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International data gaps at the Center for Engineering Strong Motion Data

The Center for Engineering Strong Motion Data (CESMD) is utilized by seismologists, engineers, and disaster management professionals in the US and has historically achieved and distributed waveforms from across the globe for significant earthquakes. The increased access to the waveforms via Web API (Application Programming Interface) offers a unique opportunity to provide the community complete datasets, sampling a variety of tectonic environments and geologic conditions, increasing the number of available ground motion records for use in ground motion models (GMMs) and improving the accuracy of earthquake engineering evaluations. The objective of this study is to programmatically identify gaps in global event data from the past decade and backfill missing data gaps at CESMD. We first compare the CESMD catalog with the Advanced National Seismic System (ANSS) Comprehensive Earthquake Catalog identifying regions and time periods where strong-motion data is limited or inadequate. To backfill datasets at CESMD for significant events, we pinpoint regions and time intervals that lack information, creating a list of events for which we’d like to obtain data. An important facet of this work is identifying the source of data and metadata across earthquake repositories around the world and integrating these data repositories into our current strong-motion data processing workflow. In parallel with these newly processed datasets, we are developing a script to produce data origination citations to include provenance and attribution information to associate with respective datasets at CESMD. We showcase our methodology for identifying and filling data gaps at CESMD using three case studies (the 2018 Anchorage Alaska earthquake sequence, seismicity associated with the 2018 Hawaiian Kilauea volcano eruption, and several earthquakes in Turkey) and then outline our strategy to apply our data gap backfilling methods on an international scale.

Conference Paper

A working environment for digital planetary data processing and mapping using ISIS and GRASS GIS

Since the beginning of planetary exploration, mapping has been fundamental to summarize observations returned by scientific missions. Sensor-based mapping has been used to highlight specific features from the planetary surfaces by means of processing. Interpretative mapping makes use of instrumental observations to produce thematic maps that summarize observations of actual data into a specific theme. Geologic maps, for example, are thematic interpretative maps that focus on the representation of materials and processes and their relative timing. The advancements in technology of the last 30 years have allowed us to develop specialized systems where the mapping process can be made entirely in the digital domain. The spread of networked computers on a global scale allowed the rapid propagation of software and digital data such that every researcher can now access digital mapping facilities on his desktop. The efforts to maintain planetary missions data accessible to the scientific community have led to the creation of standardized digital archives that facilitate the access to different datasets by software capable of processing these data from the raw level to the map projected one. Geographic Information Systems (GIS) have been developed to optimize the storage, the analysis, and the retrieval of spatially referenced Earth based environmental geodata; since the last decade these computer programs have become popular among the planetary science community, and recent mission data start to be distributed in formats compatible with these systems. Among all the systems developed for the analysis of planetary and spatially referenced data, we have created a working environment combining two software suites that have similar characteristics in their modular design, their development history, their policy of distribution and their support system. The first, the Integrated Software for Imagers and Spectrometers (ISIS) developed by the United States Geological Survey, represents the state of the art for processing planetary remote sensing data, from the raw unprocessed state to the map projected product. The second, the Geographic Resources Analysis Support System (GRASS) is a Geographic Information System developed by an international team of developers, and one of the core projects promoted by the Open Source Geospatial Foundation (OSGeo). We have worked on enabling the combined use of these software systems throughout the set-up of a common user interface, the unification of the cartographic reference system nomenclature and the minimization of data conversion. Both software packages are distributed with free open source licenses, as well as the source code, scripts and configuration files hereafter presented. In this paper we describe our work done to merge these working environments into a common one, where the user benefits from functionalities of both systems without the need to switch or transfer data from one software suite to the other one. Thereafter we provide an example of its usage in the handling of planetary data and the crafting of a digital geologic map. ?? 2010 Elsevier Ltd. All rights reserved.

