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

Sediment characterization and dynamics in Lake Pontchartrain, Louisiana

Lake Pontchartrain in southeastern Louisiana is the largest of several shallow estuaries that together cover over 15,000 km 2 . Wetlands, forests, and large urban areas surround the lake. Primary transport mechanisms of sediments to Lake Pontchartrain include urban runoff, major diversions of the Mississippi River, discharge from streams along the north and west shores, and tidal circulation. Sediments deposited in Lake Pontchartrain are subjected to resuspension and mixing by natural and human activities. Bioturbation and water turbulence throughout the lake are the major mixing agents, and mechanical shell dredging has reworked much of the lake bottom over the last century. Sediment characterization through direct sampling and geophysical surveys indicates that these processes continually rework the top meter of sediment. The lake receives discharge from roadways and industrial and agricultural sources. Contaminants from these sources accumulate in the lake sediments and are an important contributor to the degradation of the estuary. Decline in populations of various benthic organisms, such as shrimp and clams, has been documented in the lake. To characterize the health of this important estuary, the U.S. Geological Survey (USGS) conducted a comprehensive evaluation of the geology, geomorphology, coastal processes, and environmental condition of the Pontchartrain Basin from 1994 to 1997. This report presents an assessment of sediment distribution and quality using a multidisciplinary approach to characterize the influence of various physical and chemical parameters: nearsurface stratigraphy, major trace metal concentrations (Cu, Pb, Zn, and Ni), and short-lived radionuclides ( 210 Pb, 7 Be, and 137 Cs). The results are compared with water-circulation patterns to determine high-resolution sedimentation patterns in the lake. The data show a significant increase in trace metals in the top 1 m of lake sediments. Above this horizon, pollen analysis indicates a correlation with land clearing in the area, a proxy for increasing human development of the surrounding landscape and an increase in surface run-off. The data also show that the top meter of sediment undergoes frequent resuspension during high-energy circulation events and via circulation gyres in the lake. This regular turnover does not allow stratification of recently deposited sediments, restricting the sequestration of contaminated material that enters the lake.

Louisiana↗

Nuées ardentes of 22 November 1994 at Merapi volcano, Java, Indonesia

Nuées ardentes associated with dome collapse on 22 November 1994, at Merapi volcano traveled to the south–southwest as far as 6.5 km, and collectively accumulated roughly 2.5–3 million cubic meters of deposits. The damaged area comprises 9.5 km 2 and is covered by two nuée ardente facies, a conventional “Merapi-type”, valley-fill block-and-ash flow facies and a pyroclastic surge facies. The proximal deposits reflect the accumulation of dozens of nuées ardentes, with many subsidiary flow units. The distal deposits are more simply organized, as only a few individual events reached to distances >3.5 km. The stratigraphic relationships north of Turgo hill indicate that the surge deposits are a facies of particularly mobile nuées ardentes that also deposited channeled block-and-ash flow facies. They further suggest that the surge facies beyond the channel margins correlate laterally with a finer-grained sublayer locally developed at the base of the block-and-ash flow facies. Eyewitness reports suggest that the emplacement of the block-and-ash flow facies in the distal part of the Boyong river may have followed, by a short time interval, the destruction and deposition of the surge facies at Turgo village. The stratigraphy is in accord with the eyewitness reports. The surge facies was emplaced by a dilute surge current, detached from the same dome-collapse nuée ardente that, as a separate flow unit, subsequently emplaced the distal block-and-ash deposit in the Boyong valley. The detachment occurred at higher elevations, likely at or above the slope break at about 2000 m elevation. This flow separation enabled the surge current to shortcut over the landscape and to emplace its deposit even as the block-and-ash flow continued its tortuous southward movement in the Boyong channel. Dome-collapse nuée ardente activity formed the bulk of the eruption, which was accompanied by virtually no significant vertical summit explosive activity.

