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At least 163 records · Page 9Linked to original sources

Lava flow impacts on the built environment: Insights from a new global dataset

The recent destruction of thousands of homes by lava flows from La Palma volcano, Canary Islands, and Nyiragongo volcano, Democratic Republic of Congo, serves as a reminder of the devastating impact that lava flows can have on communities living in volcanically active regions. Damage to buildings and infrastructure can have widespread and long-lasting effects on rehabilitation and livelihoods. Our understanding of how lava flows interact with buildings is limited and based upon sparse empirical data. Often a binary impact is assumed (destroyed when in contact with the flow and intact when not in contact with the flow), although previous events have shown this to be an oversimplification. Empirical damage data collected after past events provide an evidence base from which to better understand lava flow impacts across a range of building types, environments, and eruption styles, as well as to explore the temporal and spatial trends in these impacts. However, information on lava flow impacts is scattered across literature, reports, and maps; no comprehensive dataset of lava flow impacts exists. In this study, we compile and standardise lava flow impact information from previously compiled data, eruption records, and published literature to create the first comprehensive global dataset of impacts on the built environment from lava flows. We found that since the first recorded event between 5494 yr B.P. and 5387 yr B.P., lava flows from at least 155 events have impacted buildings or infrastructure (e.g., roads, electricity pylons, ski-lifts), with most (47%, n = 73) recorded as located in Europe. Over the last century, there have been approximately seven lava flow impact events per decade ( n = 71 total). This greatly expands on the past compilations of lava flow impact events. Since ca. 1800 CE, impacts have been consistently documented for less than 14% of recorded eruptions with lava flows globally; prior to 1800 CE, impacts were recorded much more variably (between 0 and 70% of lava flows in any 10-year time bin). The most destructive recorded events were the 1669 CE lava flows at Etna volcano, Italy, which destroyed up to 12 villages and part of the city of Catania, and the 2002 CE lava flows at Nyiragongo volcano, Democratic Republic of Congo, which destroyed up to 14,000 buildings. We found that few studies in the dataset report building typology, damage severity, or hazard intensity at the building-level scale, limiting our ability to assess past building-lava interactions. Future collection of building-level hazard and impact data, supplemented with non-English language records, can be used to inform models that forecast future impacts, support lava flow risk assessments, and develop potential mitigation measures.

Journal of Applied Volcanology

Glacial geology and hydrogeology of valley-fill aquifers in the Oneonta area, Otsego and Delaware Counties, New York

The glacial geology and hydrogeology of valley-fill aquifers and their surrounding uplands are described within a 112-square-mile area in southern Otsego and northwestern Delaware Counties, New York, centered around the City of Oneonta. The major valleys include those of the Susquehanna River, Otego Creek, Charlotte Creek, and Schenevus Creek. A variety of data were analyzed to provide a broad picture of the glacial deposits, hydrogeologic framework, aquifer occurrence, and water-resource potential in the area. Both valley-fill and bedrock aquifers are used for water supply within the study area. The valley-fill aquifers consist of coarse-grained stratified drift, are mostly limited to the larger valleys, and have well yields that typically are much greater than those obtained from the bedrock aquifers. The bedrock aquifers generally have lower well yields, are the sole source of groundwater in upland areas, and are tapped in valley areas where sediments are very silty or are absent. Through and non-through valleys and their orientations relative to ice flow have resulted in a variety of deglacial environments and deposits, some of which depart from glacial stratigraphy typically observed elsewhere in central New York. In comparison to through valleys with low in-valley divides, the regional thinning of ice over the high bedrock divides of the non-through valleys resulted in the earlier and more widespread stagnation of glacial ice, development of dead-ice sinks, and earlier diversion of meltwater from ice north of the divides. As the main through valley in the study area, the Susquehanna River valley is characterized by multiple inferred ice-margin positions with associated outwash deposition or ice-contact deposits. Throughout the study area, valleys orientated parallel or subparallel to the ice flow facilitated the development of long ice tongues; valleys oriented perpendicular to the ice flow led to little ice-tongue development, but they did facilitate the deposition of the extensive kame moraines that now occupy several-mile-long valley reaches. Lacustrine sediments were deposited in proglacial lakes. These sediments underlie most valleys that were oriented parallel and subparallel to ice flow, but they are largely absent in the Charlotte Creek valley, which was oriented perpendicular to the ice flow and now contains an extensive kame moraine. Beneath these lacustrine deposits, sand and gravel were deposited as subaqueous fans, eskers, and the distal parts of delta (kame) terraces, each with variable silt content. The presence of coarse-grained stratified deposits, their saturated thicknesses, and their recharge potential are the primary controls on aquifer locations in the study area. The most widespread aquifers in the study area consist of sand and gravel and are confined mostly beneath lacustrine deposits. Confined aquifer yields are enhanced by hydraulic connections with unconfined ice-contact deposits along the valley walls, especially where tributary streams cross these deposits and provide additional recharge through streambed infiltration. The Susquehanna River and other large valley creeks provide a potentially large source of recharge to aquifers where groundwater withdrawals from nearby production wells induce infiltration of river water into aquifers. Unconfined aquifers are present where ice-contact deposits extend below the valley floor and are sufficiently saturated. Most surficial outwash deposits in the study area are thinly saturated; thus their water-resource potential is likely to be limited. The upland areas contain very little stratified drift; therefore, characterization was limited to delineating areas of thick till and thin, or absent, till. Recharge of bedrock aquifers is greatest in areas overlain by thin till or where bedrock is exposed at land surface.

