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At least 1,513 records · Page 84Linked to original sources

Groundwater as a nonpoint source of atrazine and deethylatrazine in a river during base flow conditions

Alluvial groundwater adjacent to the main stem river is the principal nonpoint source of atrazine and deethylatrazine in the Cedar River of Iowa after the river has been in base flow conditions for 5 days. Between two sites along a 116-km reach of the Cedar River, tributaries contributed about 25% of the increase in the atrazine and deethylatrazine load, whereas groundwater from the alluvial aquifer contributed at least 75% of the increase in load. Within the study area, tributaries aggregate almost all of the discharge from tile drains, and yet the tributaries still only contribute 25% of the increase in loads in the main stem river. At an unfamned study site adjacent to the Cedar River, the sources of atrazine and deethylatrazine in the alluvial groundwater are bank storage of river water and groundwater recharge from areas distant from the river. Atrazine and deethylatrazine associated with bank storage water will provide larger concentrations to the river during early base flow conditions. After the depletion of bank storage, stable and smaller concentrations of atrazine and deethylatrazine, originating from groundwater recharge, continue to be discharged from the alluvial aquifer to the river; thus these results indicate that alluvial aquifers are an important nonpoint source of atrazine and deethylatrazine in rivers during base flow.

Iowa↗

Soil organic carbon development and turnover in natural and disturbed salt marsh environments

Salt marsh survival with sea‐level rise (SLR) increasingly relies on soil organic carbon (SOC) accumulation and preservation. Using a novel combination of geochemical approaches, we characterized fine SOC (≤1 mm) supporting marsh elevation maintenance. Overlaying thermal reactivity, source (δ 13 C), and age (F 14 C) information demonstrates several processes contributing to soil development: marsh grass production, redeposition of eroded material, and microbial reworking. Redeposition of old carbon, likely from creekbanks, represented ∼9‐17% of shallow SOC (≤26 cm), indicating that this process may become increasingly important with SLR. Soils stored marsh grass‐derived compounds with a range of reactivities that were reworked over centuries‐to‐millennia. Decomposition decreases SOC thermal reactivity throughout the soil column while the decades‐long disturbance of ponding accelerated this shift in surface horizons. Empirically derived estimates of SOC turnover based on geochemical composition spanned a wide range (640–9,951 years) and have the potential to inform future predictions of marsh ecosystem evolution.

Massachusetts↗

American shad migratory behavior, weight loss, survival, and abundance in a North Carolina River following dam removals

Despite extensive management and research, populations of American Shad Alosa sapidissima have experienced prolonged declines, and uncertainty about the underlying mechanisms causing these declines remains. In the springs of 2007 through 2010, we used a resistance board weir and PIT technology to capture, tag, and track American Shad in the Little River, North Carolina, a tributary to the Neuse River with complete and partial removals of low-head dams. Our objectives were to examine migratory behaviors and estimate weight loss, survival, and abundance during each spawning season. Males typically immigrated earlier than females and also used upstream habitat at a higher percentage, but otherwise exhibited relatively similar migratory patterns. Proportional weight loss displayed a strong positive relationship with both cumulative water temperature during residence time and number of days spent upstream, and to a lesser extent, minimum distance the fish traveled in the river. Surviving emigrating males lost up to 30% of their initial weight and females lost up to 50% of their initial weight, indicating there are potential survival thresholds. Survival for the spawning season was low and estimates ranged from 0.07 to 0.17; no distinct factors (e.g., sex, size, migration distance) that could contribute to survival were detected. Sampled and estimated American Shad abundance increased from 2007 through 2009, but was lower in 2010. Our study provides substantial new information about American Shad spawning that may aid restoration efforts.