Journal of Volcanology and Geothermal Research↗

Ecoregions of California

Ecoregions denote areas of general similarity in ecosystems and in the type, quality, and quantity of environmental resources. They are designed to serve as a spatial framework for the research, assessment, management, and monitoring of ecosystems and ecosystem components. By recognizing the spatial differences in the capacities and potentials of ecosystems, ecoregions stratify the environment by its probable response to disturbance (Bryce and others, 1999). These general purpose regions are critical for structuring and implementing ecosystem management strategies across Federal agencies, State agencies, and nongovernment organizations that are responsible for different types of resources in the same geographical areas (Omernik and others, 2000). The approach used to compile this map is based on the premise that ecological regions are hierarchical and can be identified through the analysis of the spatial patterns and the composition of biotic and abiotic phenomena that affect or reflect differences in ecosystem quality and integrity (Wiken, 1986; Omernik, 1987, 1995). These phenomena include geology, physiography, vegetation, climate, soils, land use, wildlife, and hydrology. The relative importance of each characteristic varies from one ecological region to another regardless of the hierarchical level. A Roman numeral hierarchical scheme has been adopted for different levels of ecological regions. Level I is the coarsest level, dividing North America into 15 ecological regions. Level II divides the continent into 50 regions (Commission for Environmental Cooperation Working Group, 1997, map revised 2006). At level III, the continental United States contains 105 ecoregions and the conterminous United States has 85 ecoregions (U.S. Environmental Protection Agency, 2013). Level IV, depicted here for California, is a further refinement of level III ecoregions. Explanations of the methods used to define these ecoregions are given in Omernik (1995), Omernik and others (2000), and Omernik and Griffith (2014). California has great ecological and biological diversity. The State contains offshore islands and coastal lowlands, large alluvial valleys, forested mountain ranges, deserts, and various aquatic habitats. There are 13 level III ecoregions and 177 level IV ecoregions in California and most continue into ecologically similar parts of adjacent States of the United States or Mexico (Bryce and others, 2003; Thorson and others, 2003; Griffith and others, 2014). The California ecoregion map was compiled at a scale of 1:250,000. It revises and subdivides an earlier national ecoregion map that was originally compiled at a smaller scale (Omernik, 1987; U.S. Environmental Protection Agency, 2013). This poster is the result of a collaborative project primarily between U.S. Environmental Protection Agency (USEPA) Region IX, USEPA National Health and Environmental Effects Research Laboratory (Corvallis, Oregon), California Department of Fish and Wildlife (DFW), U.S. Department of Agriculture (USDA)–Natural Resources Conservation Service (NRCS), U.S. Department of the Interior–Geological Survey (USGS), and other State of California agencies and universities. The project is associated with interagency efforts to develop a common framework of ecological regions (McMahon and others, 2001). Reaching that objective requires recognition of the differences in the conceptual approaches and mapping methodologies applied to develop the most common ecoregion-type frameworks, including those developed by the USDA–Forest Service (Bailey and others, 1994; Miles and Goudy, 1997; Cleland and others, 2007), the USEPA (Omernik 1987, 1995), and the NRCS (U.S. Department of Agriculture–Soil Conservation Service, 1981; U.S. Department of Agriculture–Natural Resources Conservation Service, 2006). As each of these frameworks is further refined, their differences are becoming less discernible. Regional collaborative projects such as this one in California, where some agreement has been reached among multiple resource-management agencies, are a step toward attaining consensus and consistency in ecoregion frameworks for the entire nation.

