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The HayWired Earthquake Scenario

Foreword The 1906 Great San Francisco earthquake (magnitude 7.8) and the 1989 Loma Prieta earthquake (magnitude 6.9) each motivated residents of the San Francisco Bay region to build countermeasures to earthquakes into the fabric of the region. Since Loma Prieta, bay-region communities, governments, and utilities have invested tens of billions of dollars in seismic upgrades and retrofits and replacements of older buildings and infrastructure. Innovation and state-of-the-art engineering, informed by science, including novel seismic-hazard assessments, have been applied to the challenge of increasing seismic resilience throughout the bay region. However, as long as people live and work in seismically vulnerable buildings or rely on seismically vulnerable transportation and utilities, more work remains to be done. With that in mind, the U.S. Geological Survey (USGS) and its partners developed the HayWired scenario as a tool to enable further actions that can change the outcome when the next major earthquake strikes. By illuminating the likely impacts to the present-day built environment, well-constructed scenarios can and have spurred officials and citizens to take steps that change the outcomes the scenario describes, whether used to guide more realistic response and recovery exercises or to launch mitigation measures that will reduce future risk. The HayWired scenario is the latest in a series of like-minded efforts to bring a special focus onto the impacts that could occur when the Hayward Fault again ruptures through the east side of the San Francisco Bay region as it last did in 1868. Cities in the east bay along the Richmond, Oakland, and Fremont corridor would be hit hardest by earthquake ground shaking, surface fault rupture, aftershocks, and fault afterslip, but the impacts would reach throughout the bay region and far beyond. The HayWired scenario name reflects our increased reliance on the Internet and telecommunications and also alludes to the interconnectedness of infrastructure, society, and our economy. How would this earthquake scenario, striking close to Silicon Valley, impact our interconnected world in ways and at a scale we have not experienced in any previous domestic earthquake? The area of present-day Contra Costa, Alameda, and Santa Clara Counties contended with a magnitude-6.8 earthquake in 1868 on the Hayward Fault. Although sparsely populated then, about 30 people were killed and extensive property damage resulted. The question of what an earthquake like that would do today has been examined before and is now revisited in the HayWired scenario. Scientists have documented a series of prehistoric earthquakes on the Hayward Fault and are confident that the threat of a future earthquake, like that modeled in the HayWired scenario, is real and could happen at any time. The team assembled to build this scenario has brought innovative new approaches to examining the natural hazards, impacts, and consequences of such an event. Such an earthquake would also be accompanied by widespread liquefaction and landslides, which are treated in greater detail than ever before. The team also considers how the now-prototype ShakeAlert earthquake early warning system could provide useful public alerts and automatic actions. Scientific Investigations Report 2017–5013 and accompanying data releases are the products of an effort led by the USGS, but this body of work was created through the combined efforts of a large team including partners who have come together to form the HayWired Coalition (see chapter A). Use of the HayWired scenario has already begun. More than a full year of intensive partner engagement, beginning in April 2017, is being directed toward producing the most in-depth look ever at the impacts and consequences of a large earthquake on the Hayward Fault. With the HayWired scenario, our hope is to encourage and support the active ongoing engagement of the entire community of the San Francisco Bay region by providing the scientific, engineering, and economic and social science inputs for use in exercises and planning well into the future. As HayWired volumes are published, they will be made available at https://doi.org/10.3133/sir20175013 .

California↗

Suspended-sediment and fresh-water discharges in the Ob and Yenisey rivers, 1960-1988

Of the world's great rivers, the Ob and Yenisey rank among the largest suppliers of fresh water and among the smallest suppliers of suspended sediment to the coastal ocean. Sediment in the middle reaches of the rivers is mobilized from bordering terraces and exchanged between channels and flood plains. Sediment in the lower reaches of these great rivers is deposited and stored (permanently, on a millennial time scale) in flood plains. Sediment discharges, already small under natural conditions, are diminished further by large manmade reservoirs that trap significant proportions of the moving solids. The long winter freeze and sudden spring breakup impose a peakedness in seasonal water runoff and sediment discharge that contrasts markedly with that in rivers of the tropics and more temperate climates. Very little sediment from the Ob and Yenisey rivers is being transported to the open waters of the Arctic Ocean under present conditions.