North Carolina↗

Can we avert an Amazon tipping point? The economic and environmental costs

The Amazon biome is being pushed by unsustainable economic drivers towards an ecological tipping point where restoration to its previous state may no longer be possible. This degradation is the result of self-reinforcing interactions between deforestation, climate change and fire. We assess the economic, natural capital and ecosystem services impacts and trade-offs of scenarios representing movement towards an Amazon tipping point and strategies to avert one using the Integrated Economic-Environmental Modeling (IEEM) Platform linked with spatial land use-land cover change and ecosystem services modeling (IEEM + ESM). Our approach provides the first approximation of the economic, natural capital and ecosystem services impacts of a tipping point, and evidence to build the economic case for strategies to avert it. For the five Amazon focal countries, namely, Brazil, Peru, Colombia, Bolivia and Ecuador, we find that a tipping point would create economic losses of US$256.6 billion in cumulative gross domestic product by 2050. Policies that would contribute to averting a tipping point, including strongly reducing deforestation, investing in intensifying agriculture in cleared lands, climate-adapted agriculture and improving fire management, would generate approximately US$339.3 billion in additional wealth and a return on investment of US$29.5 billion. Quantifying the costs, benefits and trade-offs of policies to avert a tipping point in a transparent and replicable manner can support the design of regional development strategies for the Amazon biome, build the business case for action and catalyze global cooperation and financing to enable policy implementation.

Amazon↗

American white pelicans breeding in the northern plains: productivity, behavior, movements, and migration

Nearly half of American white pelicans (Pelecanus erythrorhynchos; hereafter pelicans) are believed to nest in several large colonies in the northern plains, yet few studies had been conducted on pelicans in this region until research began in 2004 to investigate the impact of West Nile virus (WNV) on their chicks. The work reported here focused on two of the largest colonies in the region, at Bitter Lake, South Dakota, and Chase Lake, North Dakota, during 2005–10. Pelicans usually began arriving at these two breeding colonies in early April. Egg-laying began during mid-April and nest initiations continued through May. The number of nests documented at these colonies reached a high of about 15,400 at Bitter Lake and 17,300 at Chase Lake, both in 2006. During 2006–8, annual variation in hatching success was high (40 to 100 percent) at video-monitored nests, averaging 61 percent for 82 nests at Bitter Lake and 57 percent for 88 nests at Chase Lake. Although most nests contained two eggs, of those where two chicks hatched, both chicks survived to the crèche stage (about 15 days old) at only two nests. Severe weather events, disturbance, and siblicide were documented causes of early season (before mid-July) mortalities. In the late season (mid-July to fledging), WNV was the most important factor contributing to chick mortality. Nests were nearly always attended by one adult during incubation and brooding. Adults typically exchanged places at the nest around mid-day in all 3 years, apparently taking advantage of thermals to gain altitude for travel to and from foraging areas. The mean time of exchange differed by about an hour between Bitter Lake (1328 central standard time, CST) and Chase Lake (1434 CST) colonies. During incubation, nearly 3 days often passed between adult nest exchanges; after chicks hatched, exchanges usually occurred daily. Exchanges were more frequent and chicks were fed more often at successful nests than at failed nests. Adult pelicans with satellite transmitters that incorporated a Global Positioning System (GPS) foraged primarily in shallow areas of lakes and semipermanent wetlands. These areas coincide with typical habitats of crayfish, salamanders, and rough fish, which were also the foods most commonly seen in pelican regurgitates at the colonies. Several satellite-tracked pelicans made frequent round trips between their breeding colony and foraging areas, most likely to provision their chicks. Typical distances travelled to foraging sites ranged from 30 kilometers to over 90 kilometers. Return times to the colonies (about 1300 and 1500 CST at Bitter Lake and Chase Lake, respectively) supported the colony difference documented at video-monitored nests. Of 28 pelicans tagged with GPS satellite transmitters in 2005–6, 26 survived the first summer and migrated south during fall. Nineteen of these returned to the breeding region (defined as north of the latitude of South Dakota’s southern border) in at least 1 year during 2006–9; collectively, they returned to the breeding region 33 times. Very few pelicans returned to the colony where they had been tagged; many did not breed and concentrated their activities at wetland complexes in South Dakota and North Dakota, but few tagged pelicans temporally overlapped at specific sites. During 2005–9, tagged pelicans collectively made 56 migratory trips south in the fall. Most wintered in Mexico, near the gulf coast and elsewhere; others wintered in Texas, Louisiana, Mississippi, and Florida. Individuals typically returned to the same general areas each winter. Individuals rarely followed the same migratory path on their way south and north, but they often roughly repeated southerly or northerly routes among years. Ensuring a sustainable population of American white pelicans requires identification and mitigation of known threats. The work described herein has identified WNV and severe weather as important factors that potentially limit reproductive success and recruitment in the northern plains. Managers in this region could assess the influence of such factors on productivity at key colonies by annually obtaining aerial photographs during peak nesting, and estimating numbers of chicks fledged from aerial photographs or ground counts. Banding a subsample of chicks in late June or early July, followed by a sweep for bands at the end of the season, would allow estimation of mortality rates of older chicks (that normally would fledge) and help track the influence of WNV or other mortality factors over time and varying environmental conditions.

