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At least 1,423 records · Page 79Linked to original sources

Ecosystem response persists after a prolonged marine heatwave

Some of the longest and most comprehensive marine ecosystem monitoring programs were established in the Gulf of Alaska following the environmental disaster of the Exxon Valdez oil spill over 30 years ago. These monitoring programs have been successful in assessing recovery from oil spill impacts, and their continuation decades later has now provided an unparalleled assessment of ecosystem responses to another newly emerging global threat, marine heatwaves. The 2014–2016 northeast Pacific marine heatwave (PMH) in the Gulf of Alaska was the longest lasting heatwave globally over the past decade, with some cooling, but also continued warm conditions through 2019. Our analysis of 187 time series from primary production to commercial fisheries and nearshore intertidal to offshore oceanic domains demonstrate abrupt changes across trophic levels, with many responses persisting up to at least 5 years after the onset of the heatwave. Furthermore, our suite of metrics showed novel community-level groupings relative to at least a decade prior to the heatwave. Given anticipated increases in marine heatwaves under current climate projections, it remains uncertain when or if the Gulf of Alaska ecosystem will return to a pre-PMH state.

Alaska↗

Coral restoration can drive rapid increases in reef accretion potential

Coral-reef degradation is disrupting the balance between reef accretion and erosion and threatening the persistence of essential coral-reef habitats. In south Florida, most reefs are already net eroding, and without intervention, valuable ecosystem services may be lost. Coral restoration holds the potential to reverse those trends; however, typical restoration monitoring does not adequately capture key geo-ecological functions. We addressed this knowledge gap using carbonate budgets and Structure-from-Motion models to evaluate the impact of coral restoration on reef-accretion potential and structural complexity at eight offshore and three inshore coral reefs in the Lower Florida Keys. Within 2–6 years following outplanting, restoration of rapidly growing A. cervicornis populations increased reef-accretion potential to 2.8 mm y − 1 and drove significant increases in structural complexity. There was no measurable impact of restoring slower-growing, massive corals on reef-accretion potential inshore; however, whereas the severe 2023 coral-bleaching event immediately following our study caused near-complete mortality of A. cervicornis , 59% of massive corals survived, highlighting potential trade-offs between coral growth and survival on future restoration efficacy. We conclude that although restoration can produce rapid, small-scale increases in reef-accretion potential, there remain important uncertainties about how and whether ecosystem-scale benefits of restoration on important geo-ecological reef functions can persist long term.

south Florida↗

The occurrence and hazards of great subduction zone earthquakes

Subduction zone earthquakes result in some of the most devastating natural hazards on Earth. Knowledge of where great (moment magnitude M ≥ 8) subduction zone earthquakes can occur and how they rupture is critical to constraining future seismic and tsunami hazards. Since the occurrence of well-instrumented great earthquakes, such as the 2004 M 9.1 Sumatra–Andaman and 2011 M 9.1 Tohoku earthquakes, the hypotheses that plate age and convergence rate influence the ability of subduction zones to host large earthquakes have been dispelled. In this Review, we highlight how certain subduction zone properties might influence the location and characteristics of great earthquake rupture and impact seismic and tsunami hazard. The rupture characteristics of great earthquakes that most heavily impact earthquake hazards include the rupture extent (seaward and landward), location of strong motion-generating areas and earthquake recurrence. By contrast, large slip or displacement at the seafloor is one of the major controls of tsunami hazard. Future improvements in addressing hazards posed by subduction zones depend heavily on sustained geophysical monitoring in subduction zone systems (both onshore and offshore), expanded development of palaeoseismic data sets and improved integration of observations and models across disciplines and timescales.

