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At least 1,657 records · Page 92Linked to original sources

Behavior and passage of juvenile salmonids during the evaluation of a behavioral guidance structure at Cowlitz Falls Dam, Washington, 2011

Executive Summary A radiotelemetry evaluation was conducted during April–October 2011 to describe movement patterns, forebay behavior, and passage of juvenile steelhead, coho salmon, and Chinook salmon at Cowlitz Falls Dam, Washington. The primary focus of the study was to describe fish behavior near a behavioral guidance structure (BGS) and floating surface collector (FSC) deployed upstream of Cowlitz Falls Dam. A secondary focus was to determine the proportion of tagged fish that were detected near spillbays 2 and 3 on the dam, because this location has been proposed for deploying weir boxes as an additional dam-based collection alternative in the future. Juvenile steelhead ( Oncorhynchus mykiss ), coho salmon ( Oncorhynchus kisutch ), and Chinook salmon ( Oncorhynchus tshawytscha ) were collected and tagged at the Cowlitz Falls Fish Collection Facility and transported upstream where they were released into the Cowlitz and Cispus Rivers. We radio-tagged and released 110 juvenile steelhead, 110 juvenile coho salmon, and 110 juvenile Chinook salmon and monitored their movements in and around the BGS/FSC complex, at the dam, and downstream of the dam. We used detection records and a Markov chain model to calculate probabilities of movement between specific areas in the forebay of Cowlitz Falls Dam. These areas are referred to as states and the Markov chain model was used to create a series of tables, called transition matrices, that contained estimated probabilities of movement between states. These probabilities were insightful for understanding how radio-tagged fish moved near the BGS, FSC, and spillbays. Most tagged fish (89–91 percent) moved downstream of release sites (9 or 22 rkm upstream of the dam) and were detected in the dam forebay during the study period. Tagged fish that encountered the BGS on their first approach to the dam were distributed across the forebay, which supports the concept of using a BGS to concentrate fish near a collector entrance in the dam forebay. We found that 14 percent of the steelhead, 18 percent of the coho salmon, and 17 percent of the Chinook salmon encountered the FSC discovery area without BGS guidance on their first trip through the forebay. The BGS guided 36 percent of the steelhead, 22 percent of the coho salmon, and 46 percent of the Chinook salmon to the FSC discovery area when fish first entered the forebay, which resulted in 40–63 percent (by species) of the tagged fish arriving at the FSC discovery area. Movement patterns along the BGS showed that fish were likely to guide along the device, but also demonstrated the tendency of fish to move under the BGS and downstream to Cowlitz Falls Dam. Differential distribution among sucker species within the Williamson River Delta and between the delta and adjacent lakes indicated that shortnose suckers likely benefited more from the restored Williamson River Delta than Lost River or Klamath largescale suckers ( Catostomus snyderi ). Catch rates in shallow-water habitats within the delta were higher for shortnose and Klamath largescale sucker larvae than for larval Lost River suckers in 2008, 2009, and 2010. Shortnose suckers also comprised the greatest portion of age-0 suckers captured in the Williamson River Delta in all 3 years of the study. The relative abundance of age-1 shortnose suckers was high in our catches compared to age-1 Lost River suckers in 2009 and 2010. Tagged fish that arrived at Cowlitz Falls Dam were distributed across the dam face but a high percentage of each species (65 percent of steelhead; 61 percent of coho salmon; 71 percent of Chinook salmon) arrived on the northern side of the dam. Movement probabilities near spillbays 1 and 4 showed a strong preference for tagged fish to move from the outer edges of the dam towards the center of the dam where they were detected at the debris barrier (range of probabilities = 0.690–0.841). We found that 76 percent of the steelhead, 61 percent of the coho salmon, and 92 percent of the Chinook salmon were detected at spillbays 2 or 3 during the study. This behavior supports the strategy of weir box deployments in spillbays 2 and 3 for future dam-based collection options. Tagged fish that arrived at the dam commonly moved upstream and were detected at the BGS or FSC discovery area. This behavior provided a secondary opportunity for fish to encounter the FSC discovery area and we found that in total, 72 percent of the steelhead, 48 percent of the coho salmon, and 92 percent of the Chinook salmon were detected near the FSC while residing in the forebay. Overall, 88 percent of the steelhead, 76 percent of the coho salmon, and 95 percent of the Chinook salmon that entered the forebay were detected near the FSC or in spillbays 2 and 3. Turbine passage was the most common passage route for tagged fish at Cowlitz Falls Dam during 2011. We found that 40 percent of the steelhead, 52 percent of the coho salmon, and 33 percent of the Chinook salmon passed through turbines. An additional 22 percent of the steelhead and 32 percent of the coho salmon passed through turbines or spillways when both passage routes were available. Fish collection numbers were relatively low during 2011 compared to long-term averages. In total, 37 percent of the steelhead, 14 percent of the coho salmon, and 23 percent of the Chinook salmon that entered the forebay were collected, primarily through collection flumes. The FSC collected a single radio-tagged fish (a Chinook salmon) in 2011.