Conference Paper

Changing patterns of Pennsylvanian coal-swamp vegetation and implications of climatic control on coal occurrence

Improved regional and interregional stratigraphic correlations of Pennsylvanian strata permit comparisons of vegetational changes in Euramerican coal swamps. The coal-swamp vegetation is known directly from in situ coal-ball peat deposits from more than 65 coals in the United States and Europe. Interpretations of coal-swamp floras on the basis of coal-ball peat studies are extended to broader regional and stratigraphic patterns by use of coal palynology. Objectives of the quantitative analyses of the vegetation in relation to coal are to determine the botanical constituents at the peat stage and their environmental implications for plant growth and peat accumulation. Morphological and paleoecological analyses provide a basis for deducing freshwater regimes of coal swamps. Changes in composition of Pennsylvanian coal-swamp vegetation are quire similar from one paralic coal region to another and show synchrony that is attributable to climate. Paleobotany and paleogeography of the Euramerican province indicate a moist tropical paleoclimate. Rainfall, runoff and evapotranspiration were the variable climatic controls in the distribution of coal-swamp vegetation, peat accumulation and coal resources. In relative terms of climatic wetness the Pennsylvanian Period is divisible into five intervals, which include two relatively drier intervals that developed during the Lower-Middle and Middle-Upper Pennsylvanian transitions. The climate during Early Pennsylvanian time was moderately wet and the median in moisture availability. Early Middle Pennsylvanian was drier, probably seasonally dry-wet; late Middle Pennsylvanian was the wettest in the Midcontinent; early Late Pennsylvanian was the driest; and late Late Pennsylvanian was probably the wettest in the Dunkard Basin. The five climatic intervals represent a general means of dividing coal resources within each region into groups with similar botanical constituents and environments of peat accumulation. Regional differences in basinal geology and climate were significant variables, but the synchronous control of paleoclimate was of primary importance.

International Journal of Coal Geology

Minor element distribution in iron disulfides in coal: a geochemical review

Electron beam microanalysis of coal samples in U.S. Geological Survey (USGS) labs confirms that As is the most abundant minor constituent in Fe disulfides in coal and that Se, Ni, and other minor constituents are present less commonly and at lower concentrations than those for As. In nearly all cases, Hg occurs in Fe disulfides in coal at concentrations below detection by electron beam instruments. Its presence is shown by laser ablation ICP-MS, by selective leaching studies of bulk coal, and by correlation with Fe disulfide proxies such as total Fe and pyritic sulfur. Multiple generations of Fe disulfides are present in coal. These commonly show grain-to-grain and within-grain minor- or trace element compositional variation that is a function of the early diagenetic, coalification, and post-coalification history of the coal. Framboidal pyrite is almost always the earliest Fe disulfide generation, as shown by overgrowths of later Fe disulfides which may include pyrite or marcasite. Cleat- (or vein) pyrite (or marcasite) is typically the latest Fe disulfide generation, as shown by cross-cutting relations. Cleat pyrite forms by fluid migration within a coal basin and consequently may be enriched in elements such as As by deposition from compaction-driven fluids, metal enriched basinal brines or hydrothermal fluids. In some cases, framboidal pyrite shows preferential Ni enrichment with respect to co-occurring pyrite forms. This is consistent with bacterial complexing of metals in anoxic sediments and derivation of framboidal pyrite from greigite (Fe 3 S 4 ), an Fe monosulfide precursor to framboidal pyrite having the thio-spinel structure which accommodates transition metals. Elements such as As, Se, and Sb substitute for S in the pyrite structure whereas metals, including transition metals, Hg and Pb, are thought to substitute for Fe. Understanding the distribution of minor and trace elements in Fe disulfides in coal has important implications for their availability to the environment through coal mining and use, as well as for potential reduction by coal preparation, and for delineating diagenetic compositional changes throughout and after coal formation.

International Journal of Coal Geology

Ongoing research experiments at the former Soviet nuclear test site in eastern Kazakhstan