Nature Reviews Earth & Environment↗

Wind-wave climate changes and their impacts

Wind-waves have an important role in Earth system dynamics through air–sea interactions and are key drivers of coastal and offshore hydro-morphodynamics that affect communities, ecosystems, infrastructure and operations. In this Review, we outline historical and projected changes in the wind-wave climate over the world’s oceans, and their impacts. Historical trend analysis is challenging owing to the presence of temporal inhomogeneities from increased numbers and types of assimilated data. Nevertheless, there is general agreement over a consistent historical increase in mean wave height of 1–3 cm yr −1 in the Southern and Arctic Oceans, with extremes increasing by >10 cm yr −1 for the latter. By 2100, mean wave height is projected to rise by 5–10% in the Southern Ocean and eastern tropical South Pacific, and by >100% in the Arctic Ocean. By contrast, reductions in mean wave height up to 10% are expected in the North Atlantic and North Pacific, with regional variability and uncertainty for changes in extremes. Differences between 1.5 °C and warmer worlds reveal the potential benefit of limiting anthropogenic warming. Resolving global-scale climate change impacts on coastal processes and atmospheric–ocean–wave interactions requires a step-up in observational and modeling capabilities, including enhanced spatiotemporal resolution and coverage of observations, more homogeneous data products, multidisciplinary model improvement, and better sampling of uncertainty with larger ensembles.

Nature Reviews Earth & Environment↗

Heterotrophy, microbiome, and location effects on restoration efficacy of the threatened coral Acropora palmata

The iconic and threatened Caribbean coral, Acropora palmata , is an essential reef-ecosystem engineer. Understanding the processes underpinning this coral’s survival and growth is essential to restoring this foundational species. Here, we compared replicate A. palmata colonies transplanted along 350 km of Florida’s offshore coral reef to determine holobiont and/or environmental variables that predict transplant success. We found a west-to-east gradient in coral physiology coupled with site-specific coral-associated microbiomes. Interestingly, no variables were linked to coral genet. Our results suggest that the unique oceanographic conditions with periodic upwelling events in the Dry Tortugas provide corals with greater opportunity for heterotrophy that in turn enhances coral growth and survivorship, and positively influences the microbiome. Our findings indicate that restoration efforts in the Dry Tortugas, and other places exhibiting higher food availability, could be most effective for A. palmata .

Florida↗

Three-dimenstional crustal velocity structure beneath the Strait of Georgia, British Columbia

The Strait of Georgia is a topographic depression straddling the boundary between the Insular and Coast belts in southwestern British Columbia. Two shallow earthquakes located within the strait ( M = 4.6 in 1997 and M = 5.0 in 1975) and felt throughout the Vancouver area illustrate the seismic potential of this region. As part of the 1998 Seismic Hazards Investigation of Puget Sound (SHIPS) experiment, seismic instruments were placed in and around the Strait of Georgia to record shots from a marine source within the strait. We apply a tomographic inversion procedure to first-arrival traveltime data to derive a minimum-structure 3-D P -wave velocity model for the upper crust to about 13 km depth. We also present a 2-D velocity model for a profile orientated across the Strait of Georgia derived using a minimum-parameter traveltime inversion approach. This paper represents the first detailed look at crustal velocity variations within the major Cretaceous to Cenozoic Georgia Basin, which underlies the Strait of Georgia. The 3-D velocity model clearly delineates the structure of the Georgia Basin. Taking the 6 km s −1 isovelocity contour to represent the top of the underlying basement, the basin thickens from between 2 and 4 km in the northwestern half of the strait to between 8 and 9 km at the southeastern end of the study region. Basin velocities in the northeastern half are 4.5–6 km s −1 and primarily represent the Upper Cretaceous Nanaimo Group. Velocities to the south are lower (3–6 km s −1 ) because of the additional presence of the overlying Tertiary Huntingdon Formation and more recent sediments, including glacial and modern Fraser River deposits. In contrast to the relatively smoothly varying velocity structure of the basin, velocities of the basement rocks, which comprise primarily Palaeozoic to Jurassic rocks of the Wrangellia Terrane and possibly Jurassic to mid-Cretaceous granitic rocks of the Coast Belt, show significantly more structure, probably an indication of the varying basement rock lithologies. The 2-D velocity model more clearly reveals the velocity layering associated with the recent sediments, Huntingdon Formation and Nanaimo Group of the southern Georgia Basin, as well as the underlying basement. We interpret lateral variation in sub-basin velocities of the 2-D model as a transition from Wrangellian to Coast Belt basement rocks. The effect of the narrow, onshore–offshore recording geometry of the seismic experiment on model resolution was tested to allow a critical assessment of the validity of the 3-D velocity model. Lateral resolution throughout the model to a depth of 3–5 km below the top of the basement is generally 10–20 km.