Washington↗

Nearshore morphology, benthic structure, hydrodynamics, and coastal groundwater discharge near Kahekili Beach Park, Maui, Hawaii

This report presents a brief summary of recent fieldwork conducted off Kahekili Beach Park, Maui, Hawaii, the site of the newly established U.S. Coral Reef Task Force priority study area at Kaanapali and the Hawaii Department of Land and Natural Resources, Division of Aquatic Resources, Kahekili Herbivore Fisheries Management Area (HFMA). The goals of this fieldwork are to provide new baseline information to help guide future studies and to provide first insights into rates and drivers of coastal groundwater discharge and associated constituent loadings into the priority study area's coastal waters. This study presents the first swath acoustic mapping information, in situ oceanographic instrument measurements, and coastal groundwater discharge estimates at this site based on the submarine groundwater discharge tracer radon-222 ( 222 Rn). Coastal groundwater discharge rates ranged from about 22 to 50 centimeters per day, depending on proximity of the sampling mooring to the primary discharge vent. The water chemistry of the discharging groundwater was at times dramatically different than ambient seawater. For example, at the primary vent site at Kahekili, the concentrations of total dissolved nitrogen (TDN), dissolved silicate (DSi), and total dissolved phosphorus (TDP) in the discharging groundwater were 43.75 micromolar (μM), 583.49 μM, and 12.04 μM, respectively. These data extend our basic understanding of the morphology, benthic structure, and oceanographic setting of this vent site and provide a first estimate of the magnitude and physical forcings of submarine groundwater discharge and associated trace metals and nutrient loads here.

Hawai'i↗

Synthesis of geological, structural, and geochronologic data (phase V, deliverable 53)

This report is a companion to the new Geologic Map of Mauritania (Bradley and others, 2015; referred to herein as “Deliverable 51”) and the new Structural Geologic Map of Mauritania (Bradley and others, 2015a; referred to herein as “Deliverable 52”). Section 1 contains explanatory information for these two digital maps. Section 2 covers the analytical methods used in obtaining new U-Pb ages from 9 igneous rock samples, new detrital zircon ages from 40 sedimentary or metasedimentary rock samples, and new 40 Ar/ 39 Ar ages from 12 samples of metamorphic rocks and veins. Sections 3 through 6 present the new geochronological results, organized by region. In Section 7, we discuss implications of the new ages for the regional geology and discuss problematic results. Finally, in Section 8, we summarize the geology and tectonic evolution of Mauritania in narrative form, drawing on new and published information, in the context of global tectonics. The report is being released in both English and French. In both versions, we use the French-language names for formal stratigraphic units.

Open-File Report↗

Structure map of Mauritania (phase V, deliverables 52a and 52b)