North Dakota;South Dakota↗

Analytical assessments in support of the U.S. Fish and Wildlife Service 3-bat species status assessment

Beginning in February of 2020, researchers and staff of the United States Geological Survey (USGS), Bat Conservation International (BCI), Virginia Polytechnic Institute and State University, and Montana State University associated with the North American Bat Monitoring Program (NABat) collaborated with the United States Fish and Wildlife Service (USFWS) to provide technical assistance in support of the USFWS Three Bat Species Status Assessments (SSA) including the little brown bat (MYLU, Myotis lucifugus), northern long-eared bat (MYSE, Myotis septentrionalis), and tricolored bat (PESU, Perimyotis subflavus). Analytical support for the SSA was not intended to provide interpretive results, which should therefore be considered beyond the scope of this report. Technical assistance for the SSA included facilitating the USFWS data call by educating and working directly with data contributors to manage, submit, and archive a variety of bat monitoring data in the online NABat database1 using standardized data submission templates accessible through the upload features on the NABat website. Most data collected through the USFWS data call for the SSA were submitted and stored in the NABat database. These represent the efforts of hundreds of partnering organizations across more than 200 individual NABat Partner Portal Projects. A few organizations contributed data for use in these analyses that were not submitted to the NABat database. Records submitted in response to the USFWS data call included bat capture, stationary and mobile acoustic, and internal roost count data (winter and summer). Data collated in the NABat database and used for the analyses described herein are documented (NABat 2020a, NABat 2020b, NABat 2021) and available through the NABat third party request feature.

Report↗

Managing forest habitat for conservation-reliant species in a changing climate: The case of the endangered Kirtland’s Warbler

Conservation and recovery of species of concern necessitates evaluating forest habitat conditions under changing climate conditions, especially in the early stages of the delisting process. Managers must weigh implications of near-term habitat management activities within the context of changing environmental conditions and a species’ biological traits that may influence their vulnerability to changing conditions. Here we applied established population-habitat relationships based on decades of monitoring and research-management collaborations for the Kirtland’s Warbler ( Setophaga kirtlandii ) to project potential impacts of changing environmental conditions to breeding habitat distribution, quantity, and quality in the near future. Kirtland’s warblers are habitat-specialists that nest exclusively within dense jack pine ( Pinus banksiana ) forests between ca. 5–20 years of age. Using Random Forests to predict changes in distribution and growth rate of jack pine under future scenarios, results indicate the projected distribution of jack pine will contract considerably (ca. 75%) throughout the Lake States region, U.S.A. in response to projected environmental conditions in 2099 under RCP 4.5 and 8.5 climate scenarios regardless of climate model. Reduced suitability for jack pine regeneration across the Lake States may constrain management options, especially for creating high stem-density plantations nesting habitat. However, conditions remain suitable for jack pine regeneration within their historical and current core breeding range in northern Lower Michigan and several satellite breeding areas. Projected changes in jack pine growth rates varied within the core breeding area, but altered growth rates did not greatly alter the duration that habitat remained suitable for nesting by the Kirtland’s Warblers. These findings contribute to Kirtland’s Warbler conservation by informing habitat spatial planning of plantation management to provide a constant supply of nesting habitat based on the spatial variability of potential loss or gain of lands environmentally suitable for regenerating jack pine in the long-term.

