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At least 1,711 records · Page 95Linked to original sources

Biochemical and clinical responses of Common Eiders to implanted satellite transmitters

Implanted biologging devices, such as satellite-linked platform transmitter terminals (PTTs), have been used widely to delineate populations and identify movement patterns of sea ducks. Although in some cases these ecological studies could reveal transmitter effects on behavior and mortality, experiments conducted under controlled conditions can provide valuable information to understand the influence of implanted tags on health and physiology. We report the clinical, mass, biochemical, and histological responses of captive Common Eiders ( Somateria mollissima ) implanted with PTTs with percutaneous antennas. We trained 6 individuals to dive 4.9 m for their food, allowed them to acclimate to this dive depth, and implanted them with PTTs. We collected data before surgery to establish baselines, and for 3.5 mo after surgery. The first feeding dive took place 22 hr after surgery, with 5 of 6 birds diving to the bottom within 35 hr of surgery. Plumage waterproofing around surgical sites was reduced ≤21 days after surgery. Mass; albumin; albumin:globulin ratio; aspartate aminotransferase; β 1 -, β 2 -, and γ-globulins; creatine kinase; fecal glucocorticoid metabolites; heterophil:lymphocyte ratio; and packed cell volume changed from baseline on one or more of the postsurgery sampling dates, and some changes were still evident 3.5 mo after surgery. Our findings show that Common Eiders physiologically responded for up to 3.5 mo after surgical implantation of a PTT, with the greatest response occurring within the first few weeks of implantation. These responses support the need for postsurgery censor periods for satellite telemetry data and should be considered when designing studies and analyzing information from PTTs in sea ducks.

The Condor↗

Potential for bias in using hybrids between common carp (Cyprinus carpio) and goldfish (Carassius auratus) in endocrine studies: a first report of hybrids in Lake Mead, Nevada, U.S.A

During a 2008 study to assess endocrine and reproductive health of common carp ( Cyprinus carpio ) in Lake Mead, Nevada (U.S.A.) we identified two fish, one male and one female, as hybrids with goldfish ( Carassius auratus ) based on morphology, lateral line scale count, and lack of anterior barbels. Gross examination of the female hybrid ovaries indicated presence of vitellogenic ovarian follicles; whereas histological evaluation of the male hybrid testes showed lobule-like structures with open lumens but without germ cells, suggesting it was sterile. Because common carp/goldfish hybrids are more susceptible to gonadal tumors and may have different endocrine profiles than common carp, researchers using common carp as a model for endocrine/reproductive studies should be aware of the possible presence of hybrids.

Nevada↗

A simplified field protocol for genetic sampling of birds using buccal swabs

DNA sampling is an essential prerequisite for conducting population genetic studies. For many years, blood sampling has been the preferred method for obtaining DNA in birds because of their nucleated red blood cells. Nonetheless, use of buccal swabs has been gaining favor because they are less invasive yet still yield adequate amounts of DNA for amplifying mitochondrial and nuclear markers; however, buccal swab protocols often include steps (e.g., extended air-drying and storage under frozen conditions) not easily adapted to field settings. Furthermore, commercial extraction kits and swabs for buccal sampling can be expensive for large population studies. We therefore developed an efficient, cost-effective, and field-friendly protocol for sampling wild birds after comparing DNA yield among 3 inexpensive buccal swab types (2 with foam tips and 1 with a cotton tip). Extraction and amplification success was high (100% and 97.2% respectively) using inexpensive generic swabs. We found foam-tipped swabs provided higher DNA yields than cotton-tipped swabs. We further determined that omitting a drying step and storing swabs in Longmire buffer increased efficiency in the field while still yielding sufficient amounts of DNA for detailed population genetic studies using mitochondrial and nuclear markers. This new field protocol allows time- and cost-effective DNA sampling of juveniles or small-bodied birds for which drawing blood may cause excessive stress to birds and technicians alike.

Wilson Journal of Ornithology↗

Tourmaline (dravite) from the Boehls Butte anorthosite, Idaho, U.S.A.

Tourmaline (dravite) from a layered two-plagioclase anorthosite in the Boehls Butte quadrangle, Idaho, has the following structural formula: (Na 0.55 Ca 0.17 ) 0.72 (Mg 1.96 Fe 0.57 Mn 0.01 Ti 0.04 V 0.03 Al 0.47 ) 3.08 Al 6 (BO 3 ) 3.02 Si 5.98 O 18 (OH,F) 3.35 . The indices of refraction are ω = 1.647(1) and ε = 1.621(1), and the unit cell parameters are a = 15.9425(6) and c = 7.1883(3).

Idaho↗

Multiple seismogenic processes for high-frequency earthquakes at Katmai National Park, Alaska: Evidence from stress tensor inversions of fault-plane solutions

The volcanological significance of seismicity within Katmai National Park has been debated since the first seismograph was installed in 1963, in part because Katmai seismicity consists almost entirely of high-frequency earthquakes that can be caused by a wide range of processes. I investigate this issue by determining 140 well-constrained first-motion fault-plane solutions for shallow (depth < 9 km) earthquakes occurring between 1995 and 2001 and inverting these solutions for the stress tensor in different regions within the park. Earthquakes removed by several kilometers from the volcanic axis occur in a stress field characterized by horizontally oriented σ 1 and σ 3 axes, with σ 1 rotated slightly (12°) relative to the NUVEL1A subduction vector, indicating that these earthquakes are occurring in response to regional tectonic forces. On the other hand, stress tensors for earthquake clusters beneath several Katmai cluster volcanoes have vertically oriented σ 1 axes, indicating that these events are occurring in response to local, not regional, processes. At Martin-Mageik, vertically oriented σ 1 is most consistent with failure under edifice loading conditions in conjunction with localized pore pressure increases associated with hydrothermal circulation cells. At Trident-Novarupta, it is consistent with a number of possible models, including occurrence along fractures formed during the 1912 eruption that now serve as horizontal conduits for migrating fluids and/or volatiles from nearby degassing and cooling magma bodies. At Mount Katmai, it is most consistent with continued seismicity along ring-fracture systems created in the 1912 eruption, perhaps enhanced by circulating hydrothermal fluids and/or seepage from the caldera-filling lake.