In 1996, at the request of the Government of the Islamic Republic of Mauritania, a team of U.S. Geological Survey (USGS) scientists produced a strategic plan for the acquisition, improvement and modernization of multidisciplinary sets of data to support the growth of the Mauritanian minerals sector and to highlight the geological and mineral exploration potential of the country. In 1999, the Ministry of Petroleum, Energy, and Mines of the Islamic Republic of Mauritania implemented a program for the acquisition of the recommended basic geoscientific information, termed the first Projet de Renforcement Institutionnel du Secteur Minier (Project for Institutional Capacity Building in the Mining Sector, PRISM-I). As a result of the PRISM-I efforts, a great deal of new geological, geophysical, geochemical, remote sensing, and hydrological data became available for evaluation and synthesis. However, the Ministry of Petroleum, Energy, and Mines recognized that additional work was required to extract the full benefit of the data before it could be of greatest use to the international community and of benefit to the Mauritanian minerals and development sector. To achieve this benefit, the Ministry of Petroleum, Energy, and Mines implemented a second Projet de Renforcement Institutionnel du Secteur Minier (PRISM-II) in 2006 to consolidate, synthesize, and interpret all of the existing data, create a new 1:1,000,000 scale geologic map, and define the mineral resource potential of the country. A consortium in which the USGS was the lead scientific agency carried out the majority of the PRISM-II work. In 2008, the USGS Mauritania Minerals Project was interrupted due to political changes in Mauritania. PRISM-II work resumed in 2011, and was completed in 2013 with the delivery of over 40 separate written reports and plates, an access file containing the Mauritanian National Mineral Deposits Database, and an interactive GIS containing all of the multi-disciplinary data and interpretive areas of mineral resource potential in Mauritania. This report contains the USGS results of the PRISM-II Mauritania Minerals Project and is presented in cooperation with the Ministry of Petroleum, Energy, and Mines of the Islamic Republic of Mauritania. The Report is composed of separate chapters consisting of multidisciplinary interpretive reports with accompanying plates on the geology, structure, geochronology, geophysics, hydrogeology, geochemistry, remote sensing (Landsat TM and ASTER), and SRTM and ASTER digital elevation models of Mauritania. The syntheses of these multidisciplinary data formed the basis for additional chapters containing interpretive reports on 12 different commodities and deposit types known to occur in Mauritania, accompanied by countrywide mineral resource potential maps of each commodity/deposit type. The commodities and deposit types represented include: (1) Ni, Cu, PGE, and Cr deposits hosted in ultramafic rocks; (2) orogenic, Carlin-like, and epithermal gold deposits; (3) polymetallic Pb-Zn-Cu vein deposits; (4) sediment-hosted Pb-Zn-Ag deposits of the SEDEX and Mississippi Valley-type; (5) sediment-hosted copper deposits; ( 6) volcanogenic massive sulfide deposits; (7) iron oxide copper-gold deposits; (8) uranium deposits; (9) Algoma-, Superior-, and oolitic-type iron deposits; (10) shoreline Ti-Zr placer deposits; (11) incompatible element deposits hosted in pegmatites, alkaline rocks, and carbonatites, and; (12) industrial mineral deposits. Additional chapters include the Mauritanian National Mineral Deposits Database are accompanied by an explanatory text and the Mauritania Minerals Project GIS that contains all of the interpretive layers created by USGS scientists. Raw data not in the public domain may be obtained from the Ministry of Petroleum, Energy, and Mines in Nouakchott, Mauritania.

Open-File Report↗

Crystalline basement map of Mauritania derived from filtered aeromagnetic data (deliverable 54_1), Aeromagnetic and geological structure map of Mauritania (phase V, deliverable 54_2), Maximum depth to basement map of Mauritania derived from Euler analysis of Aeromagnetic data (phase V, deliverable 54_3), and color composite image of radioelement data (added value)

In 1996, at the request of the Government of the Islamic Republic of Mauritania, a team of U.S. Geological Survey (USGS) scientists produced a strategic plan for the acquisition, improvement and modernization of multidisciplinary sets of data to support the growth of the Mauritanian minerals sector and to highlight the geological and mineral exploration potential of the country. In 1999, the Ministry of Petroleum, Energy, and Mines of the Islamic Republic of Mauritania implemented a program for the acquisition of the recommended basic geoscientific information, termed the first Projet de Renforcement Institutionnel du Secteur Minier (Project for Institutional Capacity Building in the Mining Sector, PRISM-I). As a result of the PRISM-I efforts, a great deal of new geological, geophysical, geochemical, remote sensing, and hydrological data became available for evaluation and synthesis. However, the Ministry of Petroleum, Energy, and Mines recognized that additional work was required to extract the full benefit of the data before it could be of greatest use to the international community and of benefit to the Mauritanian minerals and development sector. To achieve this benefit, the Ministry of Petroleum, Energy, and Mines implemented a second Projet de Renforcement Institutionnel du Secteur Minier (PRISM-II) in 2006 to consolidate, synthesize, and interpret all of the existing data, create a new 1:1,000,000 scale geologic map, and define the mineral resource potential of the country. A consortium in which the USGS was the lead scientific agency carried out the majority of the PRISM-II work. In 2008, the USGS Mauritania Minerals Project was interrupted due to political changes in Mauritania. PRISM-II work resumed in 2011, and was completed in 2013 with the delivery of over 40 separate written reports and plates, an access file containing the Mauritanian National Mineral Deposits Database, and an interactive GIS containing all of the multi-disciplinary data and interpretive areas of mineral resource potential in Mauritania. This report contains the USGS results of the PRISM-II Mauritania Minerals Project and is presented in cooperation with the Ministry of Petroleum, Energy, and Mines of the Islamic Republic of Mauritania. The Report is composed of separate chapters consisting of multidisciplinary interpretive reports with accompanying plates on the geology, structure, geochronology, geophysics, hydrogeology, geochemistry, remote sensing (Landsat TM and ASTER), and SRTM and ASTER digital elevation models of Mauritania. The syntheses of these multidisciplinary data formed the basis for additional chapters containing interpretive reports on 12 different commodities and deposit types known to occur in Mauritania, accompanied by countrywide mineral resource potential maps of each commodity/deposit type. The commodities and deposit types represented include: (1) Ni, Cu, PGE, and Cr deposits hosted in ultramafic rocks; (2) orogenic, Carlin-like, and epithermal gold deposits; (3) polymetallic Pb-Zn-Cu vein deposits; (4) sediment-hosted Pb-Zn-Ag deposits of the SEDEX and Mississippi Valley-type; (5) sediment-hosted copper deposits; ( 6) volcanogenic massive sulfide deposits; (7) iron oxide copper-gold deposits; (8) uranium deposits; (9) Algoma-, Superior-, and oolitic-type iron deposits; (10) shoreline Ti-Zr placer deposits; (11) incompatible element deposits hosted in pegmatites, alkaline rocks, and carbonatites, and; (12) industrial mineral deposits. Additional chapters include the Mauritanian National Mineral Deposits Database are accompanied by an explanatory text and the Mauritania Minerals Project GIS that contains all of the interpretive layers created by USGS scientists. Raw data not in the public domain may be obtained from the Ministry of Petroleum, Energy, and Mines in Nouakchott, Mauritania.