New York

Some Middle Eocene, Lower Eocene, and Paleocene foraminiferal faunas from west Florida

This discussion of the lithology and microfauna of the clastic facies of the Ecocene and Paleocene rocks of Florida is based mainly on data obtained from the study of many cores taken in the Oil City corporation Walton Land and Timber Co. well 1, Walton County, Fla. Although the fauna of the middle Eocene rocks in western Florida is composed mainly of species that have been reported from rocks of equivalent age in the western Gulf Coast, its distinctive species, and poor representation of a few species that are diagnostic in the western area. The assemblages of small Foraminifera in the lower Eocene rocks are composed, mainly, of specimens of species that have been described from outcrops of the Wilcox Group in Alabama. The microfauna of the clastic facies of the Paleocene in western Florida is informally called the "Tamesi' Fauna" in this report. This Fauna is particularly important because it contains abundant Glorotalia velasconesis , a diagnostic species of the Velasco (Paleocene) Formation of Mexico, is also diagnostic of the "Tamesi fauna." On the basis of the environmental preference of Recent analogous pelagic forms, the preferential environment of the containing sediments, it is inferred that the "Tamesi fauna" developed in a subtropical, open sea environment. The Effect of the temperature, salinity, bathymetry, and associated factors on the distribution of Recent pelagic species of Foraminifera has been discussed by several authors. Similar controls were probably effective during Paleocene time. The presence of certain species of pelagic Foraminifera in one Paleocene unit, and their absences in another, is therefore not necessarily an index to the relative position of the units in the vertical time sequence. The stratigraphic distribution of the benthonic species of the "Tamesi Fauna" in western Florida is usually accord with their stratigraphic distribution in the Paleocene beds in other parts of the Gulf coast. Consequently, on the basis of the foregoing enviromental and distributive data, it is suggested that the "Tamesi Fauna" of the clasttic lithofacies of the Paleocene in western Florida respresents an interval of geologic time that is equivalent to the represented by the Clayton, Porters Creek, and Naheola formations of Alqabama and Correlative stratigraphic units in other parts of the Gulf region. It is believed that the outer neritic Paleocene sediments of west Florida grade northward into the inner-neritic Paleocene sediments that crop out in Alabama. Fifty seven species of Foraminifera that are characteristic of the cored Paleocene section in the Walton well, and recorded from 37 other wells distributed across northwestern Florida and southern Georgia, are discussed and figured. Two species are describes as new: Epoides libertyensis and Cibicides libertyensis.

Florida

The effects of sediment and mercury mobilization in the South Yuba River and Humbug Creek confluence area, Nevada County, California: Concentrations, speciation, and environmental fate – Part 1: Field characterization

Millions of pounds of mercury (Hg) were deposited in the river and stream channels of the Sierra Nevada from placer and hard-rock mining operations in the late 1800s and early 1900s. The resulting contaminated sediments are relatively harmless when buried and isolated from the overlying aquatic environment. The entrained Hg in the sediment constitutes a potential risk to human and ecosystem health should it be reintroduced to the actively cycling portion of the aquatic system, where it can become methylated and subsequently bioaccumulated in the food web. Each year, sediment is mobilized within these fluvial systems during high stormflows, transporting hundreds of tons of Hg-laden sediment downstream. The State of California and resource-management agencies, including the Bureau of Land Management (BLM) and the U.S. Forest Service, are concerned about additional disturbances, such as from suction gold dredging activities, which have the potential to mobilize Hg associated with buried sediment layers elevated in Hg that are otherwise likely to remain buried under normal storm conditions. The BLM initiated a study looking at the feasibility of removing Hg-contaminated sediment at the confluence of the South Yuba River and Humbug Creek in the northern Sierra Nevada of California by using standard suction-dredge technology. Additionally, the California State Water Resources Control Board (SWRCB) supported a comprehensive characterization of the intended dredge site. Together, the BLM and SWRCB supported a comprehensive characterization of Hg contamination at the site and the potential effects of sediment disturbance at locations with historical hydraulic mining debris on downstream environments. The comprehensive study consisted of two primary components: field studies and laboratory experiments. The field component, described in this report, had several study elements: 1) a preliminary, smallscale, in-stream dredge test; 2) comprehensive characterization of grain size distribution, Hg speciation, and mineralogy of bed and suspended sediment; 3) a determination of the past and current sources of sediment in the study area; 4) an assessment of Hg bioaccumulation in the local invertebrate population; and 5) a comparison of potential Hg transport caused by natural storm disturbances with potential Hg mobilization caused by suction dredging as a method of Hg removal at the study site. The laboratory component of the study assessed the potential influence of the disturbance of Hg-contaminated sediment through experiments designed to simulate in-stream transport, deposition, and potential methylation of Hg, described in a companion report (see Marvin-DiPasquale and others, 2011). Results of the field studies indicate that the fine-grained fraction (silt-clay, less than 0.063 millimeters) contains the greatest concentration of Hg in contaminated sediment. Because the fine-grained fraction is the most susceptible to longrange fluvial transport, disturbance of Hg-contaminated sediment is likely to increase the concentration and load of Hg in downstream waters. The preliminary, small-scale dredge test showed an increase in the concentration of fine particles and Hg in the water column caused by the dredge activity, despite relatively low concentrations of fine particles and Hg (about 300 nanograms per gram) at the dredge site. Characterization of sediment from two test pits and other sites in the vicinity of the confluence of the South Yuba River and Humbug Creek revealed a highly variable distribution of fine- and coarse-grained sediment. The highest levels of Hg contamination (up to 11,100 ng/g) were associated with the fine-grained fraction of sediment from the bedrock contact zone of Pit 2, a horizon which also yielded grains of gold and gold-Hg amalgam. A closed-circuit tank experiment with a venturi dredge at the base of Pit 1, in a gravel bar within the South Yuba River, resulted in fine-grained suspended sediment remaining in suspension more than 40 hours following the disturbance simulation. Although the volumetric concentration of Hg declined over time as particles settled out, the concentration of Hg on the suspended particles increased over time as the suspended material became finer grained, because Hg is preferentially adsorbed on to clay-sized particles. Mineralogical and chemical analyses indicated that the buried fine-grained material with the greatest Hg contamination was derived from hydraulic mining debris, which consist primarily of Eocene gravels mined in the Malakoff Diggins, North Bloomfield, and Lake City areas within the South Yuba River watershed. Coarse material and more recently deposited sediment were derived primarily from upstream sources on the South Yuba River. The biota assessment indicated that invertebrate taxa collected from all sites on the South Yuba River in 2007, including lower Humbug Creek, had elevated concentrations of total mercury (THg) and methylmercury (MeHg) compared to a reference site on the Bear River, upstream of mining effects. Differences with the reference site were less pronounced in 2008 when a significant reduction in MeHg concentrations was observed in biota across all taxa from concentrations in 2007. It is possible that the inter-annual variation was related to the fact that suction dredging was active in the South Yuba River in 2007 but not in 2008 when a local moratorium was imposed by the BLM. There were significant variations among taxa for both THg and MeHg concentrations, with the water striders (Gerridae) having the highest concentrations of both THg and MeHg; variation among sites was not as strong as between years or among taxa. These results suggest that additional monitoring would be helpful to investigate the possible linkage between variations in MeHg bioaccumulation and levels of suction dredge activity in areas of historical gold mining. Results from the field studies indicate that disturbance of the finegrained Hg-contaminated sediment would likely lead to enhanced mobilization of Hg to downstream environments; therefore, the use of suction dredging to remove Hg at the South Yuba River and Humbug Creek confluence area would likely result in enhanced Hg transport downstream relative to natural conditions.