California↗

Quality assurance and quality control of geochemical data—A primer for the research scientist

Geochemistry is a constantly expanding science. More and more, scientists are employing geochemical tools to help answer questions about the Earth and earth system processes. Scientists may assume that the responsibility of examining and assessing the quality of the geochemical data they generate is not theirs but rather that of the analytical laboratories to which their samples have been submitted. This assumption may be partially based on knowledge about internal and external quality assurance and quality control (QA/QC) programs in which analytical laboratories typically participate. Or there may be a perceived lack of time or resources to adequately examine data quality. Regardless of the reason, the lack of QA/QC protocols can lead to the generation and publication of erroneous data. Because the interpretations drawn from the data are primary products to U.S. Geological Survey (USGS) stakeholders, the consequences of publishing erroneous results can be significant. The principal investigator of a scientific study ultimately is responsible for the quality and interpretation of the project's findings, and thus must also play a role in the understanding, implementation, and presentation of QA/QC information about the data. Although occasionally ignored, QA/QC protocols apply not only to procedures in the laboratory but also in the initial planning of a research study and throughout the life of the project. Many of the tenets of developing a sound QA/QC program or protocols also parallel the core concepts of developing a good study: What is the main objective of the study? Will the methods selected provide data of enough resolution to answer the hypothesis? How should samples be collected? Are there known or unknown artifacts or contamination sources in the sampling and analysis methods? Assessing data quality requires communication between the scientists responsible for designing the study and those collecting samples, analyzing samples, treating data, and interpreting results. This primer has been developed to provide basic information and guidance about developing QA/QC protocols for geochemical studies. It is not intended to be a comprehensive guide but rather an introduction to key concepts tied to a list of relevant references for further reading. The guidelines are presented in stepwise order beginning with presampling considerations and continuing through final data interpretation. The goal of this primer is to outline basic QA/QC practices that scientists can use before, during, and after chemical analysis to ensure the validity of the data they collect with the goal of providing defendable results and conclusions.

Open-File Report↗

Ground failure triggered by the 7 January 2020 M6.4 Puerto Rico earthquake

The 7 January 2020 M 6.4 Puerto Rico earthquake, the mainshock of an extended earthquake sequence, triggered significant ground failure. In this study, we detail the ground failure that occurred based largely on a postearthquake field reconnaissance campaign that we conducted. We documented more than 300 landslides, mainly rock falls that were concentrated in areas where peak ground acceleration (PGA) exceeded 30% g ; sparse smaller landslides occurred in highly susceptible areas more than 50 km from the epicenter and at PGA values <10% g . Though some of the largest mass movements were in natural slopes, rock falls in road cuts had more impact because they caused widespread transportation disruption. Some structures also were damaged by landslides, but no landslide‐related fatalities were reported. Liquefaction and related lateral spreading were severe in some areas, causing damage to residential and commercial structures and a power plant. Most of the liquefaction occurred in coastal areas where shaking exceeded 50% g , though some of the most damaging instances were in Ponce, where shaking estimates were as low as 20% g . In this article, we summarize the most notable ground failures and detail the overall patterns that we observed. The observations and compiled inventory datasets presented here are valuable because no island‐wide hazard maps for earthquake‐triggered landslides or liquefaction have been developed for Puerto Rico, and postevent inventories are vital for such an effort. In general, the datasets presented here contribute to a global understanding of coseismic ground‐failure hazard by presenting detailed observations for a relatively moderate ground‐failure event with well‐constrained shaking estimates; current models and expectations are biased by the tendency to collect detailed datasets mainly for exceptional events.

Puerto Rico↗

Chemical analyses of igneous rocks published from 1884 to 1900, with a critical discussion of the character and use of analyses

In the first two or three decades of the last century, when the study of rocks as such was being differentiated from that of minerals and of rock terranes that is, when the science of petrogaphy was in its infancy little attention was paid to their chemical features. It is true that a number had been analyzed, but these were for the most part rocks that were of such a character as to lead the investigator of those early days to consider them as minerals, as was the case with the first described Ihcrzolite and wehrlite. In contradistinction to the individually well-defined minerals, rocks were regarded as merely aggregates of minerals, in presumably fortuitous combinations, and lacking that definiteness or constancy of composition in one mass or in different masses which would justify their chemical study as a whole. As, however, they became more and more the subjects of special research, beginning with the earliest investigations of Cordiera, a knowledge of their chemical composition assumed gradually increasing interest. The great importance of this side of the study of rocks was first clearly recognized by Abich, who pointed out, as early as 1841, the, necessity of a knowledge of their chemical composition for the solution of such problems as their origin, mode of formation, and connection with the interior of the earth, as well as the value of a comparison of their analyses as a proper basis for their classification and nomenclature. To him, therefore, is due the credit, of introducing the chemical composition of rocks as a basis for their classification; though the good influence of this suggestion for their right understanding was largely nullified by the coincident use of the feldspars alone as one of the main factors of classification, an idea which has had a deplorably retarding influence on the development of systematic petrography for many years, and which, even at the present day, holds many systematists firmly in its grasp.