Open-File Report↗

The 1946 Unimak Tsunami Earthquake Area: revised tectonic structure in reprocessed seismic images and a suspect near field tsunami source

In 1946 at Unimak Pass, Alaska, a tsunami destroyed the lighthouse at Scotch Cap, Unimak Island, took 159 lives on the Hawaiian Islands, damaged island coastal facilities across the south Pacific, and destroyed a hut in Antarctica. The tsunami magnitude of 9.3 is comparable to the magnitude 9.1 tsunami that devastated the Tohoku coast of Japan in 2011. Both causative earthquake epicenters occurred in shallow reaches of the subduction zone. Contractile tectonism along the Alaska margin presumably generated the far-field tsunami by producing a seafloor elevation change. However, the Scotch Cap lighthouse was destroyed by a near-field tsunami that was probably generated by a coeval large undersea landslide, yet bathymetric surveys showed no fresh large landslide scar. We investigated this problem by reprocessing five seismic lines, presented here as high-resolution graphic images, both uninterpreted and interpreted, and available for the reader to download. In addition, the processed seismic data for each line are available for download as seismic industry-standard SEG-Y files. One line, processed through prestack depth migration, crosses a 10 × 15 kilometer and 800-meter-high hill presumed previously to be basement, but that instead is composed of stratified rock superimposed on the slope sediment. This image and multibeam bathymetry illustrate a slide block that could have sourced the 1946 near-field tsunami because it is positioned within a distance determined by the time between earthquake shaking and the tsunami arrival at Scotch Cap and is consistent with the local extent of high runup of 42 meters along the adjacent Alaskan coast. The Unimak/Scotch Cap margin is structurally similar to the 2011 Tohoku tsunamigenic margin where a large landslide at the trench, coeval with the Tohoku earthquake, has been documented. Further study can improve our understanding of tsunami sources along Alaska’s erosional margins.

Alaska↗

Geologic structure of the Yucaipa area inferred from gravity data, San Bernardino and Riverside Counties, California