Michigan, Wisconsin↗

The National Elevation Dataset

The National Elevation Dataset (NED) is a primary elevation data product that has been produced and distributed by the U.S. Geological Survey (USGS). Since its inception, the USGS has compiled and published topographic information in many forms, and the NED is a significant development in this long line of products that describe the land surface. The NED provides seamless raster elevation data of the conterminous United States (CONUS), Alaska, Hawaii, U.S. island territories, Mexico, and Canada. The NED is derived from diverse source datasets that are processed to a specification with consistent resolutions, coordinate system, elevation units, and horizontal and vertical datums. The NED was developed as the logical result of the maturation of the long-standing USGS elevation program, which for many years concentrated on production of quadrangle-based digital elevation models (DEM). The NED contributes to the elevation layer of The National Map, and it provides basic elevation information for earth science studies and mapping applications in the U.S. and most of North America. For over 15 years (1999–2014), the NED served as the flagship elevation product of the USGS. In 2015, the 3D Elevation Program (3DEP) was initiated. When the 3DEP initiative became operational, the name “National Elevation Dataset” (and the abbreviation “NED”) were retired as the USGS elevation activities and data were rebranded under the 3DEP banner. However, elevation data produced and distributed as part of the NED are still widely used (and distributed by other entities), so there is a continuing need for detailed documentation, including how it was produced, its accuracy, and how it is used. This chapter directly addresses that need for detailed information about the NED. The most recent detailed description of the NED appeared in the 2nd edition of the DEM Users Manual (2007), and because NED production continued through 2014, the details reported herein provide valuable information for data accessed by the user community from 2007 through 2014. The NED has been widely used in operational applications and research studies and is extensively cited in reports on those activities, so it is important for the user community to have access to information about the NED to better judge how its qualities and characteristics might affect results derived from its use as the elevation data source. Additionally, the NED seamless layers serve as one of the input data sources for the current 3DEP elevation production system, so, as with any input data source, an understanding of the data characteristics is critical.

Book chapter↗

Ground-rupturing earthquakes on the northern Big Bend of the San Andreas Fault, California, 800 A.D. to Present

Paleoseismic data on the timing of ground-rupturing earthquakes constrain the recurrence behavior of active faults and can provide insight on the rupture history of a fault if earthquakes dated at neighboring sites overlap in age and are considered correlative. This study presents the evidence and ages for 11 earthquakes that occurred along the Big Bend section of the southern San Andreas Fault at the Frazier Mountain paleoseismic site. The most recent earthquake to rupture the site was the M w 7.7–7.9 Fort Tejon earthquake of 1857. We use over 30 trench excavations to document the structural and sedimentological evolution of a small pull-apart basin that has been repeatedly faulted and folded by ground-rupturing earthquakes. A sedimentation rate of 0.4 cm/yr and abundant organic material for radiocarbon dating contribute to a record that is considered complete since 800 A.D. and includes 10 paleoearthquakes. Earthquakes have ruptured this location on average every ~100 years over the last 1200 years, but individual intervals range from ~22 to 186 years. The coefficient of variation of the length of time between earthquakes (0.7) indicates quasiperiodic behavior, similar to other sites along the southern San Andreas Fault. Comparison with the earthquake chronology at neighboring sites along the fault indicates that only one other 1857-size earthquake could have occurred since 1350 A.D., and since 800 A.D., the Big Bend and Mojave sections have ruptured together at most 50% of the time in M w ≥ 7.3 earthquakes.