Arctic Ocean, Gulf of Ob, Irtysh River, Ob River, ↗

Sediment quality assessment in tidal salt marshes in northern California, USA: An evaluation of multiple lines of evidence approach

The objective of this study was to evaluate the efficacy of integrating a traditional sediment quality triad approach with selected sublethal chronic indicators in resident species in assessing sediment quality in four salt marshes in northern California, USA. These included the highly contaminated (Stege Marsh) and relatively clean (China Camp) marshes in San Francisco Bay and two reference marshes in Tomales Bay. Toxicity potential of contaminants and benthic macroinvertebrate survey showed significant differences between contaminated and reference marshes. Sublethal responses (e.g., apoptotic DNA fragmentation, lipid accumulation, and glycogen depletion) in livers of longjaw mudsucker (Gillichthys mirabilis) and embryo abnormality in lined shore crab (Pachygrapsus crassipes) also clearly distinguished contaminated and reference marshes, while other responses (e.g., cytochrome P450, metallothionein) did not. This study demonstrates that additional chronic sublethal responses in resident species under field exposure conditions can be readily combined with sediment quality triads for an expanded multiple lines of evidence approach. This confirmatory step may be warranted in environments like salt marshes in which natural variables may affect interpretation of toxicity test data. Qualitative and quantitative integration of the portfolio of responses in resident species and traditional approach can support a more comprehensive and informative sediment quality assessment in salt marshes and possibly other habitat types as well.

California↗

Wildlife as valuable natural resources vs. intolerable pests: A suburban wildlife management model

Management of wildlife in suburban environments involves a complex set of interactions between both human and wildlife populations. Managers need additional tools, such as models, that can help them assess the status of wildlife populations, devise and apply management programs, and convey this information to other professionals and the public. We present a model that conceptualizes how some wildlife populations can fluctuate between extremely low (rare, threatened, or endangered status) and extremely high (overabundant) numbers over time. Changes in wildlife abundance can induce changes in human perceptions, which continually redefine species as a valuable resource to be protected versus a pest to be controlled. Management programs thatincorporate a number of approaches and promote more stable populations of wildlife avoid the problems of the resource versus pest transformation, are less costly to society, and encourage more positive and less negative interactions between humans and wildlife. We presenta case example of the beaver Castor canadensis in Massachusetts to illustrate how this model functions and can be applied. ?? 2005 Springer Science + Business Media, Inc.

Urban Ecosystems↗

Summary of the Ground-Water-Level Hydrologic Conditions in New Jersey 2006

Ground water is one of the Nation's most important natural resources. It provides about 40 percent of our Nation's public water supply. Currently, nearly one-half of New Jersey's drinking-water is supplied by over 300,000 wells that serve more than 4.3 million people (John P. Nawyn, U.S. Geological Survey, written commun., 2007). New Jersey's population is projected to grow by more than a million people by 2030 (U.S. Census Bureau, accessed March 2, 2006, at http://www.census.gov). As demand for water increases, managing the development and use of the ground-water resource so that the supply can be maintained for an indefinite time without causing unacceptable environmental, economic, or social consequences is of paramount importance. This report describes the U.S. Geological Survey (USGS) New Jersey Water Science Center Observation Well Networks. Record low ground-water levels during water year 2006 (October 1, 2005 to September 30, 2006) are listed, and water levels in six selected water-table observation wells and three selected confined wells are shown in hydrographs. The report describes the trends in water levels in various confined aquifers in southern New Jersey and in water-table and fracture rock aquifers throughout the State. Web site addresses to access the data also are included. The USGS has operated a network of observation wells in New Jersey since 1923 for the purpose of monitoring ground-water-level changes throughout the State. Long-term systematic measurement of water levels in observation wells provides the data needed to evaluate changes in the ground-water resource over time. Records of ground-water levels are used to evaluate the effects of climate changes and water-supply development, to develop ground-water models, and to forecast trends.

Fact Sheet↗

Applications of research from the U.S. Geological Survey program, assessment of regional earthquake hazards and risk along the Wasatch Front, Utah