In the spring of 2009, the U.S. Geological Survey, in cooperation with the San Bernardino Valley Municipal Water District, began working on a gravity survey in the Yucaipa area to explore the three-dimensional shape of the sedimentary fill (alluvial deposits) and the surface of the underlying crystalline basement rocks. As water use has increased in pace with rapid urbanization, water managers have need for better information about the subsurface geometry and the boundaries of groundwater subbasins in the Yucaipa area. The large density contrast between alluvial deposits and the crystalline basement complex permits using modeling of gravity data to estimate the thickness of alluvial deposits. The bottom of the alluvial deposits is considered to be the top of crystalline basement rocks. The gravity data, integrated with geologic information from surface outcrops and 51 subsurface borings (15 of which penetrated basement rock), indicated a complex basin configuration where steep slopes coincide with mapped faults―such as the Crafton Hills Fault and the eastern section of the Banning Fault―and concealed ridges separate hydrologically defined subbasins. Gravity measurements and well logs were the primary data sets used to define the thickness and structure of the groundwater basin. Gravity measurements were collected at 256 new locations along profiles that totaled approximately 104.6 km (65 mi) in length; these data supplemented previously collected gravity measurements. Gravity data were reduced to isostatic anomalies and separated into an anomaly field representing the valley fill. The ‘valley-fill-deposits gravity anomaly’ was converted to thickness by using an assumed, depth-varying density contrast between the alluvial deposits and the underlying bedrock. To help visualize the basin geometry, an animation of the elevation of the top of the basement-rocks was prepared. The animation “flies over” the Yucaipa groundwater basin, viewing the land surface, geology, faults, and ridges and valleys of the shaded-relief elevation of the top of the basement complex.

California↗

Indicators of ecosystem structure and function for the Upper Mississippi River System

This report documents the development of quantitative measures (indicators) of ecosystem structure and function for use in a Habitat Needs Assessment (HNA) for the Upper Mississippi River System (UMRS). HNAs are led periodically by the U.S. Army Corps of Engineers’ Upper Mississippi River Restoration (UMRR) Program, which is the primary habitat restoration program on the UMRS. The UMRR Program helps determine how Federal, State and nongovernmental agencies can best address environmental issues on one of the world’s largest and most diverse river systems. Each indicator in this report represents at least one management objective developed for the river system. These objectives were developed in a previous planning effort using an ecosystem management conceptual framework (USACE, 2011). The objectives represent five essential ecosystem characteristics: hydraulics and hydrology, biogeochemistry, geomorphology, habitat, and biota. Subsequent to the 2011 planning effort, the UMRR increased its focus on improving the health and resilience of the UMRS. The indicators presented here are based on the five essential ecosystem characteristics and four aspects of ecosystems thought to support general ecosystem resilience (the ability of an ecosystem to adapt and respond to disturbances): (1) connectivity, (2) diversity and redundancy, (3) controlling variables, and (4) slow processes. Thus, we developed indicators that quantify both essential ecosystem characteristics and characteristics of a resilient river system. The indicators documented in this report focus on important aspects of river floodplain hydrogeomorphology, given the fundamental role hydrogeomorphology plays in determining habitat conditions and ecosystem health and resilience at broad geographic scales. The information contained within this report provides a broader scale (for example, system-wide) context for management decisions made at finer scales (for example, within river reaches or at project sites) and is designed for use in the formal system-wide Habitat Needs Assessment II (HNA–II) led by the UMRR Program.

Upper Mississippi River System↗

Two-dimensional seismic velocities and structural variations at three British Columbia Hydro and Power Authority (BC Hydro) dam sites, Vancouver Island, British Columbia, Canada

Summary In June, 2017, we acquired seismic data along five linear profiles at three British Columbia Hydro and Power Authority (BC Hydro, a Canadian provincial Crown Corporation) dam sites (John Hart, Ladore, and Strathcona Dams) on Vancouver Island, British Columbia, Canada. We also attempted to acquire linear seismic profiles at two additional BC Hydro dam sites (Ruskin Dam and Stave Falls Dam) east of the City of Vancouver, British Columbia, Canada; however, due to a seismograph programming error, little active-source data from Ruskin Dam and Stave Falls Dam were recorded. Thus, results from Ruskin Dam and Stave Falls Dam are not included in this report. At the three dam sites with successful data acquisition, we acquired both active- and passive-source data. Data acquisition details for each of the three dam sites varied in terms of seismic sources, the number of seismographs, and profile length and orientation. However, for active-source acquisition at each dam site, we acquired one or more linear seismic profiles ranging in length from about 150 to 400 meters (m), and along each profile, seismograph spacing was either 3 m or 5 m (see appendix 1). All data were recorded in three components (vertical and two horizontals). To greatly increase the resolution of the seismic velocity structure along these profiles, we co-located active sources at each seismograph.

