax pore fluid pressure.

Oklahoma↗

Contribution of global groundwater depletion since 1900 to sea-level rise

Removal of water from terrestrial subsurface storage is a natural consequence of groundwater withdrawals, but global depletion is not well characterized. Cumulative groundwater depletion represents a transfer of mass from land to the oceans that contributes to sea-level rise. Depletion is directly calculated using calibrated groundwater models, analytical approaches, or volumetric budget analyses for multiple aquifer systems. Estimated global groundwater depletion during 1900–2008 totals ~4,500 km 3 , equivalent to a sea-level rise of 12.6 mm (>6% of the total). Furthermore, the rate of groundwater depletion has increased markedly since about 1950, with maximum rates occurring during the most recent period (2000–2008), when it averaged ~145 km 3 /yr (equivalent to 0.40 mm/yr of sea-level rise, or 13% of the reported rate of 3.1 mm/yr during this recent period).

Geophysical Research Letters↗

Black carbon dominated dust in recent radiative forcing on Rocky Mountain snowpacks

The vast majority of surface water resources in the semi-arid western United States start as winter snowpack. Solar radiation is a primary driver of snowmelt, making snowpack water resources especially sensitive to even small increases in concentrations of light absorbing particles such as mineral dust and combustion-related black carbon (BC). Here we show, using fresh snow measurements and snowpack modeling at 51 widely distributed sites in the Rocky Mountain region, that BC dominated impurity-driven radiative forcing in 2018. BC contributed three times more radiative forcing on average than dust, and up to 17 times more at individual locations. Evaluation of 2015 to 2018 archived samples from most of the same sites yielded similar results. These findings, together with long-term observations of atmospheric concentrations and atmospheric model studies, indicate that BC rather than dust has dominated radiative forcing by light absorbing impurities on snow for decades, indicating that mitigation strategies to reduce radiative forcing on headwater snow-water resources would need to focus on reducing winter and spring BC emissions.

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

Associations between accelerated glacier mass wastage and increased summer temperature in coastal regions

Low-elevation glaciers in coastal regions of Alaska, the Canadian Arctic, individual ice caps around the Greenland ice sheet, and the Patagonia Ice Fields have an aggregate glacier area of about 332 ?? 103 km 2 and account for approximately 42% of all the glacier area outside the Greenland and Antarctic ice sheets. They have shown volume loss, especially since the end of the 1980s, increasing from about 45% in the 1960s to nearly 67% in 2003 of the total wastage from all glaciers on Earth outside those two largest ice sheets. Thus, a disproportionally large contribution of coastal glacier ablation to sea level rise is evident. We examine cumulative standardized departures (1961-2000 reference period) of glacier mass balances and air temperature data in these four coastal regions. Analyses indicate a strong association between increases in glacier volume losses and summer air temperature at regional and global scales. Increases in glacier volume losses in the coastal regions also coincide with an accelerated rate of ice discharge from outlet glaciers draining the Greenland and West Antarctic ice sheets. These processes imply further increases in sea level rise. ?? 2006 Regents of the University of Colorado.