California↗

Geothermal systems of the Great Basin and U.S. Geological Survey plans for a regional resource assessment

Based on current projections, the United States faces the need to increase its electrical power generating capacity by 40% (approximately 300,000 Megawatts-electrical or MWe) over the next 20 years (Energy Information Administration, EIA - Department of Energy). A critical question for the near future is the extent to which geothermal resources can contribute to this increasing demand for electricity. Geothermal energy constitutes one of the nation's largest sources of renewable and environmentally benign electrical power, yet the installed capacity of 2860 MWe falls far short of estimated geothermal resources. This is particularly true for the Great Basin region of the western United States, which has an installed capacity of about 500 MWe, much lower than the 7500 MWe resource estimated by the U.S. Geological Survey (USGS) in the late 1970s. The reasons for the limited development of geothermal power are varied, but political, economic and technological developments suggest the time is ripe for a new assessment effort. Technologies for power production from geothermal systems and scientific understanding of geothermal resource occurrence have improved dramatically in recent years. The primary challenges facing geothermal resource studies are (1) understanding the thermal, chemical and mechanical processes that lead to the colocation of high temperatures and high permeabilities necessary for the formation of geothermal systems and (2) developing improved techniques for locating, characterizing and exploiting these systems. Starting in the fall of 2002, the USGS will begin work with institutions funded by the Department of Energy's (DOE) Geothermal Research Program to investigate the nature and extent of geothermal systems in the Great Basin and to produce an updated assessment of available geothermal resources.

Conference Paper↗

Problem of the Love‐Gannon relation between the asymmetric disturbance field and Dst

Love and Gannon (2009) discovered that statistically, over a fifty year period the difference in the dawn and dusk disturbance‐field H component at low latitudes (hourly averaged) is linearly proportional to Dst. If the difference is designated by δ DD in units of nT/R E , then the Love‐Gannon (L‐G) relation is δ DD = − 0.2 Dst. At any time departures from the relation can be large. Nonetheless, the relation is evident for all values of Dst and persists throughout magnetic storms, both the main phase and the recovery phase. The Love‐Gannon discovery presents a problem to current understanding of the relation between the causes of δ DD and Dst because the dawn dusk asymmetry in the disturbance field is presumably governed by a long‐established magnetosphere‐ionosphere coupling theory which predicts a characteristic time scale (the shielding time) of less than an hour whereas the characteristic time scale for Dst (the ring current decay time) is more like ten hours. Thus, without forcing both time scales toward each other to the limits of their ranges, a linear proportionality between δ DD and Dst cannot be derived from the current understanding of the causes of the asymmetry and the ring current. This conclusion is the paper's main contribution. In addition, we attempt to get around the conflict of time scales by looking at other possibilities for generating δ DD that depend directly on the ring current. The most promising of these is the possibility that the ring current decay mechanism creates a quasi‐permanent, local‐time modification of the ring current compared to what it would be in the absence of the decay mechanism and that this modification causes a field‐aligned current that closes through the ionosphere and generates the asymmetry δ DD . This idea has the virtue of coupling the asymmetry directly to the ring current and of accounting for the persistence of the L‐G proportionality through the recovery phase of magnetic storms.

Journal of Geophysical Research A: Space Physics↗

Enhancement of a parsimonious water balance model to simulate surface hydrology in a glacierized watershed

The U.S. Geological Survey monthly water balance model (MWBM) was enhanced with the capability to simulate glaciers in order to make it more suitable for simulating cold region hydrology. The new model, MWBMglacier, is demonstrated in the heavily glacierized and ecologically important Copper River watershed in Southcentral Alaska. Simulated water budget components compared well to satellite‐based observations and ground measurements of streamflow, evapotranspiration, snow extent, and total water storage, with differences ranging from 0.2% to 7% of the precipitation flux. Nash Sutcliffe efficiency for simulated and observed streamflow was greater than 0.8 for six of eight stream gages. Snow extent matched satellite‐based observations with Nash Sutcliffe efficiency values of greater than 0.89 in the four Copper River ecoregions represented. During the simulation period 1949 to 2009, glacier ice melt contributed 25% of total runoff, ranging from 12% to 45% in different tributaries, and glacierized area was reduced by 6%. Statistically significant ( p < 0.05) decreasing and increasing trends in annual glacier mass balance occurred during the multidecade cool and warm phases of the Pacific Decadal Oscillation, respectively, reinforcing the link between climate perturbations and glacier mass balance change. The simulations of glaciers and total runoff for a large, remote region of Alaska provide useful data to evaluate hydrologic, cryospheric, ecologic, and climatic trends. MWBM glacier is a valuable tool to understand when, and to what extent, streamflow may increase or decrease as glaciers respond to a changing climate.