British Columbia↗

Structured decision making and optimal bird monitoring in the northern Gulf of Mexico

The avian conservation community struggles to design and implement large scale, long-term coordinated bird monitoring programs within the northern Gulf of Mexico due to the complexity of the conservation enterprise in the region; this complexity arises from the diverse stakeholders, multiple jurisdictions, complex ecological processes, myriad habitats, and over 500 species of birds using the region for at least some part of their annual cycle. In addition, long-term monitoring over large spatial scales is difficult because of the need for monitoring data to both (1) evaluate management and restoration outcomes, and (2) provide reliable information about the status and trends of bird populations over time. To address these challenges, the Gulf of Mexico Avian Monitoring Network developed a problem statement: “How can a cost-effective monitoring strategy for the Gulf Coast bird community and ecosystem be developed that evaluates ongoing conservation activities and chronic and acute threats; maximizes learning; and is flexible and holistic enough to detect novel ecological threats and evaluate new and emerging conservation activities?” A structured decision-making framework was then used to articulate and quantify stakeholder values related to the problem statement. One use of the stakeholder values was to develop a regional, strategic plan for bird monitoring, which is presented elsewhere. A formal and complete decision support tool for conservation investments in monitoring and research guided by the stakeholder values is presented in this report. The technical aspects of the stakeholder value model and a portfolio analysis that could be used to guide decision making when allocating resources for monitoring activities is described. Whereas the decision analysis presented here could be useful to any decision maker faced with difficult choices about resource allocation, it is designed for decision makers who request monitoring study proposals and then determine which combination of proposals to fund. The portfolio decision support tool is designed to help funding agencies and organizations identify resource allocation strategies to maximize stated objectives. To begin the decision analysis, an objectives hierarchy and quantitative performance metrics from the values of the Gulf of Mexico bird conservation community were created by a panel of regional stakeholders. Each fundamental objective and sub-objective in the hierarchy is composed of several performance metrics. To test the decision support tool, the authors evaluated a combination of monitoring study proposals written for the region and simulated proposals. Each proposal was scored against the performance metrics and used multi-attribute utility theory to combine the multiple objectives into a measure of total monitoring benefit. The total monitoring benefit and costs of each proposal were then used in a constrained optimization routine to identify optimal monitoring portfolios, that is, a combination of activities that maximizes monitoring benefits while meeting cost and other constraints of interest to stakeholders. A graphical solution based on the concept of Pareto efficiency, which is useful in situations when cost constraints and exact budgets are not known, is also provided. Finally, an evaluation of the sensitivity of the decision-making framework to the weights assigned to objectives by stakeholders is included. This decision support tool allows decision makers to identify an optimal suite of monitoring proposals with a transparent portfolio analysis that includes user-defined constraints (such as costs).

Alabama, Florida, Louisiana, Mississippi, Texas↗

Structure contour and isopach maps of the Wolfcamp shale and Bone Spring Formation of the Delaware Basin, Permian Basin Province, New Mexico and Texas

A series of structure contour and isopach maps for the Wolfcamp shale and the Bone Spring Formation of the Delaware Basin, Permian Basin Province, were generated in support of the U.S. Geological Survey 2018 assessment of undiscovered continuous oil and gas resources. The interpreted formation tops used to generate the maps are from the IHS Markit® PRODFit™ database, a commercial proprietary database. The maps in this report are reflective of the stratigraphic units on the IHS Markit type log from southeast Eddy County, New Mexico.

New Mexico, Texas↗

Processing coastal imagery with Agisoft Metashape Professional Edition, version 1.6—Structure from motion workflow documentation

Introduction Structure from motion (SFM) has become an integral technique in coastal change assessment; the U.S. Geological Survey (USGS) used Agisoft Metashape Professional Edition photogrammetry software to develop a workflow that processes coastline aerial imagery collected in response to storms since Hurricane Florence in 2018. This report details step-by-step instructions to create three-dimensional (3D) spatial products from both singular and repeated collections of shoreline aerial imagery. The products can be used for real-time hazard guidance and future forecasting and recovery endeavors.

Open-File Report↗

Mapping structural control through analysis of land-surface deformation for the Rialto-Colton groundwater subbasin, San Bernardino County, California, 1992–2010

The locations of many faults in and near the Rialto-Colton groundwater subbasin are not precisely known because the spatial density of existing lithologic and hydrologic data used to infer the locations of faults can be sparse. The U.S. Geological Survey, in cooperation with the San Bernardino Valley Municipal Water District, analyzed structural control of groundwater flow in and near the Rialto-Colton groundwater subbasin using Interferometric Synthetic Aperture Radar (InSAR) methods. Faults commonly are barriers to groundwater flow, and the high spatial resolution of InSAR imagery can be used to infer the locations of buried faults where groundwater pumping occurs. InSAR results have revealed three areas in and near the Rialto-Colton groundwater subbasin where buried faults are interpreted as groundwater-flow barriers: the northwestern area about 3 miles northwest of the City of Rialto, the San Jacinto fault area west of the City of San Bernardino, and the southeastern area about 2 miles southeast of the City of Colton. The InSAR results were combined with knowledge gained from previous studies to better define the location and extent of faults acting as groundwater-flow barriers. New data about faults acting as groundwater-flow barriers can be incorporated into future conceptual and hydrologic models of the Rialto-Colton groundwater subbasin and provide water managers information to help effectively manage groundwater resources.