Arctic, Antarctic, and Alpine Research↗

California State Waters Map Series — Offshore of Point Reyes, California

This publication about the Offshore of Point Reyes map area includes ten map sheets that contain explanatory text, in addition to this descriptive pamphlet and a data catalog of geographic information system (GIS) files. Sheets 1, 2, and 3 combine data from four different sonar surveys to generate comprehensive high-resolution bathymetry and acoustic-backscatter coverage of the map area. These data reveal a range of physiographic features (highlighted in the perspective views on sheet 4) such as the flat, sediment-covered seafloor in Drakes Bay, as well as abundant “scour depressions” on the Bodega Head–Tomales Point shelf (see sheet 9) and local, tectonically controlled bedrock uplifts. To validate geological and biological interpretations of the sonar data shown in sheets 1, 2, and 3, the U.S. Geological Survey towed a camera sled over specific offshore locations, collecting both video and photographic imagery; these “ground-truth” surveying data are summarized on sheet 6. Sheet 5 is a “seafloor character” map, which classifies the seafloor on the basis of depth, slope, rugosity (ruggedness), and backscatter intensity and which is further informed by the ground-truth-survey imagery. Sheet 7 is a map of “potential habitats,” which are delineated on the basis of substrate type, geomorphology, seafloor process, or other attributes that may provide a habitat for a specific species or assemblage of organisms. Sheet 8 compiles representative seismic-reflection profiles from the map area, providing information on the subsurface stratigraphy and structure of the map area. Sheet 9 shows the distribution and thickness of young sediment (deposited over the last about 21,000 years, during the most recent sea-level rise) in both the map area and the larger Salt Point to Drakes Bay region, interpreted on the basis of the seismic-reflection data, and it identifies the Offshore of Point Reyes map area as lying within the Bodega Head–Tomales Point shelf, Point Reyes bar, and Bolinas shelf domains. Sheet 10 is a geologic map that merges onshore geologic mapping (compiled from existing maps by the California Geological Survey) and new offshore geologic mapping that is based on integration of high-resolution bathymetry and backscatter imagery (sheets 1, 2, 3), seafloor-sediment and rock samples (Reid and others, 2006), digital camera and video imagery (sheet 6), and high-resolution seismic-reflection profiles (sheet 8), as well as aerial-photographic interpretation of nearshore areas. The information provided by the map sheets, pamphlet, and data catalog have a broad range of applications. High-resolution bathymetry, acoustic backscatter, ground-truth-surveying imagery, and habitat mapping all contribute to habitat characterization and ecosystem-based management by providing essential data for delineation of marine protected areas and ecosystem restoration. Many of the maps provide high-resolution baselines that will be critical for monitoring environmental change associated with climate change, coastal development, or other forcings. High-resolution bathymetry is a critical component for modeling coastal flooding caused by storms and tsunamis, as well as inundation associated with longer term sea-level rise. Seismic-reflection and bathymetric data help characterize earthquake and tsunami sources, critical for natural-hazard assessments of coastal zones. Information on sediment distribution and thickness is essential to the understanding of local and regional sediment transport, as well as the development of regional sediment-management plans. In addition, siting of any new offshore infrastructure (for example, pipelines, cables, or renewable-energy facilities) will depend on high-resolution mapping. Finally, this mapping will both stimulate and enable new scientific research and also raise public awareness of, and education about, coastal environments and issues.

California↗

Conservation status of the world’s swan populations, Cygnus sp. and Coscoroba sp.: a review of current trends and gaps in knowledge

Recent estimates of the world’s swan Cygnus sp. populations indicate that there are currently between 1.5–1.6 million birds in 8 species, including the Coscoroba Swan Coscoroba coscoroba as an honorary swan. Monitoring programmes in Europe and North America indicate that most populations increased following the introduction of national and international legislation to protect the species during the early- to mid-20th century. A switch from feeding primarily on aquatic vegetation to foraging on farmland (especially high-energy arable crops) in winter during the second half of the 20th century, is also considered a contributing factor. Trumpeter Swans Cygnus buccinator famously increased from just 69 individuals known to exist in 1935 (although small numbers were missed) to c. 76,000 at the present time, and most of the northern hemisphere swan populations have continued to show increasing/stable trends over the last 20 years. The exception to this pattern is a decline since 1995 in the Northwest European Bewick’s Swan population, following an increase in its population size during the 1970s–1980s, which is now being addressed through implementation of an International Single Species Action Plan. A proposal to change enforcement regulations of the Migratory Bird Treaty Act in the United States is also of concern, as potentially undermining protection for Trumpeter Swans in North America, illustrating the importance of politics and legislation as well as on-the-ground measures for species conservation. Elsewhere, less is known about the trends and conservation status for swans in central and eastern Asia, though count and research programmes introduced in China, added to those underway in Japan and Korea, have recently greatly enhanced our knowledge of swan populations on the East Asian flyway. Trends for the Black Swan Cygnus atratus in Australia and for the Black-necked Swan Cygnus melancoryphus in South America are also poorly known, because of the large numbers involved for the former and a lack of coordinated counts across difficult terrain for the latter. These southern hemisphere species are considered vulnerable to water resource developments ( i.e . where diversion of water is shrinking wetlands), and to droughts associated with El Nino events and climate change. More extensive monitoring is therefore required to determine whether swan populations and species are stable, fluctuating or in decline.

