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At least 1,549 records · Page 86Linked to original sources

Subtidal sea level variability in a shallow Mississippi River deltaic estuary, Louisiana

The relative roles of river, atmospheric, and tidal forcings on estuarine sea level variability are examined in Breton Sound, a shallow (0.7 m) deltaic estuary situated in an interdistributary basin on the Mississippi River deltaic plain. The deltaic landscape contains vegetated marshes, tidal flats, circuitous channels, and other features that frictionally dissipate waves propagating through the system. Direct forcing by local wind stress over the surface of the estuary is minimal, owing to the lack of significant fetch due to landscape features of the estuary. Atmospheric forcing occurs almost entirely through remote forcing, where alongshore winds facilitate estuary-shelf exchange through coastal Ekman convergence. The highly frictional nature of the deltaic landscape causes the estuary to act as a low-pass filter to remote atmospheric forcing, where high-frequency, coastally-induced fluctuations are significantly damped, and the damping increases with distance from the estuary mouth. During spring, when substantial quantities of controlled Mississippi River inputs (q¯ = 62 m3 s¯ 1) are discharged into the estuary, upper estuary subtidal sea levels are forced by a combination of river and remote atmospheric forcings, while river effects are less clear downestuary. During autumn (q¯ = 7 m3 s-1) sea level variability throughout the estuary is governed entirely by coastal variations at the marine boundary. A frequency-dependent analytical model, previously used to describe sea level dynamics forced by local wind stress and coastal forcing in deeper, less frictional systems, is applied in the shallow Breton Sound estuary. In contrast to deeper systems where coastally-induced fluctuations exhibit little or no frictional attenuation inside the estuary, these fluctuations in the shallow Breton Sound estuary show strong frequency-dependent amplitude reductions that extend well into the subtidal frequency spectrum.

Louisiana↗

Hydrologic and water-quality characteristics of a Wetland receiving wastewater effluent in St. Joseph, Minnesota

Hydrologic and water-quality characteristics were determined for a wetland being used for tertiary treatment of wastewater in St. Joseph, Minnesota. The wetland consists of spruce-tamarack fen and a cattail marsh, with the wastewater being discharged into the fen, and the fen draining into the marsh. The wetland is underlain by flat-lying glacial outwash that ranges from 0 to greater than 20 m in thickness. Horizontal ground-water movement in the outwash aquifer is toward the wetland from the south, east, and west. There is a strong upward vertical hydraulic gradient (about 0.1) in the ground-water flow system beneath and around the wetland. Regionally, the glacial-outwash aquifer is unconfined, but it is confined or partly confined locally by peat deposits under the wetland. Analysis of the hydrologic balance of the fen from October 1985 through September 1986 indicates that the inflow was 44 percent ground water, 38 percent wastewater, 11 percent runoff (storm sewer), and 7 percent precipitation. The fen outflow was 93 percent surface water and 7 percent evapotranspiration. Inflow to the marsh was 74 percent surface water, 21 percent ground water, and 5 percent precipitation. Outflow from the marsh was 94 percent surface water and 6 percent evapotranspiration. Wastewater contributed 74,996, and 81 percent of the total suspended solids, total phosphorus, and total ammonia plus organic nitrogen in the fen, respectively. Other chemical inputs were from the storm sewer, ground water, and atmospheric deposition. The fen was found to retain 34, 14, and 14 percent of the suspended solids, total phosphorus, and total ammonia plus organic nitrogen, respectively. The marsh retained 44, 18, and 22 percent of these three constituents, respectively.

Minnesota↗

Neural network-based nonlinear model predictive control vs. linear quadratic gaussian control

One problem with the application of neural networks to the multivariable control of mineral and extractive processes is determining whether and how to use them. The objective of this investigation was to compare neural network control to more conventional strategies and to determine if there are any advantages in using neural network control in terms of set-point tracking, rise time, settling time, disturbance rejection and other criteria. The procedure involved developing neural network controllers using both historical plant data and simulation models. Various control patterns were tried, including both inverse and direct neural network plant models. These were compared to state space controllers that are, by nature, linear. For grinding and leaching circuits, a nonlinear neural network-based model predictive control strategy was superior to a state space-based linear quadratic gaussian controller. The investigation pointed out the importance of incorporating state space into neural networks by making them recurrent, i.e., feeding certain output state variables into input nodes in the neural network. It was concluded that neural network controllers can have better disturbance rejection, set-point tracking, rise time, settling time and lower set-point overshoot, and it was also concluded that neural network controllers can be more reliable and easy to implement in complex, multivariable plants.