INTERACTIVE WORKSHOPS: ESSENTIAL ELEMENTS OF THE EARTHQUAKE HAZARDS RESEARCH AND REDUCTION PROGRAM IN THE WASATCH FRONT, UTAH: Interactive workshops provided the forum and stimulus necessary to foster collaboration among the participants in the multidisciplinary, 5-yr program of earthquake hazards reduction in the Wasatch Front, Utah. The workshop process validated well-documented social science theories on the importance of interpersonal interaction, including interaction between researchers and users of research to increase the probability that research will be relevant to the user's needs and, therefore, more readily used. REDUCING EARTHQUAKE HAZARDS IN UTAH: THE CRUCIAL CONNECTION BETWEEN RESEARCHERS AND PRACTITIONERS: Complex scientific and engineering studies must be translated for and transferred to nontechnical personnel for use in reducing earthquake hazards in Utah. The three elements needed for effective translation, likelihood of occurrence, location, and severity of potential hazards, and the three elements needed for effective transfer, delivery, assistance, and encouragement, are described and illustrated for Utah. The importance of evaluating and revising earthquake hazard reduction programs and their components is emphasized. More than 30 evaluations of various natural hazard reduction programs and techniques are introduced. This report was prepared for research managers, funding sources, and evaluators of the Utah earthquake hazard reduction program who are concerned about effectiveness. An overview of the Utah program is provided for those researchers, engineers, planners, and decisionmakers, both public and private, who are committed to reducing human casualties, property damage, and interruptions of socioeconomic systems. PUBLIC PERCEPTIONS OF THE IMPLEMENTATION OF EARTHQUAKE MITIGATION POLICIES ALONG THE WASATCH FRONT IN UTAH: The earthquake hazard potential along the Wasatch Front in Utah has been well defined by a number of scientific and engineering studies. Translated earthquake hazard maps have also been developed to identify areas that are particularly vulnerable to various causes of damage such as ground shaking, surface rupturing, and liquefaction. The implementation of earthquake hazard reduction plans are now under way in various communities in Utah. The results of a survey presented in this paper indicate that technical public officials (planners and building officials) have an understanding of the earthquake hazards and how to mitigate the risks. Although the survey shows that the general public has a slightly lower concern about the potential for economic losses, they recognize the potential problems and can support a number of earthquake mitigation measures. The study suggests that many community groups along the Wasatch Front, including volunteer groups, business groups, and elected and appointed officials, are ready for action-oriented educational programs. These programs could lead to a significant reduction in the risks associated with earthquake hazards. A DATA BASE DESIGNED FOR URBAN SEISMIC HAZARDS STUDIES: A computerized data base has been designed for use in urban seismic hazards studies conducted by the U.S. Geological Survey. The design includes file structures for 16 linked data sets, which contain geological, geophysical, and seismological data used in preparing relative ground response maps of large urban areas. The data base is organized along relational data base principles. A prototype urban hazards data base has been created for evaluation in two urban areas currently under investigation: the Wasatch Front region of Utah and the Puget Sound area of Washington. The initial implementation of the urban hazards data base was accomplished on a microcomputer using dBASE III Plus software and transferred to minicomputers and a work station. A MAPPING OF GROUND-SHAKING INTENSITIES FOR SALT LAKE COUNTY, UTAH: This paper documents the development of maps showing a

Professional Paper↗

Using chromium stable isotope ratios to quantify Cr(VI) reduction: Lack of sorption effects

Chromium stable isotope values can be effectively used to monitor reduction of Cr(VI) in natural waters. We investigate effects of sorption during transport of Cr(VI) which may also shift Cr isotopes values, complicating efforts to quantify reduction. This study shows that Cr stable isotope fractionation caused by sorption is negligible. Equilibrium fractionation of Cr stable isotopes between dissolved Cr(VI) and Cr(VI) adsorbed onto γ-Al 2 O 3 and goethite is less than 0.04‰ ( 53 Cr/ 52 Cr) under environmentally relevant pH conditions. Batch experiments at pH 4.0 and pH 6.0 were conducted in series to sequentially magnify small isotope fractionations. A simple transport model suggests that adsorption may cause amplification of a small isotope fractionation along extreme fringes of a plume, leading to shifts in 53 Cr/ 52 Cr values. We therefore suggest that isotope values at extreme fringes of Cr plumes be critically evaluated for sorption effects. A kinetic effect was observed in experiments with goethite at pH 4 where apparently lighter isotopes diffuse into goethite clumps at a faster rate before eventually reaching equilibrium. This observed kinetic effect may be important in a natural system that has not attained equilibrium and is in need of further study. Cr isotope fractionation caused by speciation of Cr(VI) between HCrO 4 - and CrO 4 2 - was also examined, and we conclude that it is not measurable. In the absence of isotope fractionation caused by equilibrium speciation and sorption, most of the variation in δ 53 Cr values may be attributed to reduction, and reliable estimates of Cr reduction can be made.