California

Genesis and continuity of quaternary sand and gravel in glacigenic sediment at a proposed low-level radioactive waste disposal site in east-central Illinois

The Illinois Department of Nuclear Safety has characterized the Martinsville Alternative Site (MAS) for a proposed low-level radioactive waste disposal facility. The MAS is located in east-central Illinois approximately 1.6 km (1 mi) north of the city of Martinsville. Geologic investigation of the 5.5-km2 (1380-acre) site revealed a sequence of chiefly Illinoian glacigenic sediments from 6 to 60 m (20-200 ft) thick overlying two major bedrock valleys carved in Pennsylvanian strata. Relatively permeable buried units include basal, preglacial alluvium; a complex of intraglacial and subglacial sediment; englacial deposits; and supraglacial fluvial deposits. Postglacial alluvium underlies stream valleys on and adjacent to the site. In most areas, the buried sand units are confined by low-permeability till, lacustrine sediment, colluvium, and loess. The distribution and thickness of the most extensive and continuous buried sand units have been modified considerably by subglacial erosion, and their distributions have been influenced by the buried bedrock valleys. The most continuous of the various sand units were deposited as preglacial and postglacial alluvium and are the uppermost and lowermost stratigraphic units at the alternative site. Sand units that were deposited in englacial or ice-marginal environments are less continuous. Aquifer pumping tests, potentiometric head data, and groundwater geochemistry analyses indicate minimal interaction of groundwater across localized interconnections of the permeable units. ?? 1991 Springer-Verlag New York Inc.

Environmental Geology and Water Sciences

Invasive African clawed frogs ( Xenopus laevis ) in Washington State: Status, response efforts, and lessons learned

The African clawed frog (ACF, Xenopus laevis ), which is indigenous to sub-Saharan Africa, is an aquatic invasive species known to have severe ecological impacts on native fauna when introduced into non-endemic regions. In 2015, ACFs were detected in Washington State, U.S. for the first time, and the species is now documented at three cities across western Washington: Lacey, Bothell, and Issaquah. We cataloged the known ACF occurrences, early management efforts, biological data about the frogs, and status of these invasive populations at the three sites from 2015–2023. The ACFs appear to be established in at least three watersheds in the Puget Sound region despite substantial effort at eradicating them at one site. Presence of ACFs in watersheds that lack surface connectivity implies independent introduction events, and the capture of frogs in multiple subbasins in the same watershed may reflect the potential for further spread. Because the ACF is nocturnal and otherwise behaviorally and visually highly cryptic, other established populations may go undetected. Where the ACFs are largely confined to stormwater ponds — as many of our current observations suggest — eradication may still be possible, though a substantial, focused effort would be required. In addition, significant refinement of eradication approaches will be needed to ensure effectiveness in topographically and vegetatively complex Pacific Northwest aquatic environments.