Mining, Metallurgy & Exploration (MME)↗

Combined effects of tectonic and landslide-generated Tsunami Runup at Seward, Alaska during the Mw 9.2 1964 earthquake

We apply a recently developed and validated numerical model of tsunami propagation and runup to study the inundation of Resurrection Bay and the town of Seward by the 1964 Alaska tsunami. Seward was hit by both tectonic and landslide-generated tsunami waves during the M W "> M W MW 9.2 1964 megathrust earthquake. The earthquake triggered a series of submarine mass failures around the fjord, which resulted in landsliding of part of the coastline into the water, along with the loss of the port facilities. These submarine mass failures generated local waves in the bay within 5 min of the beginning of strong ground motion. Recent studies estimate the total volume of underwater slide material that moved in Resurrection Bay to be about 211 million m 3 (Haeussler et al. in Submarine mass movements and their consequences, pp 269–278, 2007 ). The first tectonic tsunami wave arrived in Resurrection Bay about 30 min after the main shock and was about the same height as the local landslide-generated waves. Our previous numerical study, which focused only on the local landslide-generated waves in Resurrection Bay, demonstrated that they were produced by a number of different slope failures, and estimated relative contributions of different submarine slide complexes into tsunami amplitudes (Suleimani et al. in Pure Appl Geophys 166:131–152, 2009 ). This work extends the previous study by calculating tsunami inundation in Resurrection Bay caused by the combined impact of landslide-generated waves and the tectonic tsunami, and comparing the composite inundation area with observations. To simulate landslide tsunami runup in Seward, we use a viscous slide model of Jiang and LeBlond (J Phys Oceanogr 24(3):559–572, 1994 ) coupled with nonlinear shallow water equations. The input data set includes a high resolution multibeam bathymetry and LIDAR topography grid of Resurrection Bay, and an initial thickness of slide material based on pre- and post-earthquake bathymetry difference maps. For simulation of tectonic tsunami runup, we derive the 1964 coseismic deformations from detailed slip distribution in the rupture area, and use them as an initial condition for propagation of the tectonic tsunami. The numerical model employs nonlinear shallow water equations formulated for depth-averaged water fluxes, and calculates a temporal position of the shoreline using a free-surface moving boundary algorithm. We find that the calculated tsunami runup in Seward caused first by local submarine landslide-generated waves, and later by a tectonic tsunami, is in good agreement with observations of the inundation zone. The analysis of inundation caused by two different tsunami sources improves our understanding of their relative contributions, and supports tsunami risk mitigation in south-central Alaska. The record of the 1964 earthquake, tsunami, and submarine landslides, combined with the high-resolution topography and bathymetry of Resurrection Bay make it an ideal location for studying tectonic tsunamis in coastal regions susceptible to underwater landslides.

Alaska↗

Joint inversion of seismic and magnetotelluric data in the Parkfield Region of California using the normalized cross-gradient constraint

We present jointly inverted models of P-wave velocity (Vp) and electrical resistivity for a two-dimensional profile centered on the San Andreas Fault Observatory at Depth (SAFOD). Significant structural similarity between main features of the separately inverted Vp and resistivity models is exploited by carrying out a joint inversion of the two datasets using the normalized cross-gradient constraint. This constraint favors structurally similar Vp and resistivity images that adequately fit the seismic and magnetotelluric (MT) datasets. The new inversion code, tomoDDMT, merges the seismic inversion code tomoDD and the forward modeling and sensitivity kernel subroutines of the MT inversion code OCCAM2DMT. TomoDDMT is tested on a synthetic dataset and demonstrates the code’s ability to more accurately resolve features of the input synthetic structure relative to the separately inverted resistivity and velocity models. Using tomoDDMT, we are able to resolve a number of key issues raised during drilling at SAFOD. We are able to infer the distribution of several geologic units including the Salinian granitoids, the Great Valley sequence, and the Franciscan Formation. The distribution and transport of fluids at both shallow and great depths is also examined. Low values of velocity/resistivity attributed to a feature known as the Eastern Conductor (EC) can be explained in two ways: the EC is a brine-filled, high porosity region, or this region is composed largely of clay-rich shales of the Franciscan. The Eastern Wall, which lies immediately adjacent to the EC, is unlikely to be a fluid pathway into the San Andreas Fault’s seismogenic zone due to its observed higher resistivity and velocity values.