Environmental Science & Technology↗

Assessment of undiscovered oil and gas in the Arctic

Among the greatest uncertainties in future energy supply and a subject of considerable environmental concern is the amount of oil and gas yet to be found in the Arctic. By using a probabilistic geology-based methodology, the United States Geological Survey has assessed the area north of the Arctic Circle and concluded that about 30% of the world’s undiscovered gas and 13% of the world’s undiscovered oil may be found there, mostly offshore under less than 500 meters of water. Undiscovered natural gas is three times more abundant than oil in the Arctic and is largely concentrated in Russia. Oil resources, although important to the interests of Arctic countries, are probably not sufficient to substantially shift the current geographic pattern of world oil production.

Science↗

Incubation temperature, developmental biology, and the divergence of sockeye salmon ( Oncorhynchus nerka ) within Lake Washington

Sockeye salmon ( Oncorhynchus nerka) introduced into Lake Washington in the 1930s and 1940s now spawn at several different sites and over a period of more than 3 months. To test for evolutionary divergence within this derived lineage, embryos that would have incubated in different habitats (Cedar River or Pleasure Point Beach) or at different times (October, November, or December in the Cedar River) were reared in the laboratory at 5, 9, and 12.5??C. Some developmental variation mirrored predictions of adaptive divergence: (i) survival at 12.5??C was highest for embryos most likely to experience such temperatures in the wild (Early Cedar), (ii) development rate was fastest for progeny of late spawners (Late Cedar), and (iii) yolk conversion efficiency was matched to natural incubation temperatures. These patterns likely had a genetic basis because they were observed in a common environment and could not be attributed to differences in egg size. The absolute magnitude of divergence in development rates was moderate (Late Cedar embryos emerged only 6 days earlier at 9??C) and some predictions regarding development rates were not supported. Nonetheless our results provide evidence of adaptive divergence in only 9-14 generations.

Washington↗

Role of NSO compounds during primary cracking of a Type II kerogen and a Type III lignite

The aim of this work is to follow the generation of NSO compounds during the artificial maturation of an immature Type II kerogen and a Type III lignite in order to determine the different sources of the petroleum potential during primary cracking. Experiments were carried out in closed system pyrolysis in the temperature range from 225 to 350 ??C. Two types of NSOs were recovered: one is soluble in n-pentane and the second in dichloromethane. A kinetic scheme was optimised including both kerogen and NSO cracking. It was validated by complementary experiments carried out on isolated asphaltenes generated from the Type II kerogen and on the total n-pentane and DCM extracts generated from the Type III lignite. Results show that kerogen and lignite first decompose into DCM NSOs with minor generation of hydrocarbons. Then, the main source of petroleum potential originates from secondary cracking of both DCM and n-pentane NSOs through successive decomposition reactions. These results confirm the model proposed by Tissot [Tissot, B., 1969. Premie??res donne??es sur les me??canismes et la cine??tique de la formation du pe??trole dans les bassins se??dimentaires. Simulation d'un sche??ma re??actionnel sur ordinateur. Oil and Gas Science and Technology 24, 470-501] in which the main source of hydrocarbons is not the insoluble organic matter, but the NSO fraction. As secondary cracking of the NSOs largely overlaps that of the kerogen, it was demonstrated that bulk kinetics in open system is a result of both kerogen and NSO cracking. Thus, another kinetic scheme for primary cracking in open system was built as a combination of kerogen and NSO cracking. This new kinetic scheme accounts for both the rate and amounts of hydrocarbons generated in a closed pyrolysis system. Thus, the concept of successive steps for hydrocarbon generation is valid for the two types of pyrolysis system and, for the first time, a common kinetic scheme is available for extrapolating results to natural case studies. ?? 2007 Elsevier Ltd. All rights reserved.

Organic Geochemistry↗

Do open access data policies inhibit innovation?

There has been a great deal of attention paid recently to the idea of data sharing (Van Noorden 2014 , Beardsley 2015 , Nature Publishing Group 2015 , www.copdess.com ). However, the vast majority of these arguments are in agreement and present as fait accompli the idea that data are a public good and that therefore, once published, they should become open access. In fact, although there are many good reasons for data sharing, there also are a number of cogent and coherent cases to be made against open-access policies (e.g., Fenichel and Skelly 2015 ). The goal of this piece is not to debate the relevance or accuracy of the points made in favor of data sharing but to elevate the discussion by pointing out key problems with open-access policies and to identify central issues that, if solved, will enhance the utility of data sharing to science and society.