Washington

Ground Water Atlas of the United States: Segment 1, California, Nevada

California and Nevada compose Segment 1 of the Ground Water Atlas of the United States. Segment 1 is a region of pronounced physiographic and climatic contrasts. From the Cascade Mountains and the Sierra Nevada of northern California, where precipitation is abundant, to the Great Basin in Nevada and the deserts of southern California, which have the most arid environments in the United States, few regions exhibit such a diversity of topography or environment. Since the discovery of gold in the mid-1800's, California has experienced a population, industrial, and agricultural boom unrivaled by that of any other State. Water needs in California are very large, and the State leads the United States in agricultural and municipal water use. The demand for water exceeds the natural water supply in many agricultural and nearly all urban areas. As a result, water is impounded by reservoirs in areas of surplus and transported to areas of scarcity by an extensive network of aqueducts. Unlike California, which has a relative abundance of water, development in Nevada has been limited by a scarcity of recoverable freshwater. The Truckee, the Carson, the Walker, the Humboldt, and the Colorado Rivers are the only perennial streams of significance in the State. The individual basin-fill aquifers, which together compose the largest known ground-water reserves, receive little annual recharge and are easily depleted. Nevada is sparsely populated, except for the Las Vegas, the Reno-Sparks, and the Carson City areas, which rely heavily on imported water for public supplies. Although important to the economy of Nevada, agriculture has not been developed to the same degree as in California due, in large part, to a scarcity of water. Some additional ground-water development might be possible in Nevada through prudent management of the basin-fill aquifers and increased utilization of ground water in the little-developed carbonate-rock aquifers that underlie the eastern one-half of the State. The potential problem of withdrawals in excess of natural recharge, however, will require careful management of ground-water withdrawals.

California, Nevada

Areal lithologic changes in bedrock aquifers in southeastern Minnesota as determined from natural-gamma borehole logs methods

Sedimentary rocks of Paleozoic age in the Hollandale embayment in southeastern Minnesota are as much as 2,000 feet thick and, with the underlying Hinckley sandstone of Proterozoic age, comprise the following five layered aquifers (beginning with the oldest): the Mount Simon-Hinckley, Ironton-Galesville, Prairie du Chien-Jordan, St. Peter and Upper Carbonate. Many of the Paleozoic formations show transitional facies changes from a deep marine depositional environment in the middle of the embayment to a near shore environment along the periphery. Borehole natural-gamma logs were collected to investigate the effects of regional lithologic changes on the hydrology of the Ironton-Galesville, Prairie du Chien-Jordan and St. Peter aquifers. Interpretation of natural-gamma logs shows that a fine-grained sandstone at the base of the Galesville sandstone (basal part of the Ironton-Galesville aquifer) thickens toward the central part of the embayment, which may account for the decrease in hydraulic conductivity of the Ironton-Galesville aquifer in that direction. The Jordan sandstone, which underlies the Prairie du Chien Group, consists of three members in southeastern Minnesota: the basal Norwalk member, a silty, fine-grained sandstone; the middle Van Oser member, a coarse- to medium-grained quartzose sandstone; and the upper Sunset Point member, a clayey dolomitic sandstone. The Norwalk and Van Oser members were identified by interpretation of natural-gamma logs. Hydraulic conductivity of the Prairie du Chien-Jordan aquifer generally is highest in the Twin City basin (50 feet per day) where the Van Oser is the predominant member; it is lowest to the east and southeast (25 feet per day) where the Norwalk member thickens. Interpretation of natural-gamma logs indicates that the shaley and silty sandstones that comprise the basal St. Peter confining bed, which separates the St. Peter and Prairie du Chien aquifers, are as much as 80 feet thick in the Twin City basin, but are absent in the southern part of the embayment. Differences in potentiometric head across the basal St. Peter are about 30 feet in the Twin City basin where the confining bed is present but only 5 to 10 feet to the south where the confining bed is absent and where the St. Peter aquifer directly overlies the Prairie du Chien-Jordan aquifer.

Minnesota

Microgravity methods for characterization of groundwater-storage changes and aquifer properties in the karstic Madison aquifer in the Black Hills of South Dakota, 2009-12

A study of groundwater storage in the karstic Madison aquifer in the Black Hills of South Dakota using microgravity methods was conducted by the U.S. Geological Survey in cooperation with West Dakota Water Development District, South Dakota Department of Environment and Natural Resources, and Lawrence County. Microgravity measurements from 2009 to 2012 were used to investigate groundwater-storage changes and effective porosity in unconfined areas of the Madison aquifer. Time-lapse microgravity surveys that use portable high-sensitivity absolute and relative gravimeters indicated temporal-gravity changes as a result of changing groundwater mass. These extremely precise measurements of gravity required characterization and removal of internal instrumental and external environmental effects on gravity from the raw data. The corrected data allowed groundwater-storage volume to be quantified with an accuracy of about plus or minus 0.5 foot of water per unit area of aquifer. Quantification of groundwater-storage change, coupled with water-level data from observation wells located near the focus areas, also was used to calculate the effective porosity at specific altitudes directly beneath gravity stations. Gravity stations were established on bedrock outcrops in three separate focus areas for this study. The first area, the Spring Canyon focus area, is located to the south of Rapid City with one gravity station on the rim of Spring Canyon near the area where Spring Creek sinks into the Madison aquifer. The second area, the Doty focus area, is located on outcrops of the Madison Limestone and Minnelusa Formation to the northwest of Rapid City, and consists of nine gravity stations. The third area, the Limestone Plateau focus area, consists of a single gravity station in the northwestern Black Hills located on an outcrop of the Madison Limestone. An absolute-gravity station, used to tie relative-gravity survey data together, was established on a relatively impermeable bedrock outcrop to minimize groundwater-storage change at the reference location. Data from the three focus areas allow for interpretation of groundwater-storage characteristics using microgravity measurements. Gravity measurements, together with water-level data from an observation well located 2 miles from the Spring Canyon focus area and measured streamflow in Spring Creek, provided evidence that rapid groundwater-storage change, responding to changes in sinking streamflow over the recharge area of the aquifer, occurred in the Madison aquifer directly beneath the gravity station at Spring Canyon. This phenomenon likely was a result of groundwater movement through caverns, conduits, and fractures, which are common in karst aquifers. Spatially and temporally separated microgravity data for the Doty focus area indicated horizontal and vertical heterogeneity of effective porosity for the Madison aquifer. One such example of this was indicated by water-level measurements at an observation well and gravity measurements at four gravity stations in the southeastern part of the Doty area, which were used to estimate effective porosity values ranging from greater than 0 to 0.18. A decrease in groundwater storage determined by microgravity measurements during the spring recharge period for five upgradient stations in the Doty focus area indicated the possibility of rapid release and downgradient cascading of perched groundwater. Evidence for similar phenomena was documented for Wind Cave and Brooks Cave in the Black Hills. Absolute-gravity measurements at the Limestone Plateau focus area confirmed the relation between water levels in an observation well and changes in groundwater storage. Comparison of these gravity measurements with water levels in a nearby observation well resulted in an effective porosity estimate of 0.02 for the Madison aquifer beneath the gravity station.