California↗

Source characterization and tsunami modeling of submarine landslides along the Yucatán Shelf/Campeche Escarpment, southern Gulf of Mexico

Submarine landslides occurring along the margins of the Gulf of Mexico (GOM) represent a low-likelihood, but potentially damaging source of tsunamis. New multibeam bathymetry coverage reveals that mass wasting is pervasive along the Yucatán Shelf edge with several large composite landslides possibly removing as much as 70 km 3 of the Cenozoic sedimentary section in a single event. Using GIS-based analysis, the dimensions of six landslides from the central and northern sections of the Yucatán Shelf/Campeche Escarpment were determined and used as input for preliminary tsunami generation and propagation models. Tsunami modeling is performed to compare the propagation characteristics and distribution of maximum amplitudes throughout the GOM among the different landslide scenarios. Various factors such as landslide geometry, location along the Yucatán Shelf/Campeche Escarpment, and refraction during propagation result in significant variations in the affected part of the Mexican and US Gulf Coasts. In all cases, however, tsunami amplitudes are greatest along the northern Yucatán Peninsula.

Pure and Applied Geophysics↗

The Kharapeh orogenic gold deposit: Geological, structural, and geochemical controls on epizonal ore formation in West Azerbaijan Province, Northwestern Iran

The Kharapeh gold deposit is located along the northwestern margin of the Sanandaj–Sirjan Zone (SSZ) in the West Azerbaijan province, Iran. It is an epizonal orogenic gold deposit formed within the deformed zone between central Iran and the Arabian plate during the Cretaceous–Tertiary Zagros orogeny. The deposit area is underlain by Cretaceous schist and marble, as well as altered andesite and dacite dikes. Structural analysis indicates that the rocks underwent tight to isoclinal recumbent folding and were subsequently co-axially refolded to upright open folds during a second deformation. Late- to post-tectonic Cenozoic granites and granodiorites occur northeast of the deposit area. Mineralization mainly is recognized within NW-trending extensional structures as veins and breccia zones. Normal faults, intermediate dikes, and quartz veins, oriented subparallel to the axial surface of the Kharapeh antiform, indicate synchronous extension perpendicular to the fold axis during the second folding event. The gold-bearing quartz veins are >1 km in length and average about 6 m in width; breccia zones are 10–50 m in length and ≤1 m in width. Hydrothermal alteration mainly consists of silicification, sulfidation, chloritization, sericitization, and carbonatization. Paragenetic relationships indicate three distinct stages—replacement and silicification, brecciation and fracture filling, and cataclastic brecciation—with the latter two being gold-rich. Fluid inclusion data suggest mineral deposition at temperatures of at least 220–255°C and depths of at least 1.4–1.8 km, from a H 2 O–CO 2 ±CH 4 fluid of relatively high salinity (12–14 wt.% NaCl equiv.), which may reflect metamorphism of passive margin carbonate sequences. Ore fluid δ 18 O values between about 7‰ and 9‰ suggest no significant meteoric water input, despite gold deposition in a relatively shallow epizonal environment. Similarities to other deposits in the SSZ suggest that the deposit formed as part of a diachronous gold event during the middle to late Tertiary throughout the SSZ and during the final stages of the Zagros orogeny. The proximity of Kharapeh to the main tectonic suture of the orogen, well-developed regional fold systems with superimposed complex fracture geometries, and recognition of nearby volcanogenic massive sulfide systems that suggest a region characterized by sulfur- and metal-rich crustal rocks, collectively indicate an area of the SSZ with high favorability for undiscovered gold resources.