British Columbia↗

Seismic response of a typical shear-wall dominated high-rise condominium building during the January 7, 2020 Mw6.4 Indios, Puerto Rico earthquake

Seismic response records were retrieved from the monitored 21-story (53.26-m-tall) typical Puerto Rican reinforced-concrete shear-wall dominated El Castillo Building in Mayaguez, 50 km from the mainshock epicenter of the January 7, 2020, M w 6.4 offshore Indios, Puerto Rico earthquake. The shear-wall-to-floor areas of the building are 0.97 and 3.49 in the longitudinal and transverse directions, respectively, and have a slenderness ratio of 3.0 in the transverse direction. Basement and top-floor peak accelerations were 5% g and 12.8% g, respectively. Additionally, records from a nearby free-field station indicate a site period of 0.16 s. No visible damage was observed in the building after the earthquake. Spectral ratios and system identification allow identification of the transverse, longitudinal, and torsional fundamental periods as 0.97, 0.88, and 0.81 s, respectively, and are consistent with ASCE/SEI 7-16 (2017) formula. Damping percentages are 4.5%, 3.4%, and 2.2%, respectively. The maximum drift ratios are 0.20% and 0.12% in the longitudinal and transverse directions, well below the damage threshold for structural elements of ∼0.5%.

Mayaguez, San Juan↗

Field observations of swash zone flow patterns and 3D morphodynamics

Rapid video measurements of foreshore morphology and velocity were collected at Duck, NC in 1997 to investigate sediment transport processes in the swash zone. Estimates of foreshore evolution over a roughly 30 m cross-shore by 80 m alongshore study area were determined using a stereogrammetric technique. During the passage of a small storm (offshore wave heights increased from 1.4 to 2.5 m), the foreshore eroded nearly 40 cm in less than 4 hours. Dense, horizontal surface velocities were measured over a sub-region (roughly 30 m by 40 m) of the study area using a new particle image velocimetry technique. This technique was able to quantify velocities across the bore front approaching 5 m s –1 as well as the rapid velocities in the very shallow backwash flows. The velocity and foreshore topography measurements were used to test a three-dimensional energetics-based sediment transport model. Even though these data represent the most extensive and highly resolved swash measurements to date, the results showed that while the model could predict some of the qualitative trends in the observed foreshore change, it was a poor predictor of the observed magnitudes of foreshore change. Model — data comparisons differed by roughly an order of magnitude with observed foreshore changes on the order of 10's of centimeters and model predictions on the order of meters. This poor comparison suggests that future models of swash-zone sediment transport may require the inclusion of other physical processes such as bore turbulence, fluid accelerations and skewness, infiltration/exfiltration, water depth variations, and variable friction factors (to name a few).

North Carolina↗

Coastal evolution and sediment budget at the mouth of the Columbia River, USA

The coastal morphology of the Mouth of the Columbia River (MCR) has changed dramatically over the past century. Since the construction of jetties in 1914 and 1917, the inlet deepened and stabilized, the outer ebb delta migrated northward and offshore several kilometers, and the adjacent shorelines to the north and south prograded several hundreds of meters. Recently, high rates of erosion along these adjacent shorelines affecting parklands have raised questions about the cause of the erosion. The purpose of the sediment budget analysis presented here is to address these questions by quantitatively examining the links between the morphology change of the shoreline and the ebb delta and historical changes in local and regional sediment supply.