South Dakota

Discovery of an active forearc fault in an urban region: Holocene rupture on the XEOLXELEK-Elk Lake fault, Victoria, British Columbia, Canada

Subduction forearcs are subject to seismic hazard from upper plate faults that are often invisible to instrumental monitoring networks. Identifying active faults in forearcs therefore requires integration of geomorphic, geologic, and paleoseismic data. We demonstrate the utility of a combined approach in a densely populated region of Vancouver Island, Canada, by combining remote sensing, historical imagery, field investigations, and shallow geophysical surveys to identify a previously unrecognized active fault, the XEOLXELEK-Elk Lake fault, in the northern Cascadia forearc, ∼10 km north of the city of Victoria. Lidar-derived digital terrain models and historical air photos show a ∼2.5-m-high scarp along the surface of a Quaternary drumlinoid ridge. Paleoseismic trenching and electrical resistivity tomography surveys across the scarp reveal a single reverse-slip earthquake produced a fault-propagation fold above a blind southwest-dipping fault. Five geologically plausible chronological models of radiocarbon dated charcoal constrain the likely earthquake age to between 4.7 and 2.3 ka. Fault-propagation fold modeling indicates ∼3.2 m of reverse slip on a blind, 50° southwest-dipping fault can reproduce the observed deformation. Fault scaling relations suggest a M 6.1–7.6 earthquake with a 13 to 73-km-long surface rupture and 2.3–3.2 m of dip slip may be responsible for the deformation observed in the paleoseismic trench. An earthquake near this magnitude in Greater Victoria could result in major damage, and our results highlight the importance of augmenting instrumental monitoring networks with remote sensing and field studies to identify and characterize active faults in similarily challenging environments.

Victoria

Biological conditions in streams of Johnson County, Kansas, and nearby Missouri, 2003 and 2004

Johnson County is one of the fastest growing and most populated counties in Kansas. Urban development affects streams by altering stream hydrology, geomorphology, water chemistry, and habitat, which then can lead to adverse effects on fish and macroinvertebrate communities. In addition, increasing sources of contaminants in urbanizing streams results in public-health concerns associated with exposure to and consumption of contaminated water. Biological assessments, or surveys of organisms living in aquatic environments, are crucial components of water-quality programs because they provide an indication of how well water bodies support aquatic life. This fact sheet describes current biological conditions of Johnson County streams and characterizes stream biology relative to urban development. Biological conditions were evaluated by collecting macroinvertebrate samples from 15 stream sites in Johnson County, Kansas, in 2003 and 2004 (fig. 1). Data from seven additional sites, collected as part of a separate study with similar objectives in Kansas and Missouri (Wilkison and others, 2005), were evaluated to provide a more comprehensive assessment of watersheds that cross State boundaries. Land-use and water- and streambed-sediment-quality data also were used to evaluate factors that may affect macroinvertebrate communities. Metrics are indices used to measure, or evaluate, macroinvertebrate response to various factors such as human disturbance. Multimetric scores, which integrated 10 different metrics that measure various aspects of macroinvertebrate communities, including organism diversity, composition, tolerance, and feeding characteristics, were used to evaluate and compare biological health of Johnson County streams. This information is useful to city and county officials for defining current biological conditions, evaluating conditions relative to State biological criteria, evaluating effects of urbanization, developing effective water-quality management plans, and documenting changes in biological conditions and water quality.

Kansas, Missouri

Valuing ecosystem services using benefit transfer: Separating credible and incredible approaches

Ecosystem goods and services are now widely recognized as the benefits that humans derive from the natural environment around them including abiotic (e.g. atmosphere) and biotic components. The work by Costanza et al. (1997) to value the world’s ecosystem services brought the concept of ecosystem service valuation to the attention of the world press and environmental economists working in the area of non-market valuation. The article’s US \$33 trillion estimate of these services, despite world GDP being only US \$18 trillion, was definitely headline grabbing. This ambitious effort was undertaken with reliance on transferring existing values per unit from other (often site specific) valuation studies. Benefit transfer (see Boyle and Bergstrom, 1992; Rosenberger and Loomis, 2000, 2001) involves transfers of values per unit from an area that has been valued using primary valuation methods such as contingent valuation, travel cost or hedonic property methods (Champ et al., 2003) to areas for which values are needed. Benefit transfer often provides a reasonable approximation of the benefit of unstudied ecosystem services based on transfer of benefits estimates per unit (per visitor day, per acre) from existing studies. An appropriate benefit transfer should be performed on the same spatial scale of analysis (e.g. reservoir to reservoir, city to city) as the original study. However, the reasonableness of benefit transfer may be strained when applying locally derived per acre values from studies of several thousand acres of a resource such as wetlands to hundreds of millions of acres of wetlands.