West Azerbaijan Province↗

Geochemistry of host rocks in the Howards Pass district, Yukon-Northwest Territories, Canada: implications for sedimentary environments of Zn-Pb and phosphate mineralization

Detailed lithogeochemical data are reported here on early Paleozoic sedimentary rocks that host the large Howards Pass stratiform Zn-Pb deposits in Yukon-Northwest Territories. Redox-sensitive trace elements (Mo, Re, V, U) and Ce anomalies in members of the Duo Lake Formation record significant environmental changes. During the deposition of lower footwall units (Pyritic siliceous and Calcareous mudstone members), bottom waters were anoxic and sulphidic, respectively; these members formed in a marginal basin that may have become increasingly restricted with time. Relative to lower members, a major environmental change is proposed for deposition of the overlying Lower cherty mudstone member, which contains phosphorite beds up to ∼0.8 m thick in the upper part, near the base of the Zn-Pb deposits. The presence of these beds, together with models for modern phosphorite formation, suggests P input from an upwelling system and phosphorite deposition in an upper slope or outer shelf setting. The overlying Active mudstone member contains stratabound to stratiform Zn-Pb deposits within black mudstone and gray calcareous mudstone. Data for unmineralized black mudstone in this member indicate deposition under diverse redox conditions from suboxic to sulphidic. Especially distinctive in this member are uniformly low ratios of light to heavy rare earth elements that are unique within the Duo Lake Formation, attributed here to the dissolution of sedimentary apatite by downward-percolating acidic metalliferous brines. Strata that overlie the Active member (Upper siliceous mudstone member) consist mainly of black mudstone with thin (0.5–1.5 cm) laminae of fine-grained apatite, recording continued deposition on an upper slope or outer shelf under predominantly suboxic bottom waters. Results of this study suggest that exploration for similar stratiform sediment-hosted Zn-Pb deposits should include the outer parts of ancient continental margins, especially at and near stratigraphic transitions from marginal basin facies to overlying slope or shelf facies.

Mineralium Deposita↗

Sulfur and lead isotope geochemistry of hypogene mineralization at the Barite Hill Gold Deposit, Carolina Slate Belt, southeastern United States: A window into and through regional metamorphism

The Barite Hill gold deposit, at the southwestern end of the Carolina slate belt in the southeastern United States, is one of four gold deposits in the region that have a combined yield of 110 metric tons of gold over the past 10 years. At Barite Hill, production has dominantly come from oxidized ores. Sulfur isotope data from hypogene portions of the Barite Hill gold deposit vary systematically with pyrite–barite associations and provide insights into both the pre-metamorphic Late Proterozoic hydrothermal and the Paleozoic regional metamorphic histories of the deposit. The δ 34 S values of massive barite cluster tightly between 25.0 and 28.0‰, which closely match the published values for Late Proterozoic seawater and thus support a seafloor hydrothermal origin. The δ 34 S values of massive sulfide range from 1.0 to 5.3‰ and fall within the range of values observed for modern and ancient seafloor hydrothermal sulfide deposits. In contrast, δ 34 S values for finer-grained, intergrown pyrite (5.1–6.8‰) and barite (21.0–23.9‰) are higher and lower than their massive counterparts, respectively. Calculated sulfur isotope temperatures for the latter barite–pyrite pairs (Δ=15.9–17.1‰) range from 332–355 °C and probably reflect post-depositional equilibration at greenschist-facies regional metamorphic conditions. Thus, pyrite and barite occurring separately from one another provide pre-metamorphic information about the hydrothermal origin of the deposit, whereas pyrite and barite occurring together equilibrated to record the metamorphic conditions. Preliminary fluid inclusion data from sphalerite are consistent with a modified seawater source for the mineralizing fluids, but data from quartz and barite may reflect later metamorphic and (or) more recent meteoric water input. Lead isotope values from pyrites range for 206 Pb/ 204 Pb from 18.005–18.294, for 207 Pb/ 204 Pb from 15.567–15.645, and for 208 Pb/ 204 Pb from 37.555–38.015. The data indicate derivation of the ore leads from the country rocks, which themselves show evidence for contributions from relatively unradiogenic, mantle-like lead, and more evolved or crustal lead. Geological relationships, and stable and radiogenic isotopic data, suggest that the Barite Hill gold deposit formed on the Late Proterozoic seafloor through exhalative hydrothermal processes similar to those that were responsible for the massive sulfide deposits of the Kuroko district, Japan. On the basis of similarities with other gold-rich massive sulfide deposits and modern seafloor hydrothermal systems, the gold at Barite Hill was probably introduced as an integral part of the formation of the massive sulfide deposit.