BioScience↗

Comparisons of likelihood and machine learning methods of individual classification

Classification methods used in machine learning (e.g., artificial neural networks, decision trees, and k -nearest neighbor clustering) are rarely used with population genetic data. We compare different nonparametric machine learning techniques with parametric likelihood estimations commonly employed in population genetics for purposes of assigning individuals to their population of origin (“assignment tests”). Classifier accuracy was compared across simulated data sets representing different levels of population differentiation (low and high F ST ), number of loci surveyed (5 and 10), and allelic diversity (average of three or eight alleles per locus). Empirical data for the lake trout ( Salvelinus namaycush ) exhibiting levels of population differentiation comparable to those used in simulations were examined to further evaluate and compare classification methods. Classification error rates associated with artificial neural networks and likelihood estimators were lower for simulated data sets compared to k -nearest neighbor and decision tree classifiers over the entire range of parameters considered. Artificial neural networks only marginally outperformed the likelihood method for simulated data (0–2.8% lower error rates). The relative performance of each machine learning classifier improved relative likelihood estimators for empirical data sets, suggesting an ability to “learn” and utilize properties of empirical genotypic arrays intrinsic to each population. Likelihood-based estimation methods provide a more accessible option for reliable assignment of individuals to the population of origin due to the intricacies in development and evaluation of artificial neural networks. In recent years, characterization of highly polymorphic molecular markers such as mini- and microsatellites and development of novel methods of analysis have enabled researchers to extend investigations of ecological and evolutionary processes below the population level to the level of individuals (e.g., Bowcock et al. 1994 ; Estoup and Angers 1998 ; Jarne and Lagoda 1996 ). Analyses of individual-based genotypic information could substantially improve our understanding of evolutionary phenomena and contribute to effective management of natural populations (review in Bernatchez and Duchesne 2000 ). The use of individual-based methods remained largely unexplored in animal populations until recently due to a lack of highly polymorphic markers ( Bernatchez and Duchesne 2000 ; Smouse and Chevillon 1998 ). Traditional analytical methods in population genetics rely almost exclusively on descriptors of genetic characterizations of populations ( Bernatchez and Duchesne 2000 ) and not on individual genotypes. “Assignment tests” are designed to determine population membership for individuals. One particular application based on a likelihood estimate (LE) was introduced by Paetkau et al. (1995 ; see also Vásquez-Domínguez et al. 2001) to assign an individual to the population of origin on the basis of multilocus genotype and expectations of observing this genotype in each potential source population. The LE approach can be implemented statistically in a Bayesian framework as a convenient way to evaluate hypotheses of plausible genealogical relationships (e.g., that an individual possesses an ancestor in another population) ( Dawson and Belkhir 2001 ; Pritchard et al. 2000 ; Rannala and Mountain 1997 ). Other studies have evaluated the confidence of the assignment ( Almudevar 2000 ) and characteristics of genotypic data (e.g., degree of population divergence, number of loci, number of individuals, number of alleles) that lead to greater population assignment ( Bernatchez and Duchesne 2000 ; Cornuet et al. 1999 ; Haig et al. 1997 ; Shriver et al. 1997; Smouse and Chevillon 1998 ). Main statistical and conceptual differences between methods leading to the use of an assignment test are given in, for example, Cornuet et al. (1999) and Rosenberg et al. (2001) . However, the relative power of those tests has certainly not been fully appreciated and empirical comparisons are scarce ( Eldridge et al. 2001 ). Assignment tests can also be considered as surrogates at the individual level (sensu Hansen et al. 2001a ) for other statistical tools developed earlier, such as mixed-stock analysis (e.g., Pella and Masuda 2001 ; Pella and Milner 1987 ). Detailed theoretical comparison of the interests and limitations of both methods are still lacking, but empirical studies have revealed correlations between outputs of methods ( Knutsen et al. 2001 ; Potvin and Bernatchez 2001 ). Assignment tests have been widely used in different applications, including determination of degree of population differentiation or to establish the relationship among