Journal of Geophysical Research F: Earth Surface↗

Sero-epidemiology of Highly Pathogenic Avian Influenza viruses among wild birds in subarctic intercontinental transition zones

Background: The geographic expansion and evolution of A/Goose/Guangdong/1/1996(H5N1) (Gs/GD) lineage H5Nx highly pathogenic avian influenza (HPAI) viruses since 1996 have raised awareness of enzootic circulation among migratory birds and the potential for intercontinental transport and spread. Recent Pacific- and Atlantic-route introductions of HPAI to North America were facilitated by avian migration through subarctic zones, specifically Alaska and Iceland. This study aimed to identify recent historical patterns of exposure to HPAI viruses among birds within and migrating through both regions and evaluate how geographic, demographic, and taxonomic differences contribute to exposure risk at two intercontinental staging locations. Methods: During 2010-2019, blood samples were obtained from captured wild migratory seabirds and waterfowl in Alaska and Iceland. All live birds were released following completion of sampling. Sampling date, species, sampling location, and age class was documented for each bird, and sex was documented when possible. Lentiviral pseudoviruses that express the influenza hemagglutinin surface glycoprotein for H5Nx HPAI and H5 low-pathogenicity avian influenza (LPAI) were constructed for use in serological assays to screen for and quantify titers of antibodies against the latter viruses. Data were analyzed to compare (a) categorical baseline ecological traits between Iceland and Alaska, and (b) ecological traits between birds identified to be seropositive and suggestive/seronegative/fully cross-reactive birds to H5Nx HPAI in Iceland and Alaska. Factors associated with seroreactivity to H5Nx HPAI and H5 LPAI were assessed. Results: The seroprevalence of HPAI among birds in both locations was 7.3% (112/1526). Findings reveal variability in seroprevalence by year, higher rates of exposure to H5 LPAI than H5Nx HPAI overall, and significantly more seropositive and suggestive exposure of birds to H5Nx HPAI in Alaska as compared to Iceland. Geographic, demographic, and taxonomic differences contribute to exposure risk between Alaska and Iceland. Most tested birds were immuno-naïve to HPAI in both locations, which indicates many migratory birds in the subarctic are susceptible to HPAI infection, demonstrating substantial risk for intercontinental transmission between Asia, Europe, and North America. Conclusions: Our findings provide further justification for increased viral and serosurveillance in Alaska and Iceland to monitor subarctic movements of migratory birds and intercontinental transmission dynamics of currently circulating and new strains of HPAI globally.

Research Square↗

Elevated nitrogen deposition to fire-prone forests adjacent to urban and agricultural areas, Colorado front range, USA