Georgia, North Carolina, South Carolina, Virginia↗

Trends in monitoring pharmaceuticals and personal-care products in the aquatic environment by use of passive sampling devices

The use of passive sampling in monitoring pharmaceuticals and personal-care products (PPCPs) in the aquatic environment is discussed. The utility of passive sampling methods for monitoring the fraction of heavy metals and the biologically available fraction of non-polar organic priority pollutants is recognized and these technologies are being used in surveys of water quality. These devices are used to measure the dissolved fraction and they can yield information that can be used in the development of risk assessments models. These devices can also be used to locate illegal dumping and to monitor specific sources of input of PPCPs into the environment, or to monitor the effectiveness of water treatment processes in the removal of these compounds from wastewater. These devices can provide representative information at low cost which necessitate a combination of laboratory calibration and field studies for emerging pollutants.

Analytical and Bioanalytical Chemistry↗

Variable pH habitats could help prepare stone crabs for coastal acidification

Coastal acidification is being exacerbated by terrestrial organic inputs, especially after high precipitation events. Florida’s rainy season coincides with stone crab ( Menippe mercenaria) reproduction, and pH extremes could limit future harvests by reducing reproductive output. Populations that experience pH variability can serve as “natural laboratories” for estimating the tolerance of a species to coastal acidification. Here, we conducted a series of experiments to determine if ovigerous stone crabs conditioned in more variable pH habitats (seagrass) would result in faster embryonic development, greater hatching success, and higher larval survival relative to crabs conditioned in habitats with lower pH variability (sandy habitats). After field conditioning, crabs were transported to the laboratory and randomly acclimated to either a control pH (pH = ~ 7.90) or a reduced pH condition (pH = ~ 7.60) until larval release. The rate of embryo development was slower in the laboratory reduced pH treatment, however, there were no observable field condition effects on embryo development rate. Crabs conditioned in the more pH variable seagrass habitat did have greater hatching success and higher larval survival than crabs in less pH variable sandy habitats; however, larval survival was low across all treatments. These results suggest that the pH variability experienced in seagrass habitats during brooding may serve as a mechanism for stone crabs to acclimatize to extremes in seawater pH.

Marine Biology↗

Distribution of pesticides, PAHs, PCBs, and bioavailable metals in depositional sediments of the lower Missouri River, USA

The lower Missouri River was studied to determine the distribution of selected persistent organic pollutants and bioavailable metals in depositional sediments. Nineteen sites between Omaha, Nebraska and Jefferson City, Missouri were sampled. This stretch of the river receives point-source and non-point-source inputs from industrial, urban, and agricultural activities. As part of an ecological assessment of the river, concentrations of 29 legacy organochlorine pesticides (OC pesticides), including chlordanes, DDTs, and hexachlorocyclohexanes; a select list of current-use pesticides, including trifluralin, diazinon, chlorpyrifos, and permethrin, polycyclic aromatic hydrocarbons (PAHs), polychlorinated biphenyls (PCBs), divalent metals (copper, nickel, zinc, cadmium, and lead), and polybrominated diphenyl ethers (PBDEs) were determined. Concentrations (dry weight basis) of OC pesticides in the sediments were less than 1 ng/g, with the exception of the backwater sediment collected from the mouth of the Blue River in the Kansas City metropolitan area, which contained up to 20 ng/g total chlordane, 8.1 ng/g p,p???-DDE, 1.5 ng/g lindane, 4.8 ng/g dieldrin, and 3 ng/g endrin. Concentrations of chlorpyrifos and permethrin ranged from less than 1 ng/g to 5.5 ng/g and 44 ng/g, respectively. Concentrations of PCBs ranged from less than 11 ng/g to 250 ng/g, with the Blue River and Sibley sediments containing 100 and 250 ng/g total PCBs, respectively. Concentrations of total PAHs at 17 of the 19 sites ranged from 250 to 700 ng/g, whereas the Riverfront and Blue River sites in Kansas City contained 1100 ng/g and nearly 4000 ng/g, respectively. Concentrations of the metals did not vary significantly among most sites; however, the Blue River site contained elevated concentrations of zinc (104 ??g/g), cadmium (0.7 ??g/g), and lead (34 ??g/g) compared to the other sites. The moderately high concentrations of acid-volatile sulfide in the sediments suggest a low potential for metal toxicity to benthic organisms along this reach of the Missouri River. The depositional area sediments contained concentrations of the targeted persistent organic chemicals and metals that were below published probable effect level concentrations. ?? 2008 Springer Science+Business Media, LLC.