Book chapter

Natural hazards in Goma and the surrounding villages, East African Rift System

The city of Goma and its surrounding villages (Democratic Republic of the Congo, DRC) are among the world’s most densely populated regions strongly affected by volcanic hazards. In 2002, Nyiragongo volcano erupted destroying 10–15% of Goma and forced a mass evacuation of the population. Hence, the ~ 1.5 million inhabitants of Goma and Gisenyi (Rwanda) continue to live with the threat of new lava flows and other eruptive hazards from this volcano. The current network of fractures extends from Nyiragongo summit to Goma and continues beneath Lake Kivu, which gives rise to the fear that an eruption could even produce an active vent within the center of Goma or within the lake. A sub-lacustrine volcanic eruption with vents in the floor of the main basin and/or Kabuno Bay of Lake Kivu could potentially release about 300 km 3 of carbon dioxide (CO 2 ) and 60 km 3 of methane (CH 4 ) dissolved in its deep waters that would be catastrophic to populations (~ 2.5 million people) along the lake shores. For the time being, ongoing hazards related to Nyiragongo and Nyamulagira volcanoes silently kill people and animals, slowly destroy the environment, and seriously harm the health of the population. They include mazuku (CO 2 -rich locations where people often die of asphyxiation), the highly fluoridated surface and ground waters, and other locally neglected hazards. The volcanic gas plume causes poor air quality and acid rain, which is commonly used for drinking water. Given the large number of people at risk and the continued movement of people to Goma and the surrounding villages, there is an urgent need for a thorough natural hazards assessment in the region. This paper presents a general view of natural hazards in the region around Goma based on field investigations, CO 2 measurements in mazuku, and chemistry data for Lake Kivu, rivers and rainwater. The field investigations and the datasets are used in conjunction with extremely rich-historical (1897–2000) and recently published information about Nyiragongo and Nyamulagira volcanoes and Lake Kivu. We also present maps of mazuku and fractures in Goma, describe the volcanic eruption history with hazard assessment and mitigation implications, and consider social realities useful for an integrated risk management strategy.

Goma

Fire, forests and city water supply

Forest landscapes generate 57 percent of runoff worldwide and supply water to more than 4 billion people (Millennium Ecosystem Assessment, 2005). As the world population continues to increase, there is a strong need to understand how forest processes link together in a cascade to provide people with water services like hydropower, aquaculture, drinking water and flood protection (Carvalho-Santos, Honrado and Hein, 2014). Wildfire is a major disturbance affecting forested watersheds and the water they provide (Box 1) (Paton et al., 2015). Several regions have experienced shifts in wildfires from natural ignition sources (primarily lightning) to ignitions dominated by human activities, especially in areas where populations are increasing (Moritz et al., 2014; Balch et al., 2017). Occasional wildfire is essential for the health and functioning of fire-adapted ecosystems through its effects on nutrient cycling, plant diversity and succession, and pest regulation (Pausas and Keeley, 2019). It also reduces the risk of subsequent wildfires until a forest has accumulated sufficient fuels and conditions are conducive for another fire. Extreme and hazardous wildfires, on the other hand, can cause erosion, gullying, soil loss and flooding – and, in severe cases, even debris flows and flash floods – by removing the protective functions of forests on hillsides (Ebel and Moody, 2017). Extreme wildfires have become more common after decades of fire suppression, allowing forests to become much denser with vegetation and causing more fuels to build up over time. Combined with increasing summer drought, this can have impacts on water yield and the ability of upstream forests to deliver high-quality water because forest vegetation uses less water immediately after fire and, in environments influenced by snow, more snow can accumulate in forest clearings (Kinoshita and Hogue, 2015; Hallema et al., 2019). Therefore, accounting for wildfire impacts on forests in water planning has become a priority for the nexus of fire, water and society or, in other words, the connection between fire risk and water security (Figure 1) (Martin, 2016). In this article, we discuss managed forest landscapes as nature-based solutions for water and explore how fire affects the provision of water-related services.