Professional Paper↗

Estimating the impacts of oil spills on polar bears

The polar bear is the apical predator and universal symbol of the Arctic. They occur throughout the Arctic marine environment wherever sea ice is prevalent. In the southern Beaufort Sea, polar bears are most common within the area of the outer continental shelf, where the hunt for seals along persistent leads and openings in the ice. Polar bears are a significant cultural and subsistence component of the lifestyles of indigenous people. They may also be one of the most important indicators of the health of the Arctic marine environment. Polar bears have a late age of maturation, a long inter0brth period, and small liter sizes. These life history features make polar bear populations susceptible to natural and human perturbations. Petroleum exploration and extraction have been in progress along the coast of northern Alaska for more than 25 years. Until recently, most activity has taken place on the mainland or at sites connected to the shore by a causeway. In 1999, BP Exploration-Alaska began constructing the first artificial production island designed to transport oil through sub-seafloor pipelines. Other similar projects have been proposed to begin in the next several years. The proximity of oil exploration and development to principal polar bear habitats raises concerns, and with the advent of true off-shore development projects, these concerns are compounded. Contact with oil and other industrial chemicals by polar bears, through grooming, consumption of tainted food, or direct consumption of chemicals, may be lethal. The active ice where polar bears hunt is also where spilled oil may be expected to concentrate during spring break-up and autumn freeze-up. Because of this, we could expect that an oil spill in the waters and ice of the continental shelf would have profound effects on polar bears. Assessments of the effects of spills, however, have not been done. This report described a promising method for estimating the effects of oil spills on polar bears in the Arctic marine environment. It uses enough real data to illuminate necessary calculations and illustrate the value of the methods. The results and conclusions presented here are only examples of possible scenarios resulting from a new estimation method. Final assessment of the potential impacts to polar bears of an oil spill remains a work in progress.

Alaska, Northwest Territories, Yukon↗

Using the Delphi process to gather information from a Bald Eagle expert panel

Bald eagle ( Haliaeetus leucocephalus ) populations are classified by the Southwest Alaska Network (SWAN) of the National Park Service as a vital sign of biological integrity, largely because of their importance as an indicator species for environmental contaminants and human disturbance. Though Bald Eagles are plentiful in Alaska, it is still imperative to have a monitoring plan that allows for the estimation of population sizes and detection of significant changes in populations. Currently, Bald Eagles are monitored in Kenai Fjords National Park, Katmai National Park and Preserve, Lake Clark National Park and Preserve, and Wrangell – St. Elias National Park, but each park uses different monitoring procedures and evaluation criteria. This makes it difficult for scientists and managers to compare data, detect changes in overall populations, and make effective management decisions. Our research is using a formal structured decision-making process to ensure that the Bald Eagle monitoring conducted by the parks is standardized and meets programmatic goals and objectives. We implemented a Delphi process, which is an iterative survey technique that is used to gather expert opinion. We used online questionnaires to gather information and opinions from National Park Service scientists and managers, eagle experts, and other interested parties. We identified important stressors and feasible monitoring metrics, which were tied to the means objectives for the Bald Eagle monitoring program: minimize cost, minimize effort, maximize ability to detect change in populations, and maximize accurate information about Bald Eagles. We will also analyze monitoring metrics using a consequence table, which determines the performance of each objective in terms of the means objectives chosen by expert panelists. This information will help to create a more accurate conceptual model of the system to guide development of a Bald Eagle monitoring program that can be standardized among Southwest Alaska National Parks.