Archives of Environmental Contamination and Toxico↗

Concentration and transport of chlordane and nonachlor associated with suspended sediment in the Mississippi River, May 1988 to June 1990

Technical chlordane, a formerly widely used organochlorine pesticide, has become widespread in the environment. The distribution of technical chlordane in riverine environments may be due in part to resuspension and aqueous transport of contaminated bed sediment. To test this hypothesis, the Mississippi River was sampled for suspended sediment five times over a two- year period, at up to 17 sites from St. Louis to below New Orleans, including major tributaries. The ratio of chlordane to nonachlor concentrations averaged 3.6 during May-June 1988 for the Mississippi River below its confluence with the Ohio River. During March-April 1989, the ratio was 0.6, suggesting weathered technical chlordane contributions to the suspended sediment. During June 1989, the ratio averaged 1.1, indicating some input of less weathered technical chlordane. During February-March and May-June 1990, the ratios again shifted, from 0.8 to 1.3. This shifting ratio is likely due to resuspension of weathered technical chlordane associated with bed sediment during spring runoff. Annual transport by suspended sediment from the Mississippi River to the Gulf of Mexico was estimated to be 110 kg of chlordane and 100 kg of nonachlor.

Mississippi River↗

The occurrence of lysogenic bacteria and microbial aggregates in the lakes of the McMurdo Dry Valleys, Antarctica

The McMurdo Dry Valleys of Antarctica form the coldest and driest ecosystem on Earth. Within this region there are a number of perennially ice-covered (3–6 m thick) lakes that support active microbial assemblages and have a paucity of metazoans. These lakes receive limited allochthonous input of carbon and nutrients, and primary productivity is limited to only 6 months per year owing to an absence of sunlight during the austral winters. In an effort to establish the role that bacteria and their associated viruses play in carbon and nutrient cycling in these lakes, indigenous bacteria, free bacteriophage, and lysogen abundances were determined. Total bacterial abundances (TDC) ranged from 3.80 × 10 4 to 2.58 × 10 7 cells mL −1 and virus-like particle (VLP) abundances ranged from 2.26 × 10 5 to 5.56 × 10 7 VLP mL −1 . VLP abundances were significantly correlated ( P < 0.05) with TDC, bacterial productivity (TdR), chlorophyll a (Chl a ), and soluble reactive phosphorus (SRP). Lysogenic bacteria, determined by induction with mitomycin C, made up between 2.0% and 62.5% of the total population of bacteria when using significant decreases and increases in TDC and VLP abundances, respectively, and 89.5% when using increases in VLP abundances as the sole criterion for a successful induction event. The contribution of viruses released from induced lysogens contributed <0.015% to the total viral production rate. Carbohydrate and protein based organic aggregates were abundant within the water column of the lakes and were heavily colonized by bacteria and VLPs. Alkaline phosphatase activity was detected within the matrix of the aggregates, implying phosphorus deficiency and consortial nutrient exchanges among microorganisms.

Microbial Ecology↗

Sources of nitrate contamination and age of water in large karstic springs of Florida

In response to concerns about the steady increase in nitrate concentrations over the past several decades in many of Florida's first magnitude spring waters (discharge ???2.8 m3/s), multiple isotopic and other chemical tracers were analyzed in water samples from 12 large springs to assess sources and timescales of nitrate contamination. Nitrate-N concentrations in spring waters ranged from 0.50 to 4.2 mg/L, and ??15N values of nitrate in spring waters ranged from 2.6 to 7.9 per mil. Most ??15N values were below 6 per mil indicating that inorganic fertilizers were the dominant source of nitrogen in these waters. Apparent ages of groundwater discharging from springs ranged from 5 to about 35 years, based on multi-tracer analyses (CFC-12, CFC-113, SF6, 3H/3He) and a piston flow assumption; however, apparent tracer ages generally were not concordant. The most reliable spring-water ages appear to be based on tritium and 3He data, because concentrations of CFCs and SF6 in several spring waters were much higher than would be expected from equilibration with modern atmospheric concentrations. Data for all tracers were most consistent with output curves for exponential and binary mixing models that represent mixtures of water in the Upper Floridan aquifer recharged since the early 1960s. Given that groundwater transit times are on the order of decades and are related to the prolonged input of nitrogen from multiple sources to the aquifer, nitrate could persist in groundwater that flows toward springs for several decades due to slow transport of solutes through the aquifer matrix.