Unasylva

Report on the 2010 Chilean earthquake and tsunami response

In July 2010, in an effort to reduce future catastrophic natural disaster losses for California, the American Red Cross coordinated and sent a delegation of 20 multidisciplinary experts on earthquake response and recovery to Chile. The primary goal was to understand how the Chilean society and relevant organizations responded to the magnitude 8.8 Maule earthquake that struck the region on February 27, 2010, as well as how an application of these lessons could better prepare California communities, response partners and state emergency partners for a comparable situation. Similarities in building codes, socioeconomic conditions, and broad extent of the strong shaking make the Chilean earthquake a very close analog to the impact of future great earthquakes on California. To withstand and recover from natural and human-caused disasters, it is essential for citizens and communities to work together to anticipate threats, limit effects, and rapidly restore functionality after a crisis. The delegation was hosted by the Chilean Red Cross and received extensive briefings from both national and local Red Cross officials. During nine days in Chile, the delegation also met with officials at the national, regional, and local government levels. Technical briefings were received from the President’s Emergency Committee, emergency managers from ONEMI (comparable to FEMA), structural engineers, a seismologist, hospital administrators, firefighters, and the United Nations team in Chile. Cities visited include Santiago, Talca, Constitución, Concepción, Talcahuano, Tumbes, and Cauquenes. The American Red Cross Multidisciplinary Team consisted of subject matter experts, who carried out special investigations in five Teams on the (1) science and engineering findings, (2) medical services, (3) emergency services, (4) volunteer management, and (5) executive and management issues (see appendix A for a full list of participants and their titles and teams). While developing this delegation, it was clear that a multidisciplinary approach was required to properly analyze the emergency response, technical, and social components of this disaster. A diverse and knowledgeable delegation was necessary to analyze the Chilean response in a way that would be beneficial to preparedness in California, as well as improve mitigation efforts around the United States. By most standards, the Maule earthquake was a catastrophe for Chile. The economic losses totaled $30 billion USD or 17% of the GDP of the country. Twelve million people, or ¾ of the population of the country, were in areas that felt strong shaking. Yet only 521 fatalities have been confirmed, with 56 people still missing and presumed dead in the tsunami. The Science and Technology Team evaluated the impacts of the earthquake on built environment with implications for the United States. The fires following the earthquake were minimal in part because of the shutdown of the national electrical grid early in the shaking. Only five engineer-designed buildings were destroyed during the earthquake; however, over 350,000 housing units were destroyed. Chile has a law that holds building owners liable for the first 10 years of a building’s existence for any losses resulting from inadequate application of the building code during construction. This law was cited by many our team met with as a prime reason for the strong performance of the built environment. Overall, this earthquake demonstrated that strict building codes and standards could greatly reduce losses in even the largest earthquakes. In the immediate response to the earthquake and tsunami, first responders, emergency personnel, and search and rescue teams handled many challenges. Loss of communications was significant; many lives were lost and effective coordination to support life-sustaining efforts was gravely impacted due to a lack of inter- and intra-agency coordination. The Health and Medical Services Team sought to understand the medical disaster response strategies and operations of Chilean agencies, including perceived or actual failures in disaster preparation that impacted the medical disaster response; post-disaster health and medical interventions to save lives and limit suffering; and the lessons learned by public health and medical personnel as a result of their experiences. Despite devastating damage to the health care and civic infrastructure, the health care response to the Chilean earthquake appeared highly successful due to several factors. Like other first responders, the medical community had the ability and resourcefulness to respond without centralized control in the early response phase. The health care community maintained patient care under austere conditions, despite many obstacles that could have prevented such care. National and international resources were rapidly mobilized to support the medical response. The Emergency Services Team sought to collect information on all phases of emergency management (preparedness, mitigation, response, and recovery) and determine what worked well and what could be improved upon. The Chileans reported being surprised that they were not as ready for this event as they thought they were. The use of mass care sheltering was limited, given the scope of the disaster, because of the resiliency of the population. The impacts of the earthquake and the tsunami were quite different, as were the needs of urban and rural dwellers, necessitating different response activities. The Volunteer Services Team examined the challenges faced in mobilizing a large number of volunteers to assist in the aftermath of a disaster of this scale. One of the greatest challenges expressed was difficulty in communication; the need for redundancy in communication mechanisms was cited. The flexibility and ability to work autonomously by the frontline volunteers was a significant factor in effective response. It was also important for volunteer leadership to know the emergency plans. These plans need to be flexible, include alternative options, and be completed in conjunction with local officials and other volunteers. The Executive/Red Cross Management Team took a broad look at the impacts of the earthquake and the implications for California. Some of the most important preparation for the disaster came from relationships formed before the event. The communities with strong connections between different government services generally fared well. The initial response and resilience of individuals and communities was another important component. Communication system failures limited the ability of a central government to assist impacted communities, or to issue tsunami warnings. It also delayed the response since the government did not know (in some case for several days) the impact and needs of local governments. In general, plans for congregate care shelters existed but were little used as most people chose to stay at damaged homes or with relatives. Looting was a surprise to response officials as well as social scientists, but both public and private sector organizations, including NGOs (Non-Governmental Organizations), must consider security for damaged businesses as a priority in California’s multihazard planning. Class and ethnic divisions that become heightened during some cases of actual or perceived injustice may also emerge in natural disasters in California. Several factors contributed overall to the low casualty rate and rapid recovery. A major factor is the strong building code in Chile and its comprehensive enforcement. In particular, Chile has a law that holds building owners accountable for losses in a building they build for 10 years. A second factor was the limited number of fires after the earthquake. In the last few California earthquakes, 60% of the fires were started by electrical problems, so the rarity of fires may have been affected by the shut down of the electricity grid early in the earthquake. Third, in many areas, the local emergency response was very effective. The most effective regions had close coordination between emergency management, fire, and police and were empowered to respond without communication with the capital. The fourth factor was the overall high level of knowledge about earthquakes and tsunamis by much of the population that helped them respond more appropriately after the event.

Open-File Report

Evaluation of stormwater treatment vault with Coanda-effect screen for removal of solids and phosphorus in urban runoff

Catch basins commonly are used by cities as part of a stormwater management plan to remove sediment and associated contaminants from stormwater, keeping them in compliance with regulations. Recently, the city of Madison, Wisconsin modified traditional catch basins by incorporating a fine-mesh (1-mm) Coanda-effect screen into the design with the goal of increasing removal of sediment and organic matter from stormwater. The US Geological Survey (USGS), in cooperation with the City of Madison, installed a water-quality monitoring station at such a catch basin to quantify reductions in total suspended solids (TSS), volatile suspended solids (VSS), suspended sediment concentration (SSC), total phosphorus (TP), and dissolved phosphorus (DP) from urban stormwater before entering Lake Monona. A comparison of the cumulative load from 33 samples collected during the summers of 2016 and 2017 showed 23% and 45% reductions in TSS and SSC, respectively. A smaller reduction was observed for TP, 16%, whereas DP remained unchanged. Reported traditional catch basin sediment removal varies greatly, although typical removal rates are similar. Results from this study will help regulated municipalities determine whether the use of screened catch basins can help meet water-quality goals.