Alaska↗

An online database for IHN virus in Pacific Salmonid fish: MEAP-IHNV

The MEAP-IHNV database provides access to detailed data for anyone interested in IHNV molecular epidemiology, such as fish health professionals, fish culture facility managers, and academic researchers. The flexible search capabilities enable the user to generate various output formats, including tables and maps, which should assist users in developing and testing hypotheses about how IHNV moves across landscapes and changes over time. The MEAP-IHNV database is available online at http://gis.nacse.org/ihnv/ (fig. 1). The database contains records that provide background information and genetic sequencing data for more than 1,000 individual field isolates of the fish virus Infectious hematopoietic necrosis virus (IHNV), and is updated approximately annually. It focuses on IHNV isolates collected throughout western North America from 1966 to the present. The database also includes a small number of IHNV isolates from Eastern Russia. By engaging the expertise of the broader community of colleagues interested in IHNV, our goal is to enhance the overall understanding of IHNV epidemiology, including defining sources of disease outbreaks and viral emergence events, identifying virus traffic patterns and potential reservoirs, and understanding how human management of salmonid fish culture affects disease. Ultimately, this knowledge can be used to develop new strategies to reduce the effect of IHN disease in cultured and wild fish.

Fact Sheet↗

Surrogate Analysis and Index Developer (SAID) tool

The use of acoustic and other parameters as surrogates for suspended-sediment concentrations (SSC) in rivers has been successful in multiple applications across the Nation. Tools to process and evaluate the data are critical to advancing the operational use of surrogates along with the subsequent development of regression models from which real-time sediment concentrations can be made available to the public. Recent developments in both areas are having an immediate impact on surrogate research and on surrogate monitoring sites currently (2015) in operation. The Surrogate Analysis and Index Developer (SAID) standalone tool, under development by the U.S. Geological Survey (USGS), assists in the creation of linear regression models that relate constituent and surrogate parameters by providing visual and quantitative diagnostics to the user. SAID also processes acoustic parameters to be used as explanatory variables for SSC. The sediment acoustic method utilizes acoustic parameters from fixed-mount stationary equipment. The theory and method used by the SAID tool have been described in recent publications. The tool also serves to support sediment-acoustic-index methods and other surrogate guidelines such as turbidity and SSC (Rasmussen and others, 2009). The regression models created in SAID can be used in utilities that have been developed to work with the USGS National Water Information System (NWIS) and for the USGS National Real-Time Water Quality (NRTWQ) Web site. The real-time dissemination of predicted SSC and prediction intervals for each time step has substantial potential to improve understanding of sediment-related water quality and associated engineering and ecological management decisions.

Open-File Report↗

Differential effects of temperature and salinity on growth and mortality of oysters (Crassostrea virginica) in Barataria Bay and Breton Sound, Louisiana

Temperature and salinity and their interaction exert a major control on the life cycle of the eastern oyster (Crassostrea virginica), affecting reproduction, development, growth, and mortality. Quantifying specific temperature and salinity relationships on oyster growth and mortality has however proven difficult, with data suggesting potentially region-specific responses. Legacy and recent data from field tray studies from public oyster grounds in Barataria Bay and Breton Sound were used to estimate growth and mortality rates as a function of temperature and salinity. Previous studies conducted in Barataria Bay and Breton Sound reported differences in growth and mortality between the basins. In the present study, environmental conditions were synchronized to compare growth and mortality between basins at similar combinations of temperature and salinity. Results indicate that when temperature and salinity are the same (synchronized), seasonal oyster growth and mortality rates still differ between Barataria Bay and Breton Sound. Given the same salinity and temperature conditions, differences in growth and mortality rates between estuaries may persist due to differences in other environmental conditions (i.e., food quality and composition, hydrology, site history, salinity variation) or localized genetic adaptations to environmental conditions.