Environmental Geology↗

Assessing water quality at large geographic scales: Relations among land use, water physicochemistry, riparian condition, and fish community structure

Data collected from 172 sites in 20 major river basins between 1993 and 1995 as part of the US Geological Survey's National Water-Quality Assessment Program were analyzed to assess relations among basinwide land use (agriculture, forest, urban, range), water physicochemistry, riparian condition, and fish community structure. A multimetric approach was used to develop regionally referenced indices of fish community and riparian condition. Across large geographic areas, decreased riparian condition was associated with water-quality constituents indicative of nonpoint source inputs-total nitrogen and suspended sediment and basin-wide urban land use. Decreased fish community condition was associated with increases in total dissolved solids and rangeland use and decreases in riparian condition and agricultural land use. Fish community condition was relatively high even in areas where agricultural land use was relatively high (>50% of the basin). Although agricultural land use can have deleterious effects on fish communities, the results of this study suggest that other factors also may be important, including practices that regulate the delivery of nutrients, suspended sediments, and total dissolved solids into streams. Across large geographic scales, measures of water physicochemistry may be better indicators of fish community condition than basinwide land use. Whereas numerous studies have indicated that riparian restorations are successful in specific cases, this analysis suggests the universal importance of riparian zones to the maintenance and restoration of diverse fish communities in streams.

Environmental Management↗

Importance of Sediment-Water Interactions in Coeur d'Alene Lake, Idaho, USA: Management Implications

A field study at Coeur d'Alene Lake, Idaho, USA, was conducted between October 1998 and August 2001 to examine the potential importance of sediment-water interactions on contaminant transport and to provide the first direct measurements of the benthic flux of dissolved solutes of environmental concern in this lake. Because of potential ecological effects, dissolved zinc and orthophosphate were the solutes of primary interest. Results from deployments of an in situ flux chamber indicated that benthic fluxes of dissolved Zn and orthophosphate were comparable in magnitude to riverine inputs. Tracer analyses and benthic-community metrics provided evidence that solute benthic flux were diffusion-controlled at the flux-chamber deployment sites. That is, effects of biomixing (or bioturbation) and ground-water interactions did not strongly influence benthic flux. Remediation efforts in the river might not produce desired water-quality effects in the lake because imposed shifts in concentration gradients near the sediment-water interface would generate a benthic feedback response. Therefore, development of water-quality models to justify remediation strategies requires consideration of contaminant flux between the water column and underlying sediment in basins that have been affected by long-term (decadal) anthropogenic activities.

Idaho↗

Contemporary carbon dynamics in terrestrial ecosystems in the Southeastern Plains of the United States

Quantifying carbon dynamics over large areas is frequently hindered by the lack of consistent, high-quality, spatially explicit land use and land cover change databases and appropriate modeling techniques. In this paper, we present a generic approach to address some of these challenges. Land cover change information in the Southeastern Plains ecoregion was derived from Landsat data acquired in 1973, 1980, 1986, 1992, and 2000 within 11 randomly located 20-km × 20-km sample blocks. Carbon dynamics within each of the sample blocks was simulated using the General Ensemble Biogeochemical Modeling System (GEMS), capable of assimilating the variances and covariance of major input variables into simulations using an ensemble approach. Results indicate that urban and forest areas have been increasing, whereas agricultural land has been decreasing since 1973. Forest clear-cutting activity has intensified, more than doubling from 1973 to 2000. The Southeastern Plains has been acting as a carbon sink since 1973, with an average rate of 0.89 Mg C/ha/yr. Biomass, soil organic carbon (SOC), and harvested materials account for 56%, 34%, and 10% of the sink, respectively. However, the sink has declined continuously during the same period owing to forest aging in the northern part of the ecoregion and increased forest clear-cutting activities in the south. The relative contributions to the sink from SOC and harvested materials have increased, implying that these components deserve more study in the future. The methods developed here can be used to quantify the impacts of human management activities on the carbon cycle at landscape to global scales.

Environmental Management↗