Degelen mountain, located in Eastern Kazakhstan near the city of Semipalatinsk, was once the Soviets most active underground nuclear test site . Two hundred fifteen nuclear tests were conducted in 181 tunnels driven horizontally into its many ridges--almost twice the number of tests as at any other Soviet underground nuclear test site . It was also the site of the first Soviet underground nuclear test --a 1-kiloton device detonated on October 11, 1961. Until recently, the details of testing at Degelen were kept secret and have been the subject of considerable speculation. However, in 1991, the Semipalatinsk test site became part of the newly independent Republic of Kazakhstan ; and in 1995, the Kazakhstani government concluded an agreement with the U.S. Department of Defense to eliminate the nuclear testing infrastructure in Kazakhstan . This agreement, which calls for the "demilitarization of the infrastructure directly associated with the nuclear weapons test tunnels," has been implemented as the "Degelen Mountain Tunnel Closure Program." The U.S. Defense Threat Reduction Agency, in partnership with the Department of Energy, has permitted the use of the tunnel closure project at the former nuclear test site as a foundation on which to support cost-effective, research-and-development-funded experiments. These experiments are principally designed to improve U.S. capabilities to monitor and verify the Comprehensive Test Ban Treaty (CTBT), but have provided a new source of information on the effects of nuclear and chemical explosions on hard, fractured rock environments. These new data extends and confirms the results of recent Russian publications on the rock environment at the site and the mechanical effects of large-scale chemical and nuclear testing. In 1998, a large-scale tunnel closure experiment, Omega-1, was conducted in Tunnel 214 at Degelen mountain. In this experiment, a 100-ton chemical explosive blast was used to test technologies for monitoring the Comprehensive Nuclear Test Ban Treaty, and to calibrate a portion of the CTBT's International Monitoring System. This experiment has also provided important benchmark data on the mechanical behavior of hard, dense, fractured rock, and has demonstrated the feasibility of fielding large-scale calibration explosions, which are specified as a "confidence-building measure" in the CTBT Protocol. Two other large-scale explosion experiments, Omega-2 and Omega-3, are planned for the summer of 1999 and 2000. Like the Tunnel 214 test, the 1999 experiment will include close-in monitoring of near-source effects, as well as contributing to the calibration of key seismic stations for the Comprehensive Test Ban Treaty. The Omega-3 test will examine the effect of multiple blasts on the fractured rock environment.

Conference Paper

Disease, environment, and pollution: Understanding drivers behind tumour outbreaks in sea turtles

Various wildlife diseases of the Anthropocene (the Anthropocene currently has no formal status in the Divisions of Geologic Time https://pubs.usgs.gov/fs/2018/3054/fs20183054.pdf , accessed 4 June 2024) have root causes that are found in human-driven environmental disturbances. Fibropapillomatosis of sea turtles is exemplary of a human-exacerbated wildlife disease, and this case study offers an overview of how we applied a One Health approach and interdisciplinary process to better understand its complexity and highlight the interconnections existing between the health of the environment, and of the wildlife and humans living in it. Persistent organic pollutants (POPs) have known detrimental effects on human and wildlife health. Ubiquitous in the environment, these degradation-resistant chemicals have a high bioaccumulation potential. This case study describes the interdisciplinary plan and One Health design implemented to measure the role of harmful pollutants in the occurrence of a marine turtle panzootic fibropapillomatosis (FP). FP is a neoplastic disease that causes the growth of debilitating tumours on soft tissues and internal organs. Disease incidence has been increasing significantly throughout the Anthropocene and the reasons are still uncertain. The pervasive effect of pollution in marine coastal habitats has often been hypothesized as a driver of high disease prevalence but never fully tested. Our project combines disease ecology, marine field biology, and chemical toxicology in the attempt to unravel the intricate dynamics behind FP. We here describe the complex process used to develop a methodology to measure levels of harmful seawater pollutants such as polychlorinated biphenyls (PCBs), polycyclic aromatic hydrocarbons (PAHs), and organochlorine pesticides (OCPs) in important sea turtle habitats in Florida. The proposed contaminants are among the top priority harmful pollutants, highly carcinogenic in aquatic animals, and bioaccumulate in sea turtles. Although only providing a description of the methodological process, this case study can help future research to apply similar transdisciplinary studies in the context of wildlife diseases. Understanding the effects of anthropogenic-driven pollution activity on ocean health can clarify its consequences to the health of wildlife and humans living in and around that environment.

One Health Cases

Concentration-discharge relationships reflect chemostatic characteristics of US catchments

Concentration-discharge relationships have been widely used as clues to the hydrochemical processes that control runoff chemistry. Here we examine concentration-discharge relationships for solutes produced primarily by mineral weathering in 59 geochemically diverse US catchments. We show that these catchments exhibit nearly chemostatic behaviour; their stream concentrations of weathering products such as Ca, Mg, Na, and Si typically vary by factors of only 3 to 20 while discharge varies by several orders of magnitude. Similar patterns are observed at the inter-annual time scale. This behaviour implies that solute concentrations in stream water are not determined by simple dilution of a fixed solute flux by a variable flux of water, and that rates of solute production and/or mobilization must be nearly proportional to water fluxes, both on storm and inter-annual timescales. We compared these catchments' concentration-discharge relationships to the predictions of several simple hydrological and geochemical models. Most of these models can be forced to approximately fit the observed concentration-discharge relationships, but often only by assuming unrealistic or internally inconsistent parameter values. We propose a new model that also fits the data and may be more robust. We suggest possible tests of the new model for future studies. The relative stability of concentration under widely varying discharge may help make aquatic environments habitable. It also implies that fluxes of weathering solutes in streams, and thus fluxes of alkalinity to the oceans, are determined primarily by water fluxes. Thus, hydrology may be a major driver of the ocean-alkalinity feedback regulating climate change. Copyright ?? 2009 John Wiley & Sons, Ltd.