Oregon, Washington↗

11 things a geologist thinks an engineer should know about carbonate beaches

This is a review of the geological aspects of carbonate beaches that a geologist thinks may be useful for an engineer. Classical geologic problems of carbonate beaches, for example how ancient examples are recognized in rock sequences, are of little interest to engineers. Geologists not involved in engineering problems may find it difficult to know what an engineer should understand about carbonate beaches. Nevertheless, there are at least eleven topics that are potentially very useful for engineers to keep in mind. These eleven are chosen with as much thought going into what has been omitted as has been given to the eleven included topics. Some qualifications are in order: First, this paper does not discuss certain kinds of carbonate shorelines that are beyond the scope of engineering issues. For example, this review does not discuss very high-energy carbonate boulder beaches. These beaches are comprised of pieces of carbonate material ganging in size from ten centimeters to meters. Typically, these are high-energy storm deposits formed from pieces of either eroded carbonate rock or other large carbonate pieces such as pieces of large corals. This paper focuses on sand-sized (0.0625–2.0 mm) coastal carbonate deposits. Second, offshore beaches will not be discussed. There are many carbonate beaches that form on banks or shoals exposed at low tide, but our discussion is confined to what most people think of when they go to some tropical island and/or resort and walk out to lay on the beach. Third, this paper does not consider mixed carbonate/quartz sand beaches. While mixed beaches are common, only the end member of purely carbonate sand beaches is considered. Fourth, there will be no order of preference of the eleven topics. And lastly, these eleven topics are not consensus items. These are simply one geologist s thoughts about the aspects of carbonate beaches that would be useful for engineering colleagues to keep in mind. Where possible, general reference is made to textbooks that will lead the reader to extensive literature on carbonate sediments. Several of the topics are not so broad as to have had a large general treatment in texts, and in those cases some original literature is cited.

Conference Paper↗

The response of spit shapes to wave-angle climates

We investigate spit formation and evolution in light of the high-wave-angle instability in shoreline shape arising from a maximizing angle for wave-driven alongshore sediment transport. Single spits emerge in a simple one-contour line numerical model that evolves the coast using morphodynamic feedbacks and a 'climate' of waves approaching the shore from variable directions. Analysis of sediment transport and shoreline stability metrics illustrate how spits can be generated, demonstrating how waves from all angles can play a role in spit formation and evolution. Simulations suggest that regardless of whether high- or low-angle waves dominate relative to the general shoreline trend, as spits extend offshore, they tend to orient themselves such that most of their coast barely experiences low-angle waves and alongshore sediment transport to the spit end is maximized. This 'graded' spit shape minimizes gradients in sediment flux, while the recurve at the spit end experiences larger gradients and a region of high-angle instability. Examining hindcast wave data, similar trends are seen along the natural example of Long Point, Lake Erie, Canada. ?? 2007 ASCE.

Conference Paper↗

Impact of the Deepwater Horizon oil spill on a deep-water coral community in the Gulf of Mexico

To assess the potential impact of the Deepwater Horizon oil spill on offshore ecosystems, 11 sites hosting deep-water coral communities were examined 3 to 4 mo after the well was capped. Healthy coral communities were observed at all sites >20 km from the Macondo well, including seven sites previously visited in September 2009, where the corals and communities appeared unchanged. However, at one site 11 km southwest of the Macondo well, coral colonies presented widespread signs of stress, including varying degrees of tissue loss, sclerite enlargement, excess mucous production, bleached commensal ophiuroids, and covering by brown flocculent material (floc). On the basis of these criteria the level of impact to individual colonies was ranked from 0 (least impact) to 4 (greatest impact). Of the 43 corals imaged at that site, 46% exhibited evidence of impact on more than half of the colony, whereas nearly a quarter of all of the corals showed impact to >90% of the colony. Additionally, 53% of these corals’ ophiuroid associates displayed abnormal color and/or attachment posture. Analysis of hopanoid petroleum biomarkers isolated from the floc provides strong evidence that this material contained oil from the Macondo well. The presence of recently damaged and deceased corals beneath the path of a previously documented plume emanating from the Macondo well provides compelling evidence that the oil impacted deep-water ecosystems. Our findings underscore the unprecedented nature of the spill in terms of its magnitude, release at depth, and impact to deep-water ecosystems.