Wildfowl↗

Coseismic slip and early afterslip of the 2015 Illapel, Chile, earthquake: Implications for frictional heterogeneity and coastal uplift

Great subduction earthquakes are thought to rupture portions of the megathrust, where interseismic coupling is high and velocity-weakening frictional behavior is dominant, releasing elastic deformation accrued over a seismic cycle. Conversely, postseismic afterslip is assumed to occur primarily in regions of velocity-strengthening frictional characteristics that may correlate with lower interseismic coupling. However, it remains unclear if fixed frictional properties of the subduction interface, coseismic or aftershock-induced stress redistribution, or other factors control the spatial distribution of afterslip. Here we use interferometric synthetic aperture radar and Global Position System observations to map the distribution of coseismic slip of the 2015 M w 8.3 Illapel, Chile, earthquake and afterslip within the first 38 days following the earthquake. We find that afterslip overlaps the coseismic slip area and propagates along-strike into regions of both high and moderate interseismic coupling. The significance of these observations, however, is tempered by the limited resolution of geodetic inversions for both slip and coupling. Additional afterslip imaged deeper on the fault surface bounds a discrete region of deep coseismic slip, and both contribute to net uplift of the Chilean Coastal Cordillera. A simple partitioning of the subduction interface into regions of fixed frictional properties cannot reconcile our geodetic observations. Instead, stress heterogeneities, either preexisting or induced by the earthquake, likely provide the primary control on the afterslip distribution for this subduction zone earthquake. We also explore the occurrence of coseismic and postseismic coastal uplift in this sequence and its implications for recent hypotheses concerning the source of permanent coastal uplift along subduction zones.

Journal of Geophysical Research B: Solid Earth↗

New tools for a legacy problem: How isotope tracers inform area of concern actions in the St. Louis River in Lake Superior

Numerous mercury (Hg) sources can contribute to biological burdens within the Great Lakes, including atmospheric deposition (e.g., precipitation), non-point source land runoff (e.g., watershed), and legacy contamination. Due to these different environmental entry points, it is often difficult to ascertain if legacy Hg contamination contributes to contemporary fish consumption advisories within Areas of Concern (AOCs), as designated by the United States-Canada Great Lakes Water Quality Agreement. In this study, we aimed to assess the contributions of legacy Hg to sediments in nearshore wetland habitats and co-located prey items (dragonfly larvae and yellow perch) within the St. Louis River AOC using Hg stable isotopes. We observed that nearshore sediments had the same Hg source portfolio as previously examined main channel sites. Furthermore, this data confirmed that two major Hg sources were contributing to sediments within nearshore regions of the St. Louis River AOC: legacy and watershed Hg. The contribution of legacy Hg was estimated in biota and demonstrated that up to 64% of the Hg in fish tissue in the lower estuary (St. Louis Bay) was from legacy sources, but that this percentage declined substantially when examining upstream regions of the AOC. These data indicate the influence of legacy Hg to the food web varies spatially within the St. Louis River. We further found that watershed Hg sources are an important Hg contributor to the St. Louis River, which likely applies to other impacted and unimpacted tributaries across the Great Lakes region.

Minnesota, Wisconsin↗

Self-noise models of five commercial strong-motion accelerometers

Strong‐motion accelerometers provide onscale seismic recordings during moderate‐to‐large ground motions (e.g., up to tens of m/s 2 peak). Such instruments have played a fundamental role in improving our understanding of earthquake source physics (Bock etal. , 2011), earthquake engineering (Youd et al. , 2004), and regional seismology (Zollo et al. , 2010). Although strong‐motion accelerometers tend to have higher noise levels than high‐quality broadband velocity seismometers, their higher clip‐levels provide linear recordings at near‐field sites even for the largest of events where a collocated broadband sensor would no longer be able to provide onscale recordings (Clinton and Heaton, 2002). Recently, the seismological community has begun to make use of strong‐motion accelerometer data even in the absence of large ground motions (e.g., Tibuleac et al. , 2011). The noise floor of the instruments often limits the usefulness of strong‐motion accelerometer data in such studies, because it obscures first arrivals or can make the traces dominated by noise. When a strong‐motion accelerometer is deployed in a quiet setting, the noise floors of the digitizer and the accelerometer tend to dominate the other noise sources (Cauzzi and Clinton, 2013). This situation is unlike that using broadband sensors, in which site conditions are typically the largest contributing source of noise in seismic data, especially at long periods (Wilson et al. , 2002). With the widespread deployment of strong‐motion accelerometers recorded on high resolution digitizers, it is now possible to get continuous high‐rate acceleration data in which the digitizer noise is not the dominant noise source (Cauzzi and Clinton, 2013). To better characterize the noise of a number of commonly deployed accelerometers in a standardized way, we conducted noise measurements on five different models of strong‐motion accelerometers. Our study was limited to traditional accelerometers (Fig. 1) and is in no way exhaustive.

Seismological Research Letters↗