Hydrological Processes

Growth form and lifespan of herbaceous species mediate the role of traits in short-term drought response

Increased climate variability is expected to intensify short-term drought events. Plants have evolved stress tolerance strategies involving trade-offs in resource conservation, mycorrhizal collaboration and plant size, yet how these strategies promote drought resistance across different herbaceous plant groups remains unknown. Leveraging 63 globally distributed grassland and shrubland sites from the International Drought Experiment, we identified plant traits linked to drought resistance in 661 populations of 421 species after 1 year of extreme drought. We assessed how traits, site precipitation and drought severity affected cover change across growth forms and lifespans, and how trait–environment interactions influenced drought resistance. Across all species, leaf N (an acquisitive trait) was associated with drought resistance, whereas in forbs, drought resistance was also associated with a conservative root trait and plant size. In addition, interactions among traits mediated drought resistance; root traits predicted performance only in concert with other traits. Environmental variables influenced trait effects on drought resistance, notably for annuals in wetter sites, suggesting that drought-escape strategies in annuals may be advantageous only under mild stress. Our study highlights variability in traits that predict drought resistance across herbaceous plant groups, emphasizing the importance of species context, environmental stress and the selection of traits in research and management.

Nature Ecology and Evolution

Decomposition

A cornerstone of ecosystem ecology, decomposition was recognized as a fundamental process driving the exchange of energy in ecosystems by early ecologists such as Lindeman 1942 and Odum 1960). In the history of ecology, studies of decomposition were incorporated into the International Biological Program in the 1960s to compare the nature of organic matter breakdown in various ecosystem types. Such studies still have an important role in ecological studies of today. More recent refinements have brought debates on the relative role microbes, invertebrates and environment in the breakdown and release of carbon into the atmosphere, as well as how nutrient cycling, production and other ecosystem processes regulated by decomposition may shift with climate change. Therefore, this bibliography examines the primary literature related to organic matter breakdown, but it also explores topics in which decomposition plays a key supporting role including vegetation composition, latitudinal gradients, altered ecosystems, anthropogenic impacts, carbon storage, and climate change models. Knowledge of these topics is relevant to both the study of ecosystem ecology as well projections of future conditions for human societies.

Article

The use of a vegetation index for assessment of the urban heat island effect

A vegetation index and radiative surface temperature were derived from NOAA-11 Advanced Very High Resolution Radiometer (AVHRR) data for the Seattle, WA region from 28 June through 4 July 1991. The vegetation index and surface temperature values were computed for locations of weather observation stations within the region and compared to observed minimum air temperatures. These comparisons were used to evaluate the use of AVHRR data to assess the influence of the urban environment on observed minimum air temperatures (the urban heat island effect). AVHRR derived normalized difference vegetation index (NDVI) and radiant surface temperature data from a one week composite product were both related significantly to observed minimum temperatures, however, the vegetation index accounted for a greater amount of the spatial variation observed in mean minimum temperatures. The difference in the NDVI between urban and rural regions appears to be an indicator of the difference in surface properties (i.e., evaporation and heat storage capacity) between the two environments that are responsible for differences in urban and rural minimum temperatures.