Lousianna↗

Inductively coupled plasma-mass spectrometric method for the determination of dissolved trace elements in natural water

An inductively coupled plasma-mass spectrometry method was developed for the determination of dissolved Al, As, B, Ba, Be, Cd, Co, Cr, Cu, Li, Mn, Mo, Ni, Pb, Sr, Tl, U, V, and Zn in natural waters. Detection limits are generally in the 50-100 picogram per milliliter (pg/mL) range, with the exception of As which is in the 1 microgram per liter (ug/L) range. Interferences associated with spectral overlap from concomitant isotopes or molecular ions and sample matrix composition have been identified. Procedures for interference correction and reduction related to isotope selection, instrumental operating conditions, and mathematical data processing techniques are described. Internal standards are used to minimize instrumental drift. The average analytical precision attainable for 5 times the detection limit is about 16 percent. The accuracy of the method was tested using a series of U.S. Geological Survey Standard Reference Water Standards (SWRS), National Research Council Canada Riverine Water Standard, and National Institute of Standards and Technology (NIST) Trace Elements in Water Standards. Average accuracies range from 90 to 110 percent of the published mean values.

Open-File Report↗

Towards monitoring land-cover and land-use changes at a global scale: the global land survey 2005

Land cover is a critical component of the Earth system, infl uencing land-atmosphere interactions, greenhouse gas fl uxes, ecosystem health, and availability of food, fi ber, and energy for human populations. The recent Integrated Global Observations of Land (IGOL) report calls for the generation of maps documenting global land cover at resolutions between 10m and 30m at least every fi ve years (Townshend et al., in press). Moreover, despite 35 years of Landsat observations, there has not been a unifi ed global analysis of land-cover trends nor has there been a global assessment of land-cover change at Landsat-like resolution. Since the 1990s, the National Aeronautics and Space Administration (NASA) and the U.S. Geological Survey (USGS) have supported development of data sets based on global Landsat observations (Tucker et al., 2004). These land survey data sets, usually referred to as GeoCover &trade;, provide global, orthorectifi ed, typically cloud-free Landsat imagery centered on the years 1975, 1990, and 2000, with a preference for leaf-on conditions. Collectively, these data sets provided a consistent set of observations to assess land-cover changes at a decadal scale. These data are freely available via the Internet from the USGS Center for Earth Resources Observation and Science (EROS) (see http://earthexplorer.usgs.gov or http://glovis.usgs.gov). This has resulted in unprecedented downloads of data, which are widely used in scientifi c studies of land-cover change (e.g., Boone et al., 2007; Harris et al., 2005; Hilbert, 2006; Huang et al. 2007; Jantz et al., 2005, Kim et al., 2007; Leimgruber, 2005; Masek et al., 2006). NASA and USGS are continuing to support land-cover change research through the development of GLS2005 - an additional global Landsat assessment circa 20051 . Going beyond the earlier initiatives, this data set will establish a baseline for monitoring changes on a 5-year interval and will pave the way toward continuous global land-cover monitoring at Landsat-like resolution in the next decade.

Photogrammetric Engineering and Remote Sensing↗

Hydrostratigraphic interpretation of test-hole and borehole geophysical data, Kimball, Cheyenne, and Deuel Counties, Nebraska, 2011-12