individuals within and among various taxonomic groupings (e.g., Bogdanowicz et al. 1997 ; Koskinen et al. 2001 ; Marshall et al. 2000 ; Müller 2000 ; Neraas and Spruell 2001 ; Nielsen et al. 2001b ; Polzhien et al. 2000 ; Primmer et al. 1999 ; Roeder et al. 2001 ; Roques et al. 1999 ; Schulte-Hostedde et al. 2001 ; Sefc et al. 2000 ; Spidle et al. 2001 ; Vásquez-Domínguez et al. 2001 ), including hybrids (e.g., Beaumont et al. 2001 ; Congiu et al. 2001 ; Randi et al. 2001 ), introgressed individuals (e.g., Martinez et al. 2001 ; Randi and Lucchini 2002 ), and ecotypes (e.g., Taylor et al. 2000 ). Applications of assignment tests also include [human] forensics (e.g., Evett and Weir 1998 ; Primmer et al. 2000 ), identification and/or source of dispersers (e.g., Davies et al. 1999 ; Eldridge et al. 2001 ; Galbusera et al. 2000 ; Petersson et al. 2001 ; Tsutsui et al. 2001 ; Vasemägi et al. 2001), phylogeographical analyses (e.g., King et al. 2001 ; Zeisset and Beebee 2001 ), and the evaluation of the contribution of stocked individuals to natural populations (e.g., Fritzner et al. 2001 ; Hansen et al. 2000 , 2001b ) and of supportive breeding programs ( Nielsen et al. 2001a ; Olsen et al. 2000 ). Fish are among the organisms that have received considerable attention using such tools (see Hansen et al. [2001a] for a review). Moreover, these techniques are now used for profiles of traits outside the limited scope of population genetics ( Thorrold et al. 2001 ). Methods of classification vary widely based on several criteria (e.g., Jain et al. 2000 ) ( Figure 1 ). Two basic classification processes are traditionally recognized in machine learning: supervised classifiers and unsupervised classifiers ( Figure 1 ; e.g., Duda et al. 2000 ; Jain et al. 2000 ). Supervised classifiers represent a group of methods whereby individual assignment is made to predefined classes (i.e., populations of origin). Unsupervised classification classes are unknown and are defined a posteriori on the basis of the degree of difference or similarity in attributes characterized from sampled individuals. Clustering methods (e.g., multidimensional scaling, principal component analysis) are examples of unsupervised classification. Applications of assignment testing in population genetics first used supervised parametric likelihood-based approaches ( Figure 1 ). Other machine learning classification methods are widely used in the physical and social sciences and in other biological disciplines (e.g. Boddy et al. 2000 ; Leung and Tran 2000 ; Manel et al. 1999 ; Raymer et al. 1997 ). Artificial neural networks (ANNs) are a popular technique used in machine learning (e.g., Boddy and Morris 1999 ; Duda et al. 2000 ; Lek and Guégan 2000 ; Ripley 1996 ). However, while recognized ( Hansen et al. 2001a ), ANN methods rarely have been employed for population genetics applications ( Aurelle 1999 ; Aurelle et al. 1999 ; Cornuet et al. 1996 ; Curtis et al. 2001 ; Giraudel et al. 2000 ; Grigull et al. 2001 ; Taylor et al. 1994 ; Whitler et al. 1994 ). Other popular classification methods in machine learning, such as decision trees (e.g., Bell 1996 , 1999 ; Duda et al. 2000 ; Mitchell 1997 ) and k -nearest neighbor analysis ( k -NN; e.g., Dasarathy 1991 ; Duda et al. 2000 ) have yet to be applied in population genetics ( Figure 1 ). Moreover, there has not been a directed effort to compare machine learning methodologies with the likelihood-based procedures widely used in population genetics. Cornuet et al. (1996) compared the relative merits of ANNs to discriminant analysis in an empirical study involving different populations and subspecies of honeybee ( Apis mellifera ). However, they did not compare LE and ANN supervised classifiers. Aurelle (1999) used the approach of Rannala and Mountain (1997) ( Figure 1 ) and ANN analysis using brown trout ( Salmo trutta ) microsatellite data; however, he did not provide a direct comparison of classification results or accuracies. Hansen et al. (2001a) briefly presented ANNs, but rejected their use without really testing their ability to classify individuals. The objective of this article is to describe several of the more widely used machine learning classifiers that may have utility when used with empirical population genetics data. We compare likelihood-based “assignment tests” ( Paetkau et al. 1995 ) with supervised machine learning classifiers including ANN, decision tree, and a k -NN clustering. Simulations were conducted which estimated and compared the assignment accuracy associated with different classifiers using ranges of parameter values (number of loci, allelic diversity, and interpopulation variance in allele frequency) typically encountered in natural populations. Comparative analyses were extended to empirical examples using lake trout ( Salvelinus namaycush ; Salmonidae).