International Journal of Remote Sensing

Performance and utility of satellite telemetry during field studies of free-ranging polar bears in Alaska

Satellite telemetry technology has been used during field studies of polar bears in Alaska since 1985. A total of 109 Platform Transmitter Terminals (PTT) have been deployed on free-ranging female polar bears that seasonally inhabit waters adjacent to the Alaskan coast. The PTTs transmitted locational and sensor data to TIROS-N polar-orbiting satellites during a duty cycle of 12 hours on/60 hours off in 1985, 1986, and 1987. Expected battery life was 13.8 months, and collars were normally removed and replaced with new or refurbished PTTs at 11-13 month intervals. Duty cycles were altered to 7-8 hours on/64-65 hours off in 1988 to prolong expected battery life to 19-21 months. Sensor data transmitted included PTT internal temperature, short term activity counts recorded at 60 second intervals, and long term activity counts for the preceding 24 or 72-hour period. Early failures of PTTs to fix location (less than 75% of expected battery life) were as high as 53% during 198501986. Subsequent improvements in battery design, including better shock insulation, improved electronic, and an improved battery system have reduced early failures to 27% in 1987-1988. The harsh environment and the degree of abuse observed in recovered collars indicate that an unavoidable failure rate of 8-10% is inherent within 60 days after deployment on polar bears. A total of 18,000 locations and 201,000 sensor messages were received from female polar bears between May 1985 and June 1988. Polar bears that were marked in Alaskan waters have been located as far south as 60°N 168°W, and as far east as 70°N 127°W in the Beaufort Sea. Polar bears in the Beaufort Sea are shared with Canada, while polar bears in the Chukchi and Bering seas are shared with the Soviet Union. The international ranges of the two hypothesized populations have been documented. Satellite telemetry has detailed the large movement patterns of polar bear over these vast areas that were previously not available using other techniques.

Alaska

Oil development and conservation in Arctic America

As in his earlier article to which reference is made, the author stresses the need for more background information and a much greater research effort before problems of environmental protection from oil developments in northern Alaska can be effectively tackled. Meanwhile, there are indications that the earlier estimates of around ten thousand million barrels should be raised—perhaps to about five times as much. There has moreover been a great increate also in the known and probable gas reserves in northern Canada—particularly in the Arctic Archipelago. In spite of planned automation, people will be needed for development—including Eskimos and Indians, whose interests will be widely protected under the Alaska Native Claims Settlement Act of December 1971. The International Biological Programme ‘Tundra Biome’ projects have accumulated much new information, including the results to be expected from disturbing the tundra seriously, and means of preventing or repairing damage to it. There is much interest in Alaska and Canada in protection of the northern environment, and in the former the US National Environmental Policy Act is already leading to stricter control of some developments.

Biological Conservation

The incubation environment of nests deposited by a genetically distinct group of loggerhead sea turtles in Northwest Florida

The warming climate presents a challenge to conservation of all threatened and endangered species but particularly to those that exhibit temperature-dependent sex determination such as sea turtles. Changes in temperature may result in changes in the sex ratio of the population which can directly affect reproductive rate, abundance and population dynamics. The NW Atlantic loggerhead turtle population is listed as threatened under the U.S. Endangered Species Act, and one of the smallest subpopulations in this assemblage nests in the northern Gulf of Mexico. Here, we describe the incubation environment of northern Gulf of Mexico loggerheads nesting at several different beaches in Northwest Florida. Temperature dataloggers were placed inside and adjacent to nests on different nesting beaches across Northwest Florida. In addition, incubation durations were recorded from nests deposited on those same beaches. Internal nest temperatures were higher than those in the sand, however sand temperatures were correlated with incubation durations. Sand temperatures differed along the vertical beach profile and according to depth. Temperatures also differed along a geographic gradient across Northwest Florida and in relation to distance from the Apalachicola River. Incubation durations followed a similar pattern. Mean monthly temperatures at all sites were at or lower than 29 °C (range 23.1 °C–29.6 °C at the dunes; 23.8 °C–29.4 °C at mid-beach) which suggests nests in Northwest Florida may be producing a significant number of males, in contrast to the large number of females being produced on Florida's Atlantic coast. The temperatures and incubation durations on these nesting beaches may be regulated by differing sources of sand and beach orientations across Northwest Florida.

Northwest Florida

The Borderlands - A region of physical and cultural diversity: Chapter 2 in United States-Mexican Borderlands: Facing tomorrow's challenges through USGS science

The area surrounding the United States–Mexican border is very physically and culturally diverse and cannot be generalized by any single description. To assist in an accurate appraisal and understanding of this remarkable region, the Borderlands team has divided it into eight subareas based on the watershed subareas of the U.S. Geological Survey Border Environmental Health Initiative (http://borderhealth.cr.usgs.gov) (fig. 2–1), the boundaries of which are defined primarily by surface-water drainage basins. The drainage basins directly adjacent to or crossing the international boundary were automatically included in the defined border region, as were those basins that contain unconsolidated aquifers that extend to or cross the international boundary. Also, “protected areas” adjacent to included basins were selectively added to the defined border region. Though some geographic features are entirely within the Borderlands, many features—deserts, mountain ranges, rivers, etc.— extend beyond the region boundaries but are still influential to Borderlands environments (fig. 2–2). In some cases, the authors of the following chapters have made fine adjustments to the Borderlands boundaries, and they have described those alterations where necessary. By describing and studying these subareas individually and comparing them to one another, we can emphasize the physical and cultural diversity that makes the Borderlands such an important geographic area.