PNAS↗

Using diets to reveal overlap and egg predation among benthivorous fishes in Lake Michigan

Ecological stability in the Laurentian Great Lakes has been altered by nonindigenous species, such as the Round Goby Neogobius melanostomus and dreissenid mussels, and by declines in native amphipods Diporeia spp. We evaluated whether these changes could influence diet overlap between three benthivorous fishes (Slimy Sculpin Cottus cognatus, Deepwater Sculpin Myoxocephalus thompsonii, and Round Goby) and whether predation on eggs of native species was occurring. We examined diets of fish collected at depths of 69–128 m in Lake Michigan offshore of Frankfort and Muskegon, Michigan, and Two Rivers and Sturgeon Bay, Wisconsin, during January–May 2009 and 2010. Important prey (by dry weight proportion and by percent frequency of occurrence) for Slimy Sculpin were Mysis (0.34; 45%), Diporeia (0.16; 34%), and Limnocalanus macrurus (0.22; 68%); important prey for Deepwater Sculpin were Mysis (0.74; 92%) and Diporeia (0.16; 54%). Round Goby consumed mainly bivalves (i.e., dreissenids: 0.68; 95%) and Mysis (0.15; 37%). The two sculpin species consumed the eggs of Bloaters Coregonus hoyi (Slimy Sculpin: 0.04, 11%; Deepwater Sculpin: 0.02, 7%) and the eggs of Deepwater Sculpin (Slimy Sculpin: 0.03, 13%; Deepwater Sculpin: 0.05, 16%) during February–May at all sites. Round Goby also consumed eggs of these species but at lower levels (≤0.01; <1%). Diet overlap was identified between sculpin species at Frankfort and Sturgeon Bay, suggesting possible interspecific competition, but their diets did not overlap at Two Rivers; diet overlap was never observed between Round Goby and either sculpin species. Given that (1) diet overlap varied by site and (2) diet proportions varied spatially more than temporally, benthivores appear to be exhibiting localized responses to recent ecological changes. Overall, these results reveal that egg predation and interspecific competition could be important interactions to consider in future examinations of the population dynamics of these species or in ecosystem models that forecast how fisheries will respond to possible perturbations or management scenarios.

Michigan↗

Feeding ecology of pelagic larval Burbot in Northern Lake Huron, Michigan

Burbot Lota lota are a key demersal piscivore across the Laurentian Great Lakes whose populations have declined by about 90% in recent decades. Larval Burbot typically hatch in the early spring and rely on abundant crustacean zooplankton prey. We examined the stomach contents of larval Burbot from inshore (&le;15 m) and offshore sites (37 and 91 m) in northern Lake Huron, Michigan. Concurrent zooplankton vertical tows at the same sites showed that the prey community was dominated by calanoid copepods, dreissenid mussel veligers, and rotifers. Burbot consumed mostly cyclopoid copepods, followed by copepod nauplii and calanoid copepods. Chesson's index of selectivity was calculated and compared among sites and months for individual Burbot. According to this index, larval Burbot exhibited positive selection for cyclopoid copepods and copepod nauplii and negative selection for calanoid copepods, cladocerans, rotifers, and dreissenid veligers. This selectivity was consistent across sites and throughout the sampling period. Burbot displayed little variation in their prey preferences during the larval stage, which suggests that the recent shifts in zooplankton abundance due to the invasion of the predatory zooplankter Bythotrephes longimanus and competition from invasive Rainbow Smelt Osmerus mordax could negatively impact larval Burbot populations.

Michigan↗

Ups and Downs of Burbot and their predator Lake Trout in Lake Superior, 1953-2011

The fish community of Lake Superior has undergone a spectacular cycle of decline and recovery over the past 60 years. A combination of Sea Lamprey Petromyzon marinus depredation and commercial overfishing resulted in severe declines in Lake Trout Salvelinus namaycush, which served as the primary top predator of the community. Burbot Lota lota populations also declined as a result of Sea Lamprey depredation, largely owing to the loss of adult fish. After Sea Lamprey control measures were instituted in the early 1960s, Burbot populations rebounded rapidly but Lake Trout populations recovered more slowly and recovery was not fully evident until the mid-1980s. As Lake Trout populations recovered, Burbot populations began to decline, and predation on small Burbot was identified as the most likely cause. By 2000, Burbot densities had dropped below their nadir in the early 1960s and have continued to decline, with the densities of juveniles and small adults falling below that of large adults. Although Burbot populations are at record lows in Lake Superior, the density of large reproductive adults remains stable and a large reserve of adult Burbot is present in deep offshore waters. The combination of the Burbot's early maturation, long life span, and high fecundity provides the species with the resiliency to remain a viable member of the Lake Superior fish community into the foreseeable future.