Journal of Heredity↗

The role of fault zone drilling

The objective of fault-zone drilling projects is to directly study the physical and chemical processes that control deformation and earthquake generation within active fault zones. An enormous amount of field, laboratory, and theoretical work has been directed toward the mechanical and hydrological behavior of faults over the past several decades. Nonetheless, it is currently impossible to differentiate between – or even adequately constrain – the numerous conceptual models of active faults proposed over the years. For this reason, the Earth science community is left in the untenable position of having no generally accepted paradigm for the mechanical behavior of faults at depth. One of the primary causes for this dilemma is the difficulty of either directly observing or inferring physical properties and deformation mechanisms along faults at depth, as well as the need to observe directly key parameters such as the state of stress acting on faults at depth, pore fluid pressure (and its possible variation in space and time), and processes associated with earthquake nucleation and rupture. Today, we know very little about the composition of active faults at depth, their constitutive properties, the state of in situ stress or pore pressure within fault zones, the origin of fault-zone pore fluids, or the nature and significance of time-dependent fault-zone processes.

Book chapter↗

Sequential megafaunal collapse in the North Pacific Ocean: An ongoing legacy of industrial whaling?

Populations of seals, sea lions, and sea otters have sequentially collapsed over large areas of the northern North Pacific Ocean and southern Bering Sea during the last several decades. A bottom-up nutritional limitation mechanism induced by physical oceanographic change or competition with fisheries was long thought to be largely responsible for these declines. The current weight of evidence is more consistent with top-down forcing. Increased predation by killer whales probably drove the sea otter collapse and may have been responsible for the earlier pinniped declines as well. We propose that decimation of the great whales by post-World War II industrial whaling caused the great whales' foremost natural predators, killer whales, to begin feeding more intensively on the smaller marine mammals, thus "fishing-down" this element of the marine food web. The timing of these events, information on the abundance, diet, and foraging behavior of both predators and prey, and feasibility analyses based on demographic and energetic modeling are all consistent with this hypothesis.

Proceedings of the National Academy of Sciences of↗

Clarifying regional hydrologic controls of the Marañón River, Peru through rapid assessment to inform system-wide basin planning approaches

We use remote sensing to enhance the interpretation of the first baseline dataset of hydrologic, isotopic and hydrochemical variables spanning 620 km of the upper Marañón River, in Andean Peru, from the steep alpine canyons to the lower lying jungle. Remote, data-scarce river systems are under increased hydropower development pressure to meet rising energy demands. The upstream-downstream river continuum, which serves as a conduit for resource exchange across ecosystems, is at risk, potentially endangering the people, environments, and economies that rely on river resources. The Marañón River, one of the final free-flowing headwater connections between the Andes and the Amazon, is the subject of myriad large-scale hydropower proposals. Due to challenging access, environmental data are scarce in the upper Marañón, limiting our ability to do system-wide river basin planning. We capture key processes and transitions in the context of hydropower development. Two hydrologic regimes control the Marañón dry-season flow: in the higher-elevation upper reaches, a substantial baseflow is fed by groundwater recharged from wet season rains, in contrast to the lower reaches where the mainstem discharge is controlled by rain-fed tributaries that receive rain from lowland Amazon moisture systems. Sustainability of the upper corridor’s dry-season baseflow appears to be more highly connected to the massive natural storage capacity of extensive wetlands in the puna (alpine grasslands) than with cryospheric water inputs. The extent and conservation of puna ecosystems and glacier reservoirs may be interdependent, bringing to bear important conservation questions in the context of changing climate and land use in the region. More generally, this case study demonstrates an efficient combined remote sensing and field observation approach to address data scarcity across regional scales in mountain basins facing imminent rapid change.

Marañón River↗

Cladophora in the Great Lakes: Impacts on beach water quality and human health

Cladophora in the Great Lakes grows rapidly during the warm summer months, detaches, and becomes free-floating mats as a result of environmental conditions, eventually becoming stranded on recreational beaches. Cladophora provides protection and nutrients, which allow enteric bacteria such as Escherichia coli , enterococci, Shigella , Campylobacter , and Salmonella to persist and potentially regrow in the presence of the algae. As a result of wind and wave action, these microorganisms can detach and be released to surrounding waters and can influence water quality. Enteric bacterial pathogens have been detected in Cladophora mats; E. coli and enterococci may populate to become part of the naturalized microbiota in Cladophora ; the high densities of these bacteria may affect water quality, resulting in unnecessary beach closures. The continued use of traditional fecal indicators at beaches with Cladophora presence is inadequate at accurately predicting the presence of fecal contamination. This paper offers a substantial review of available literature to improve the knowledge of Cladophora impacts on water quality, recreational water monitoring, fecal indicator bacteria and microorganisms, and public health and policy.