As humans increasingly dominate the nitrogen cycle, deposition of reactive nitrogen (Nr) will continue to have adverse consequences for ecosystems. In the Rocky Mountains, Nr deposition remains elevated and has become increasingly dominated by ammonium, despite efforts to reduce emissions. Currently, spatial models of Nr deposition do not fully account for urban and agricultural emissions, sources that contribute to the observed high rates of ammonium deposition in adjacent ecosystems. To address this gap in the Colorado Front Range, we measured Nr deposition along a transect from urban and agricultural plains to subalpine forests. We found elevated values of wet Nr deposition at the urban and foothill sites (4.7 and 4.4 kg N ha −1 yr −1 , respectively), and lower values at the montane and subalpine sites (2.5–2.8 kg N ha −1 yr −1 ). Ammonium dominated wet and bulk Nr deposition, accounting for approximately 69% of bulk Nr deposition. Seasonally, bulk Nr deposition was highest in the spring months, when air masses from the plains are transported west into the mountains. Previous work has demonstrated that high elevations of the Colorado Front Range are especially sensitive to Nr deposition due to thin soil and minimal vegetation. Our results indicate that despite lower precipitation, the fire-prone forested foothills receive even greater Nr deposition than higher elevations, due to proximity to urban and agricultural Nr sources. The interaction between elevated Nr deposition and wildfire in this region may pose a risk to water supplies and ecosystems, and is an important topic for future research.

Colorado↗

Radioisotope dilution analyses of geological samples using 236U and 229Th

The use of 236U and 229Th in alpha spectrometric measurements has some advantages over the use of other tracers and measurement techniques in isotope dilution analyses of most geological samples. The advantages are: (1) these isotopes do not occur in terrestrial rocks, (2) they have negligible decay losses because of their long half lives, (3) they cause minimal recoil contamination to surface-barrier detectors, (4) they allow for simultaneous determination of the concentration and isotopic composition of uranium and thorium in a variety of sample types, and (5) they allow for simple and constant corrections for spectral inferences, 0.5% of the 238U activity is subtracted for the contribution of 235U in the 236U peak and 1% of the 229Th activity is subtracted from the 230Th activity. Disadvantages in using 236U and 229Th are: (1) individual separates of uranium and thorium must be prepared as very thin sources for alpha spectrometry, (2) good resolution in the spectrometer system is required for thorium isotopic measurements where measurement times may extend to 300 h, and (3) separate calibrations of the 236U and 229Th spike solution with both uranium and thorium standards are required. The use of these tracers in applications of uranium-series disequilibrium studies has simplified the measurements required for the determination of the isotopic composition of uranium and thorium because of the minimal corrections needed for alpha spectral interferences. ?? 1984.

Nuclear Instruments and Methods In Physics Researc↗

Does earthquake stress drop increase with depth in the crust?

We combine earthquake spectra from multiple studies to investigate whether the increase in stress drop with depth often observed in the crust is real, or an artifact of decreasing attenuation (increasing Q ) with depth. In many studies, empirical path and attenuation corrections are assumed to be independent of the earthquake source depth. We test this assumption by investigating whether a realistic increase in Q with depth (as is widely observed) could remove some of the observed apparent increase in stress drop with depth. We combine event spectra, previously obtained using spectral decomposition methods, for over 50,000 earthquakes (M0 to M5) from 12 studies in California, Nevada, Kansas and Oklahoma. We find that the relative high-frequency content of the spectra systematically increases with increasing earthquake depth, at all magnitudes. By analyzing spectral ratios between large and small events as a function of source depth, we explore the relative importance of source and attenuation contributions to this observed depth dependence. Without any correction for depth-dependent attenuation, we find a systematic increase in stress drop, rupture velocity, or both, with depth, as previously observed. When we add an empirical, depth-dependent attenuation correction, the depth dependence of stress drop systematically decreases, often becoming negligible. The largest corrections are observed in regions with the largest seismic velocity increase with depth. We conclude that source parameter analyses, whether in the frequency or time domains, should not assume path terms are independent of source depth, and should more explicitly consider the effects of depth-dependent attenuation.