Recently (2004) adopted legislation in Nebraska requires a sustainable balance between long-term supplies and uses of surface-water and groundwater and requires Natural Resources Districts to understand the effect of groundwater use on surface-water systems when developing a groundwater-management plan. The South Platte Natural Resources District (SPNRD) is located in the southern Nebraska Panhandle and overlies the nationally important High Plains aquifer. Declines in water levels have been documented, and more stringent regulations have been enacted to ensure the supply of ground-water will be sufficient to meet the needs of future generations. Because an improved understanding of the hydrogeologic characteristics of this aquifer system is needed to ensure sustainability of groundwater withdrawals, the U.S. Geological Survey, in cooperation with the SPNRD, Conservation and Survey Division of the University of Nebraska-Lincoln, and the Nebraska Environmental Trust, began a hydrogeologic study of the SPNRD to describe the lithology and thickness of the High Plains aquifer. This report documents these characteristics at 29 new test holes, 28 of which were drilled to the base of the High Plains aquifer. Herein the High Plains aquifer is considered to include all hydrologically connected units of Tertiary and Quaternary age. The depth to the base of aquifer was interpreted to range from 37 to 610 feet in 28 of the 29 test holes. At some locations, particularly northern Kimball County, the base-of-aquifer surface was difficult to interpret from drill cutting samples and borehole geophysical logs. The depth to the base of aquifer determined for test holes drilled for this report was compared with the base-of-aquifer surface interpreted by previous researchers. In general, there were greater differences between the base-of-aquifer elevation reported herein and those in previous studies for areas north of Lodgepole Creek compared to areas south of Lodgepole Creek. The largest difference was at test hole 5-SP-11, where an Ogallala-filled paleovalley prevously had been interpreted based on relatively sparse test-hole data west of 5-SP-11. The base of aquifer near test hole 5-SP-11 reported herein is approximately 230 ft higher in elevation than previously interpreted. Among other test holes that are likely to have been drilled in Ogallala-filled paleovalleys, the greatest difference in the interpreted base of aquifer was for test hole 7-CC-11, northeast of Potter, Nebraska, where the base of aquifer is 180 feet deeper than previously interpreted. Interpretation of test-hole and borehole geophysical data for 29 additional test holes will improve resource managers’ understanding of the hydrogeologic characteristics, including aquifer thickness. Aquifer thickness, which is related to total water in storage, is not well quantified in the north and south tablelands. The additional hydrostratigraphic interpretations provided in this report will improve the hydrogeologic framework used in current (2014) and future groundwater models, which are the basis for many water-management decisions.

Nebraska↗

Predicting flood damage probability across the conterminous United States

Floods are the leading cause of natural disaster damages in the United States, with billions of dollars incurred every year in the form of government payouts, property damages, and agricultural losses. The Federal Emergency Management Agency oversees the delineation of floodplains to mitigate damages, but disparities exist between locations designated as high risk and where flood damages occur due to land use and climate changes and incomplete floodplain mapping. We harnessed publicly available geospatial datasets and random forest algorithms to analyze the spatial distribution and underlying drivers of flood damage probability caused by excessive rainfall and overflowing water bodies across the conterminous United States. From this, we produced the first spatially complete map of flood damage probability for the nation, along with spatially explicit standard errors for four selected cities. We trained models using the locations of historical reported flood damage events ( n = 71,434) and a suite of geospatial predictors (e.g., flood severity, climate, socio-economic exposure, topographic variables, soil properties, and hydrologic characteristics). We developed independent models for each hydrologic unit code level 2 watershed and generated a flood damage probability for each 100-m pixel. Our model classified damage or no damage with an average area under the curve accuracy of 0.75; however, model performance varied by environmental conditions, with certain land cover classes (e.g., forest) resulting in higher error rates than others (e.g., wetlands). Our results identified flood damage probability hotspots across multiple spatial and regional scales, with high probabilities common in both inland and coastal regions. The highest flood damage probabilities tended to be in areas of low elevation, in close proximity to streams, with extreme precipitation, and with high urban road density. Given rapid environmental changes, our study demonstrates an efficient approach for updating flood damage probability estimates across the nation.