United States-Mexico Borderlands

A nomogram for interpreting slope stability of fine-grained deposits in modern and ancient-marine environments.

Design of the nomogram is based on effective stress and combines consolidation theory as applicable to depositional environments with the infinite-slope model of slope-stability analysis. The link between the two combined theories is a term representing the effective overburden stress, which may be predicted from consolidation theory and a knowledge of sedimentation rate, time, and the coefficient of consolidation. In turn, if infinite-slope conditions are assumed to exist, the effective overburden stress can be used to derive a factor of safety against static slope failure by using the angle of internal friction and the slope angle. The nomogram applies to depostitional settings in which fine-grained sediment has accumulated at a relatively constant rate upon a base that is essentially impermeable. The model further assumes that the lateral extent of sediment affected by any mass movement will be great compared to its thickness and that no outside agents (e.g., cements, gas) are influencing the section. The nomogram is applicable to static conditions (inherent stability of the slope) and certain dynamic conditions (such as earthquakes). It may be used to investigate mass movements in the geologic past as well as those in modern environments.--Modified journal abstract.

Journal of Sedimentary Petrology

Critical metals in manganese nodules from the Cook Islands EEZ, abundances and distributions

The Cook Islands (CIs) Exclusive Economic Zone (EEZ) encompasses 1,977,000 km 2 and includes the Penrhyn and Samoa basins abyssal plains where manganese nodules flourish due to the availability of prolific nucleus material, slow sedimentation rates, and strong bottom currents. A group of CIs nodules was analyzed for mineralogical and chemical composition, which include many critical metals not before analyzed for CIs nodules. These nodules have varying sizes and nuclei material; however all are composed predominantly of δ-MnO 2 and X-ray amorphous iron oxyhydroxide. The mineralogy, Fe/Mn ratios, rare earth element contents, and slow growth rates (mean 1.9 mm/10 6 years) reflect formation primarily by hydrogenetic precipitation. The paucity of diagenetic input can be explained by low primary productivity at the surface and resultant low organic matter content in seafloor sediment, producing oxic seafloor and sub-seafloor environments. The nodules contain high mean contents of Co (0.41%), Ni (0.38%), Ti (1.20%), and total rare earth elements plus yttrium (REY; 0.167%), and also high contents of Mo, Nb, V, W, and Zr. Compiled data from a series of four cruises by the Japan International Cooperation Agency and the Mining agency of Japan from 1985 to 2000 were used to generate a map that defines the statistical distribution of nodule abundance throughout the EEZ, except the Manihiki Plateau. The abundance distribution map shows a belt of high nodule abundance (19–45 kg/m 2 ) that starts in the southeast corner of the EEZ, runs northwest, and also bifurcates into a SW trending branch. Small, isolated areas contain abundances of nodules of up to 58 kg/m 2 . Six ~ 20,000 km 2 areas of particularly high abundance were chosen to represent potential exploration areas, and maps for metal concentration were generated to visualize metal distribution and to extrapolate estimated metal tonnages within the six sites and the EEZ as a whole. Grades for Mn, Cu, and Ni are low in CIs nodules in areas of high abundance; however, Ti, Co, and REY show high contents where nodule abundances are high. Of the six areas identified to represent a range of metal contents, one at the northern end of the N-S abundance main belt optimizes the most metals and would yield the highest dry metric tons for Mn (61,002,292), Ni (1,247,834), Mo (186,166), V (356,247), W (30,215), and Zr (195,323). When compared with the Clarion–Clipperton Zone, the CIs nodules show higher nodule abundances (> 25 kg/m 2 over ~ 123,844 km 2 ), and are more enriched in the green-tech, high-tech, and energy metals Co, Ti, Te, Nb, REY, Pt, and Zr. The CIs EEZ shows a significant resource potential for these critical metals due to their high prices, high demand, and the high nodule abundance, which will allow for a smaller footprint for a 20-year mine site and therefore smaller environmental impact.