California↗

Monitoring fish abundance and behavior, using multi-beam acoustic imaging sonar, at a Selective Water Withdrawal structure in Lake Billy Chinook, Deschutes River, Oregon, 2020

Collection of juvenile salmonids at Round Butte Dam is a critical part of the effort to enhance populations of anadromous fish species in the upper Deschutes River because fish that are not collected at the dam may either incur increased mortality during dam passage or remain landlocked and lost to the anadromous fish population. Adaptive resolution imaging sonar systems were used to assess the behavior, abundance, and timing of fish at the entrance to the Selective Water Withdrawal (SWW) intake and fish collection structure located in the forebay of Round Butte Dam during the spring of 2020. The purpose of the SWW is to direct surface currents in the forebay to attract and collect downriver migrating juvenile salmonid smolts (Chinook salmon [ Oncorhynchus tshawytscha ], sockeye salmon [ O. nerka ], and steelhead [ O. mykiss ]) from Lake Billy Chinook and to enable operators of the SWW to withdraw water from surface and benthic elevations in the reservoir to manage downriver water temperatures. The objective of this study was to assess the abundance and behaviors of smolt-size fish (95–300 millimeters) observed near the SWW and to determine if the presence of bull trout ( Salvelinus confluentus; >350 millimeters), the predominant predator of juvenile salmonids, influenced the behavior of downriver migrants. Two imaging sonar units were deployed during the spring of 2020 smolt out-migration period. One unit monitored fish movements near the entrances and one unit monitored in one of the collection flumes of the SWW. The imaging sonar technology was informative for assessing abundance and spatial and temporal behaviors of smolt and bull trout-size fish. Smolt and bull trout-size fish were regularly observed near the entrance to and in the collection flume. Increased abundances were observed during the night, with corresponding increased discharge through the SWW, compared to during the day when discharge was reduced. Behavioral differences also were observed at different discharge rates, with smolt-size fish exhibiting more directed movement toward the collector during periods of increased discharge. Additionally, the presence of bull trout-size fish may have affected the behavior of smolt-size fish because a greater percentage of smolt-size fish were observed traveling away from the SWW when bull trout-size fish were present than when bull trout-size fish were absent. Increased counts of bull trout-size fish coincided with the increased abundances of smolt-size fish. Overall, the results indicate that smolt-size fish are more abundant near the entrance and in the flume of the SWW during periods of increased discharge, and bull trout-size fish were present at the SWW and may have affected smolt collection.

Oregon↗

Forest structure and residual tree growth at the Northwest Gateway project area, Lassen Volcanic National Park, California

Mechanical thinning and prescribed fire are common mitigation treatments to reduce fire hazards. However, these treatments are infrequently applied together within national parks. The Northwest Gateway project at Lassen Volcanic National Park is an exception to this pattern. Various thinning prescriptions were applied to the project area in 2014, with a subset of the area prescribed burned in 2018 and 2019. To determine responses to these treatments, we analyzed forest structure and fuels data across a network of long-term monitoring plots measured before treatments and in multiple years following treatments. Additionally, we assessed patterns in individual tree growth from cores taken from 101 individual yellow pines (ponderosa pine, Pinus ponderosa Douglas ex Lawson & C. Lawson, and Jeffery pine, P. jeffreyi Grev. & Balf.) within the project unit. Basal area and stem density were reduced following thinning treatments for pole-sized (≤15-centimeter diameter at base height) and overstory trees (>15-centimeter diameter at base height), with sharper reductions in pole-sized trees. Proportional change in live basal area after thinning was highest for pole-size Abies , with more than 80-percent basal area and stem density removed on average. There were large reductions in pole-sized Pinus and Populus . However, Populus trees were not targeted for removal, suggesting that these trees died via other mechanisms. Thinning treatments also resulted in reductions in stand density index values and in surface fuel loading when followed by prescribed fire, particularly for small fuels size classes (such as litter/duff, 1-hour, and 10-hour fuels). Growth of individual residual yellow pine, measured in terms of annual basal area increment, indicated a strong growth release in the years following thinning treatments. Taken together, these results indicate that forest restoration treatments at the Northwest Gateway project area were effective at reducing stand density and encouraging growth of residual Pinus . Interestingly, our results also indicated that although thinning followed by prescribed fire was most effective at reducing surface fuel loads, harvest techniques such as whole tree yarding may effectively reduce the accumulation of post-treatment residual fuels, especially when combined with hand piling and other targeted treatments.