Wisconsin

The future of nearshore processes research

The nearshore is the transition region between land and the continental shelf including (from onshore to offshore) coastal plains, wetlands, estuaries, coastal cliffs, dunes, beaches, surf zones (regions of wave breaking), and the inner shelf (Figure ES-1). Nearshore regions are vital to the national economy, security, commerce, and recreation. The nearshore is dynamically evolving, is often densely populated, and is under increasing threat from sea level rise, long-term erosion, extreme storms, and anthropogenic influences. Worldwide, almost one billion people live at elevations within 10 m of present sea level. Long-term erosion threatens communities, infrastructure, ecosystems, and habitat. Extreme storms can cause billions of dollars of damage. Degraded water quality impacts ecosystem and human health. Nearshore processes, the complex interactions between water, sediment, biota, and humans, must be understood and predicted to manage this often highly developed yet vulnerable nearshore environment. Over the past three decades, the understanding of nearshore processes has improved. However, societal needs are growing with increased coastal urbanization and threats of future climate change, and significant scientific challenges remain. To address these challenges, members of academia, industry, and federal agencies (USGS, USACE, NPS, NOAA, FEMA, ONR) met at the “The Past and Future of Nearshore Processes Research: Reflections on the Sallenger Years and a New Vision for the Future” workshop to develop a nearshore processes research vision where societal needs and science challenges intersect. The resulting vision is comprised of three broad research themes: Long-term coastal evolution due to natural and anthropogenic processes: As global climate change alters the rates of sea level rise and potentially storm patterns and coastal urbanization increases over the coming decades, an understanding of coastal evolution is critical. Improved knowledge of long-term morphological, ecological, and societal processes and their interactions will result in an improved ability to simulate coastal change. This will enable proactive solutions for resilient coasts and better guidance for reducing coastal vulnerability. Extreme Events: Flooding, erosion, and the subsequent recovery: Hurricane Sandy caused flooding and erosion along hundreds of miles of shoreline, flooded New York City, and impacted communities and infrastructure. Overall U.S. coastal extreme event related economic losses have increased substantially. Furthermore, climate change may cause an increase in coastal extreme events and rising sea levels could increase the occurrence of extreme events. Addressing this research theme will result in an improved understanding of the physical processes during extreme events, leading to improved models of flooding, erosion, and recovery. The resulting societal benefit will be more resilient coastal communities. The physical, biological and chemical processes impacting human and ecosystem health: Nearshore regions are used for recreation, tourism, and human habitation, and provide habitat and valuable ecosystem services. These areas must be sustained for future generations, however overall coastal water quality is declining due to microbial pathogens, fertilizers, pesticides, and heavy metal contamination, threatening ecosystem and human health. To ensure sustainable nearshore regions, predictive real-time water- and sediment-based based pollutant modeling capabilities must be developed, which requires expanding our knowledge of the physics, chemistry, and biology of the nearshore. The resulting societal benefits will include better beach safety, healthier ecosystems, and improved mitigation and regulatory policies. The scientists and engineers of the U.S. nearshore community are poised to make significant progress on these research themes, which have significant societal impact. The U.S. nearshore community, including academic, government, and industry colleagues, recommends multi-agency investment into a coordinated development of observational and modeling research infrastructure to address these themes, as discussed in the whitepaper. The observational infrastructure should include development of new sensors and methods, focused observational programs, and expanded nearshore observing systems. The modeling infrastructure should include improved process representation, better model coupling, incorporation of data assimilation techniques, and testing of real-time models. The observations will provide test beds to compare and improve models.

Report

Learning from arid and urban aquatic ecosystems to inform more sustainable and resilient futures

The hydrology and aquatic ecology of arid environments has long been understudied relative to temperate regions. Yet spatially and temporally intermittent and ephemeral waters characterized by flashy hydrographs typify arid regions that comprise a substantial proportion of the Earth. Additionally, drought, intense storms, and human modification of landscapes increasingly affect many temperate regions, resulting in hydrologic regimes more similar to aridlands. Here we review the contributions of Dr. Nancy Grimm to aridland hydrology and ecology, and applications of these insights to urban ecosystems and resilience of social-ecological-technological systems. Grimm catalyzed study of nitrogen cycling in streams and characterized feedbacks between surface water-groundwater exchange, nitrogen transformations, and aquatic biota. In aridlands, outcomes of these interactions depend on short- and long-term variation in the hydrologic regime. Grimm and colleagues applied hydrological and biogeochemical insights gained from study of aridland streams to urban ecosystems, integrating engineering, social and behavioral sciences, and geography. These studies evolved from characterizing the spatial heterogeneity of urban systems (i.e., watersheds, novel aquatic systems) and its influence on nutrient dynamics to an approach that evaluated human decision-making as a driver of disturbance regimes and changes in ecosystem function. Finally, Grimm and colleagues have applied principles of urban ecology to look toward the future of cities, considering scenarios of sustainable and resilient futures. We identify cross-cutting themes and approaches that have motivated discoveries across Grimm’s multi-decadal career, including spatial and temporal heterogeneity, hydrologic connectivity and regime, disturbance, systems thinking, and resilience. Finally, we emphasize Grimm’s broad contributions to science via support of long-term research, dedication to mentoring, and extensive collaborations that facilitated transdisciplinary research.

Journal of Hydrology