Water Science and Technology↗

Western Mineral and Environmental Resources Science Center--providing comprehensive earth science for complex societal issues

Minerals in the environment and products manufactured from mineral materials are all around us and we use and come into contact with them every day. They impact our way of life and the health of all that lives. Minerals are critical to the Nation's economy and knowing where future mineral resources will come from is important for sustaining the Nation's economy and national security. The U.S. Geological Survey (USGS) Mineral Resources Program (MRP) provides scientific information for objective resource assessments and unbiased research results on mineral resource potential, production and consumption statistics, as well as environmental consequences of mining. The MRP conducts this research to provide information needed for land planners and decisionmakers about where mineral commodities are known and suspected in the earth's crust and about the environmental consequences of extracting those commodities. As part of the MRP scientists of the Western Mineral and Environmental Resources Science Center (WMERSC or 'Center' herein) coordinate the development of national, geologic, geochemical, geophysical, and mineral-resource databases and the migration of existing databases to standard models and formats that are available to both internal and external users. The unique expertise developed by Center scientists over many decades in response to mineral-resource-related issues is now in great demand to support applications such as public health research and remediation of environmental hazards that result from mining and mining-related activities. Western Mineral and Environmental Resources Science Center Results of WMERSC research provide timely and unbiased analyses of minerals and inorganic materials to (1) improve stewardship of public lands and resources; (2) support national and international economic and security policies; (3) sustain prosperity and improve our quality of life; and (4) protect and improve public health, safety, and environmental quality. The MRP supports approximately 40 USGS research specialists who utilize cooperative agreements with universities, industry, and other governmental agencies to support their collaborative research and information exchange. Scientists of the WMERSC study how and where non-fuel mineral resources form and are concentrated in the earth's crust, where mineral resources might be found in the future, and how mineral materials interact with the environment to affect human and ecosystem health. Natural systems (ecosystems) are complex - our understanding of how ecosystems operate requires collecting and synthesizing large amounts of geologic, geochemical, biologic, hydrologic, and meteorological information. Scientists in the Center strive to understand the interplay of various processes and how they affect the structure, composition, and health of ecosystems. Such understanding, which is then summarized in publicly available reports, is used to address and solve a wide variety of issues that are important to society and the economy. WMERSC scientists have extensive national and international experience in these scientific specialties and capabilities - they have collaborated with many Federal, State, and local agencies; with various private sector organizations; as well as with foreign countries and organizations. Nearly every scientific and societal challenge requires a different combination of scientific skills and capabilities. With their breadth of scientific specialties and capabilities, the scientists of the WMERSC can provide scientifically sound approaches to a wide range of societal challenges and issues. The following sections describe examples of important issues that have been addressed by scientists in the Center, the methods employed, and the relevant conclusions. New directions are inevitable as societal needs change over time. Scientists of the WMERSC have a diverse set of skills and capabilities and are proficient in the collection and integration of

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Biogenic iron mineralization at Iron Mountain, CA with implications for detection with the Mars Curiosity rover

(Introduction) Microbe-mineral interactions and biosignature preservation in oxidized sulfidic ore bodies (gossans) are prime candidates for astrobiological study. Such oxidized iron systems have been proposed as analogs for some Martian environments. Recent studies identified microbial fossils preserved as mineral-coated filaments. This study documents microbially-mediated mineral biosignatures in hydrous ferric oxide (HFO) and ferric oxyhydroxysulfates (FOHS) in three environments at Iron Mountain, CA. We investigated microbial community preservation via HFO and FOHS precipitation and the formation of filamentous mineral biosignatures. These environments included 1) actively precipitating (1000's yrs), naturally weathered HFO from in situ gossan, and 3) remobilized iron deposits, which contained lithified clastics and zones of HFO precipitate. We used published biogenicity criteria as guidelines to characterize the biogenicity of mineral filaments. These criteria included A) an actively precipitating environment where microbes are known to be coated in minerals, B) presence of extant microbial communities with carbon signatures, C) structures observable as a part of the host rock, and D) biological morphology, including cellular lumina, multiple member population, numerous taxa, variable and 3-D preservation, biological size ranges, uniform diameter, and evidence of flexibility. This study explores the relevance and detection of these biosignatures to possible Martian biosignatures. Similar filamentous biosignatures are resolvable by the Mars Hand Lens Imager (MAHLI) onboard the Mars Science Laboratory (MSL) rover, Curiosity, and may be identifiable as biogenic if present on Mars.

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