Environmental Research Letters↗

Wildfire effects on source-water quality--Lessons from Fourmile Canyon fire, Colorado, and implications for drinking-water treatment

Forested watersheds provide high-quality source water for many communities in the western United States. These watersheds are vulnerable to wildfires, and wildfire size, fire severity, and length of fire season have increased since the middle 1980s (Westerling and others, 2006). Burned watersheds are prone to increased flooding and erosion, which can impair water-supply reservoirs, water quality, and drinking-water treatment processes. Limited information exists on the degree, timing, and duration of the effects of wildfire on water quality, making it difficult for drinking-water providers to evaluate the risk and develop management options. In order to evaluate the effects of wildfire on water quality and downstream ecosystems in the Colorado Front Range, the U.S. Geological Survey initiated a study after the 2010 Fourmile Canyon fire near Boulder, Colorado. Hydrologists frequently sampled Fourmile Creek at monitoring sites upstream and downstream of the burned area to study water-quality changes during hydrologic conditions such as base flow, spring snowmelt, and summer thunderstorms. This fact sheet summarizes principal findings from the first year of research. Stream discharge and nitrate concentrations increased downstream of the burned area during snowmelt runoff, but increases were probably within the treatment capacity of most drinking-water plants, and limited changes were observed in downstream ecosystems. During and after high-intensity thunderstorms, however, turbidity, dissolved organic carbon, nitrate, and some metals increased by 1 to 4 orders of magnitude within and downstream of the burned area. Increases of such magnitude can pose problems for water-supply reservoirs, drinking-water treatment plants, and downstream aquatic ecosystems.

Colorado↗

Science support for recovery of Southwestern Willow Flycatcher (Empidonax traillii extimus) on conserved lands in San Diego County

This document was developed based on the results of scientific research to support management and recovery of the endangered Southwestern Willow Flycatcher ( Empidonax traillii extimus ) and its habitat in San Diego County, California. A migratory species restricted to riparian habitat for breeding, the flycatcher is present in southern California from May to August. The flycatcher has declined over the last several decades primarily in response to habitat loss, and possibly Brown-headed Cowbird ( Molothrus ater ) parasitism. This document compiles and analyzes data collected by USGS scientists on population size, distribution, demography, and breeding habitat condition and uses this information to evaluate potential management options and locations relative to several variables including spatial proximity to currently occupied locations, historical occupation, and potential for restoration that would benefit the flycatcher and expand populations. Location-specific management options and habitat restoration opportunities are ranked based on the contribution of each location to promoting regional flycatcher persistence. The results of these analyses can be used by land and resource managers to develop their habitat management projects and priorities and promote flycatcher recovery.

California↗

The Coastal Carbon Library and Atlas: Open source soil data and tools supporting blue carbon research and policy

Quantifying carbon fluxes into and out of coastal soils is critical to meeting greenhouse gas reduction and coastal resiliency goals. Numerous ‘blue carbon’ studies have generated, or benefitted from, synthetic datasets. However, the community those efforts inspired does not have a centralized, standardized database of disaggregated data used to estimate carbon stocks and fluxes. In this paper, we describe a data structure designed to standardize data reporting, maximize reuse, and maintain a chain of credit from synthesis to original source. We introduce version 1.0.0. of the Coastal Carbon Library, a global database of 6723 soil profiles representing blue carbon-storing systems including marshes, mangroves, tidal freshwater forests, and seagrasses. We also present the Coastal Carbon Atlas, an R-shiny application that can be used to visualize, query, and download portions of the Coastal Carbon Library. The majority (4815) of entries in the database can be used for carbon stock assessments without the need for interpolating missing soil variables, 533 are available for estimating carbon burial rate, and 326 are useful for fitting dynamic soil formation models. Organic matter density significantly varied by habitat with tidal freshwater forests having the highest density, and seagrasses having the lowest. Future work could involve expansion of the synthesis to include more deep stock assessments, increasing the representation of data outside of the U.S., and increasing the amount of data available for mangroves and seagrasses, especially carbon burial rate data. We present proposed best practices for blue carbon data including an emphasis on disaggregation, data publication, dataset documentation, and use of standardized vocabulary and templates whenever appropriate. To conclude, the Coastal Carbon Library and Atlas serve as a general example of a grassroots F.A.I.R. (Findable, Accessible, Interoperable, and Reusable) data effort demonstrating how data producers can coordinate to develop tools relevant to policy and decision-making.

Global Change Biology↗