California↗

Using structured decision making to assess management alternatives to inform the 2024 update of the Minnesota Invasive Carp Action Plan

This report summarizes the results of a structured decision making process started by the Minnesota Department of Natural Resources to develop and evaluate various invasive carp management strategies to inform a 2024 update of the Minnesota Invasive Carp Action Plan. The Minnesota Department of Natural Resources invited State, Federal, Tribal, and nongovernmental organization partners to participate in online and in-person workshops to elicit concerns and perform an expert-based assessment of potential invasive carp management strategies to address those concerns. The participatory group divided into two subgroups: the values team and the technical team. The values team specified 12 management objectives that captured the major interest group concerns. The technical and values teams developed 18 different invasive carp management strategies to compare. The technical team then scored each strategy in terms of how well it met each management objective. The values team weighted the management objectives to assess where tradeoffs might need to be made. The results of this process captured the wide range of partner concerns and technical opinions using a transparent, repeatable, and rigorous method. The analyses suggest that tradeoffs between management efficacy and cost are likely. Furthermore, considerable uncertainty exists among the technical experts regarding which strategy is likely to be most effective or cost-efficient. Followup analyses were done to assess how resolving uncertainty among experts could affect decision making and guide future monitoring efforts.

Illinois, Indiana, Iowa, Minnesota, Missouri, Sout↗

Genetic structure and diversity in wild populations of the Light-footed Ridgway’s Rail reflect 20 years of augmentation through captive breeding and release

Captive breeding and release programs aimed at recovery of rare species can be informed by genetic data to help select high-diversity source populations, make pairing decisions to minimize inbreeding, and manage release strategies. We developed a set of 54 microsatellite loci to assess genetic structure and diversity across the United States range of the Light-footed Ridgway’s Rail ( Rallus obsoletus levipes ), a federally endangered marsh bird for which populations have been augmented by a captive breeding program annually since 2001. We identified three regional genetic clusters, with the highest genetic diversity reported in the central cluster, which included all sampled wetlands in north San Diego County. Recent (2019–24) captive-breeding adults all clustered within the northernmost cluster (Orange and Ventura Counties), which was expected given that this cluster included the source wetland for the captive breeding program. Gene flow rates, which approximate the proportions of individuals in a population originating from other populations, were relatively high among clusters (4–24 percent) and may have been enhanced through the release of captive-bred rails. Based on the genetic data analyzed in a genetic rescue decision framework, sourcing new breeding birds from the north San Diego County cluster could provide the greatest genetic diversity benefits. The northernmost cluster, which included Mugu Lagoon and all sampled Orange County wetlands, was considered the most in need of genetic rescue. Recent breeding pairs in the captive breeding program have comparatively low diversity and high interrelatedness. Sourcing birds from wetlands with high genetic diversity and population sizes, assessing genetic relatedness before pairing, and focusing releases in areas that have low estimates of genetic diversity could improve the distribution of genetic diversity across wild populations in the future.

California↗

Black abalone (Haliotis cracherodii) population density, recruitment, size structure, and population growth at Naval Base Ventura County, San Nicolas Island, California, 2013–22

The range of the endangered black abalone ( Haliotis cracherodii ) is divided into the North Central California region, the Central California region, the Southern California Mainland region, the Channel Islands region, and the Baja California region by the National Marine Fisheries Service for management purposes. San Nicolas Island is one of eight subregions of the Channel Islands region. The black abalone recovery plan establishes five demographic criteria for the possible delisting or downlisting of the species. The U.S. Geological Survey monitors nine long-term intertidal black abalone sites at San Nicolas Island, California, in cooperation with the U.S. Navy, which owns the island. This report uses data collected between 2013 and 2022 and the delisting criteria to analyze and describe the density, recruitment, size structure, and population trends at the nine U.S. Geological Survey monitoring sites at San Nicolas Island.

California↗