Journal of Geophysical Research↗

Imprint of regional oceanography on foraminifera of eastern Pacific Coral Reefs

The marginal marine environments of the eastern tropical Pacific (ETP) serve as an ideal natural laboratory to study how oceanographic and climatic variability influence coral-reef ecosystems. Reefs along the Pacific coast of Panamá span a natural gradient of nutrients, pH, and temperature as a result of stronger seasonal upwelling in the Gulf of Panamá relative to the Gulf of Chiriquí. The ecosystems are not only influenced by spatial and seasonal variations in oceanography but are affected by the climatic variability of the El Niño-Southern Oscillation (ENSO). Foraminifera can be robust indicators of ecosystem condition because the composition of their assemblages and the geochemistry of their tests can change rapidly in response to environmental variability. We studied benthic foraminifera in sediment samples collected from 3 m below mean sea level in the Gulf of Panamá and the Gulf of Chiriquí. Temperature loggers deployed from 2016 to 2019 showed that average temperatures were lower and more variable in the Gulf of Panamá due to seasonal upwelling. All sites in both gulfs were dominated by heterotrophic foraminifera, which was likely the result of nutrient enrichment due to upwelling, combined with ENSO effects. However, the Gulf of Chiriquí was characterized by higher abundances of symbiont-bearing foraminifera than the Gulf of Panamá. The orders Miliolida and Rotaliida dominated the foraminiferal assemblages in both gulfs, with Quinqueloculina and Rosalina being the most abundant genera in the two orders, respectively. Miliolids were less abundant in the Gulf of Panamá than in the Gulf of Chiriquí, whereas rotaliid densities were not significantly different between the two gulfs. Lower pH in the Gulf of Panamá as a result of upwelling may have contributed to the lower abundance of miliolids, which secrete tests of high-magnesium calcite. Geochemical analysis of tests of the symbiont-bearing miliolid Sorites marginalis revealed that foraminiferal Mg/Ca ratios were lower in the Gulf of Panamá than in the Gulf of Chiriquí. The offset in foraminiferal Mg/Ca is consistent with the lower mean annual temperature observed in the Gulf of Panamá due to stronger seasonal upwelling. Because the geochemistry and assemblages of foraminifera reflect differences in environmental conditions, they could potentially be used in tandem with coral proxies to reconstruct past environmental change and project the future of coral-reef systems within the ETP.

Gulf of Chiriqui, Gulf of Panama↗

Characterizing supraglacial meltwater channel hydraulics on the Greenland Ice Sheet from in situ observations

Supraglacial rivers on the Greenland ice sheet (GrIS) transport large volumes of surface meltwater toward the ocean, yet have received relatively little direct research. This study presents field observations of channel width, depth, velocity, and water surface slope for nine supraglacial channels on the southwestern GrIS collected between 23 July and 20 August, 2012. Field sites are located up to 74&thinsp;km inland and span 494-1485&thinsp;m elevation, and contain measured discharges larger than any previous in situ study: from 0.006 to 23.12&thinsp;m 3 /s in channels 0.20 to 20.62&thinsp;m wide. All channels were deeply incised with near vertical banks, and hydraulic geometry results indicate that supraglacial channels primarily accommodate greater discharges by increasing velocity. Smaller streams had steeper water surface slopes (0.74-8.83%) than typical in terrestrial settings, yielding correspondingly high velocities (0.40-2.60&thinsp;m/s) and Froude numbers (0.45-3.11) with supercritical flow observed in 54% of measurements. Derived Manning's n values were larger and more variable than anticipated from channels of uniform substrate, ranging from 0.009 to 0.154 with a mean value of 0.035 +/- 0.027 despite the absence of sediment, debris, or other roughness elements. Ubiquitous micro-depressions in shallow sections of the channel bed may explain some of these roughness values. However, we find that other, unobserved sources of flow resistance likely contributed to these elevated n values: future work should explicitly consider additional sources of flow resistance beyond bed roughness in supraglacial channels. We conclude that hydraulic modelling for these channels must allow for both sub- and supercritical flow, and most importantly must refrain from assuming that all ice-substrate channels exhibit similar hydraulic behavior, especially for Froude numbers and Manning's n. Finally, this study highlights that further theoretical and empirical work on supraglacial channel hydraulics is necessary before broad scale understanding of ice sheet hydrology can be achieved. This article is protected by copyright. All rights reserved.

Earth Surface Processes and Landforms↗