Ore Geology Reviews

Connecticut and Landsat

Connecticut, the third-smallest State by land area, is the fourth most densely populated in the United States. Connecticut’s tightly packed cities serve as international hubs for the finance and insurance industries. These same urban enclaves host highly regarded institutions of higher learning, such as Yale, the University of Connecticut, and Quinnipiac and Wesleyan Universities. Yet Connecticut has surprisingly varied natural features. Its residents are never far from pristine environments that teem with wildlife and convey the sounds, scents, and scenery of the natural world. The Connecticut River, the longest in New England at 407 miles, cuts through the State’s center and drains into Long Island Sound, as do the Thames and Housatonic Rivers. Together, these rivers form an estuary spawning ground for hundreds of freshwater and saltwater aquatic species. North and east of the coastal lowlands that hug the estuary are the highlands of the Southern Taconic Range and the Berkshires. North and west of the coastline, smaller rivers and valleys weave through densely forested landscapes dotted with State parks and scenic lakes. Imagery from the U.S. Geological Survey Landsat archive, a trusted public resource with more than 50 years of worldwide Earth observations, provides a powerful tool for analyzing the interplay of human habitation and natural landscapes in Connecticut. Landsat data also offer land managers a critical information source for managing damage from invasive species and monitoring the local landscape effects of changing environmental conditions .

Connecticut

Assessing diet and genotyping success of goat pellet surveys from 2019 in Glacier National Park

Fecal pellets contain genetic information and can be used to identify individuals, their diet, and more. Individual identification can be useful in understanding movements of individuals, developing population estimates, assessing vital rates, genetic diversity and structure, and evaluating trends over time (e.g., Epps et al 2024). Successful genotyping depends on the quality of the sample, which can be influenced by many things including the initial state of the sample, environmental conditions that the pellets were exposed to, and the method of storage. The diet of mountain goats ( Oreamnos americanus ) is hard to study as they are habitat specialists in some of the most remote and rugged alpine environments (Festa-Bianchet & Côté 2012). These iconic ungulates epitomize the renowned wilderness character of Glacier National Park (GNP), yet the population has declined by 45% since 2008 likely due at least in part to changing climate (Graves et al. 2025). This is well above the International Union for the Conservation of Nature’s population decline criterion used to designate a species as vulnerable (IUCN 2012). Mountain goats are known as dietary generalists employing highly variable diets across systems, but diets have not been identified for GNP. Identifying goat diet composition in GNP can provide the information needed to determine whether this population decline could be related to climate-change induced shifts in forage phenology, diversity, productivity, and plant community structure. Other anthropogenic changes in GNP, such as increases in exotic and invasive plant species, will continue to affect plant community composition (Lesica et al. 1993). These alterations may reduce optimal forage availability and quality, which could have a deleterious effect on mountain goat survival. To examine these possibilities, we must first ask- What precisely are the mountain goats of Glacier National Park eating? DNA metabarcoding of fecal pellets provides a cutting-edge, non-invasive method for assessing herbivore diet. Previous studies of mountain goat diet have used methods such as fecal crude protein analysis (Festa-Bianchet & Côté 2012), rumen analysis (Saunders 1955), fecal microhistology (Cobb et al. 2012), and bite-for-bite feeding observations (Daily et al. 1984). Many of these studies have only been able to identify diet components to functional plant type and the methods used are biased towards less digestible diet components such as grasses (McInnis et al. 1983). Metabarcoding of fecal pellets can provide a higher taxonomic resolution than previous methods (Scasta et al. 2019, Stapleton et al. 2022) and open the field for increased participation of volunteers, also called community or citizen scientists. Here, we use mountain goat fecal pellets to conduct 1) an evaluation of which conditions might influence genotyping success and 2) a preliminary assessment of diet using metabarcoding. This pilot study allowed us to evaluate which pellets to focus on collecting, identify the best storage methods, explore approaches for analyzing metabarcoding data, examine the utility of metabarcoding for acquiring taxonomically specific diet information, and to identify genetic sequences that could not be resolved to genus or species levels using these methods. We examined the frequency of occurrence and relative diet composition of identified forbs, shrubs, graminoids, mosses, and trees in mountain goat diets.

Montana