Lake Superior↗

Large-scale changes in bloater growth and condition in Lake Huron

Native Bloaters Coregonus hoyi have exhibited multiple strong year-classes since 2005 and now are the most abundant benthopelagic offshore prey fish in Lake Huron, following the crash of nonnative Alewives Alosa pseudoharengus and substantial declines in nonnative Rainbow Smelt Osmerus mordax . Despite recent recoveries in Bloater abundance, marketable-size (>229 mm) Bloaters remain scarce. We used annual survey data to assess temporal and spatial dynamics of Bloater body condition and lengths at age in the main basin of Lake Huron from 1973 to 2014. Basinwide lengths at age were modeled by cohort for the 1973–2003 year-classes using a von Bertalanffy growth model with time-varying Brody growth coefficient ( k ) and asymptotic length ( ) parameters. Median Bloater weights at selected lengths were estimated to assess changes in condition by modeling weight–length relations with an allometric growth model that allowed growth parameters to vary spatially and temporally. Estimated Bloater lengths at age declined 14–24% among ages 4–8 for all year-classes between 1973 and 2004. Estimates of declined from a peak of 394 mm (1973 year-class) to a minimum of 238 mm (1998 year-class). Observed mean lengths at age in 2014 were at all-time lows, suggesting that year-classes comprising the current Bloater population would have to follow growth trajectories unlike those characterizing the 1973–2003 year-classes to attain marketable size. Furthermore, estimated weights of 250-mm Bloaters (i.e., a large, commercially valuable size-class) declined 17% among all regions from 1976 to 2007. Decreases in body condition of large Bloaters are associated with lower lipid content and may be linked to marked declines in abundance of the amphipods Diporeia spp. in Lake Huron. We hypothesize that since at least 1976, large Bloaters have become more negatively buoyant and may have incurred an increasingly greater metabolic cost performing diel vertical migrations to prey upon the opossum shrimp Mysis diluviana and zooplankton.

Lake Huron↗

Using variance structure to quantify responses to perturbation in fish catches

We present a case study evaluation of gill-net catches of Walleye Sander vitreus to assess potential effects of large-scale changes in Oneida Lake, New York, including the disruption of trophic interactions by double-crested cormorants Phalacrocorax auritus and invasive dreissenid mussels. We used the empirical long-term gill-net time series and a negative binomial linear mixed model to partition the variability in catches into spatial and coherent temporal variance components, hypothesizing that variance partitioning can help quantify spatiotemporal variability and determine whether variance structure differs before and after large-scale perturbations. We found that the mean catch and the total variability of catches decreased following perturbation but that not all sampling locations responded in a consistent manner. There was also evidence of some spatial homogenization concurrent with a restructuring of the relative productivity of individual sites. Specifically, offshore sites generally became more productive following the estimated break point in the gill-net time series. These results provide support for the idea that variance structure is responsive to large-scale perturbations; therefore, variance components have potential utility as statistical indicators of response to a changing environment more broadly. The modeling approach described herein is flexible and would be transferable to other systems and metrics. For example, variance partitioning could be used to examine responses to alternative management regimes, to compare variability across physiographic regions, and to describe differences among climate zones. Understanding how individual variance components respond to perturbation may yield finer-scale insights into ecological shifts than focusing on patterns in the mean responses or total variability alone.

Transactions of the American Fisheries Society↗

Birds of Islas Beata and Alto Velo, Dominican Republic

Isla Beata and Isla Alto Velo are small satellites of the Dominican Republic, lying off its southwestern coast. We visited Isla Beata between 26–30 July 1977 and 20–21 October 1978. We explored Isla Alto Velo on 22 October 1978. In addition we made aerial surveys of the islands in 1977 and 1980. In our surveys we found 34 species, including 16 land birds, not before reported for Isla Beata. The Hispaniolan Parakeet (Aratinga chloroptera) and Hispaniolan Woodpecker (Mélanerpes striatus) are reported for the first time from offshore islands. This brings the number of reported species for Isla Beata to 93, with 44 land birds. We found 22 species on Isla Alto Velo, for a total of 27 species, including 12 land birds, for the island.

Studies on Neotropical Fauna and Environment↗