Alaska↗

A long-term earthquake rate model for the central and eastern United States from smoothed seismicity

I present a long-term earthquake rate model for the central and eastern United States from adaptive smoothed seismicity. By employing pseudoprospective likelihood testing (L-test), I examined the effects of fixed and adaptive smoothing methods and the effects of catalog duration and composition on the ability of the models to forecast the spatial distribution of recent earthquakes. To stabilize the adaptive smoothing method for regions of low seismicity, I introduced minor modifications to the way that the adaptive smoothing distances are calculated. Across all smoothed seismicity models, the use of adaptive smoothing and the use of earthquakes from the recent part of the catalog optimizes the likelihood for tests with M ≥2.7 and M ≥4.0 earthquake catalogs. The smoothed seismicity models optimized by likelihood testing with M ≥2.7 catalogs also produce the highest likelihood values for M ≥4.0 likelihood testing, thus substantiating the hypothesis that the locations of moderate-size earthquakes can be forecast by the locations of smaller earthquakes. The likelihood test does not, however, maximize the fraction of earthquakes that are better forecast than a seismicity rate model with uniform rates in all cells. In this regard, fixed smoothing models perform better than adaptive smoothing models. The preferred model of this study is the adaptive smoothed seismicity model, based on its ability to maximize the joint likelihood of predicting the locations of recent small-to-moderate-size earthquakes across eastern North America. The preferred rate model delineates 12 regions where the annual rate of M ≥5 earthquakes exceeds 2×10 −3 . Although these seismic regions have been previously recognized, the preferred forecasts are more spatially concentrated than the rates from fixed smoothed seismicity models, with rate increases of up to a factor of 10 near clusters of high seismic activity.

Bulletin of the Seismological Society of America↗

Real-time earthquake detection and alerting behavior of PLUM ground-motion-based early warning in the United States

We examine the real‐time earthquake detection and alerting behavior of the Propagation of Local Undamped Motion (PLUM) earthquake early warning (EEW) algorithm and compare PLUM’s performance with the real‐time performance of the current source‐characterization‐based ShakeAlert System. In the United States (U.S.), PLUM uses a two‐station approach to detect earthquakes. Once a detection is confirmed, observed modified Mercalli intensity (MMI) distributions are forecast onto a regular grid, in which the preferred alert regions are grid cells with MMI 4.0+ forecasts. Although locations of dense station coverage allow PLUM to detect small ( M < 4.5) earthquakes typically not considered for EEW in the U.S., a PLUM detection on a small earthquake does not always generate an alert. This is because PLUM alerts are determined by current shaking distributions. If the MMI 4.0+ shaking subsides prior to detection confirmation by shaking at a second neighboring station, the prior MMI 4.0+ information will not be in the alert forecasts. Of the 432 M 3.0+ U.S. West Coast earthquakes in 2021, 33 produced ground motions large enough to be detected by PLUM. Twenty‐four generated MMI 4.0+ PLUM alerts, whereas ShakeAlert issued public EEW alerts for 13 of these earthquakes. We compare PLUM and ShakeAlert alert regions with ShakeMap and “Did You Feel It?” intensity distributions. Because PLUM alert regions surround stations observed to have strong ground motions (regardless of earthquake magnitude), PLUM alerts reliably include locations that experience significant shaking. This is not necessarily the case for ShakeAlert alert regions when there are large errors in magnitude or epicenter estimates. For two of the largest earthquakes in our real‐time dataset, the M 6.0 Antelope Valley and M 5.1 Petrolia earthquakes, the inclusion of PLUM would have improved real‐time ShakeAlert performance. Our results indicate that incorporation of PLUM into ShakeAlert will improve the robustness of the EEW system.

California, Oregon, Washington↗

Status and performance of the ShakeAlert® earthquake early warning system: 2019-2023

The U.S. Geological Survey (USGS)‐operated ShakeAlert® system is the United States West Coast earthquake early warning system ( Given et al. , 2018 ). In this study we detail ShakeAlert’s performance during some of the largest events seen by the system thus far. Statewide public alerting using ShakeAlert messages was authorized in California in October 2019. Over the next few years, public alerts were expanded into Oregon and then into Washington ( U.S. Geological Survey, 2024 ). ShakeAlert source results are routinely compared to the USGS Comprehensive Catalog (ComCat; Guy et al. , 2015 ; U.S. Geological Survey, Earthquake Hazards Program, 2017 ), which contains the earthquake location and magnitude determined using complete waveform data. M 4.5 and larger is the threshold used for public alerting and was deliberately set below the level where damage is likely to compensate for cases where the system underestimates the magnitude. Between 17 October 2019 and 1 September 2023, the ShakeAlert system created 95 events with maximum magnitude estimates of M ≥4.5, the public alerting threshold. 94 of the 95 events were due to real earthquakes. Seven were categorized “false” per ShakeAlert’s internal definition that there was no matching catalog event within 100 km and 30 s of origin time; however, all but one of these were real earthquakes that were poorly located, primarily because they were at the edges of the seismic network. Three detected events were labeled “missed” because they were very poorly located (>100 km location error). In addition, the system did not produce solutions for four ComCat events M ≥4.5 ( U.S. Geological Survey, Earthquake Hazards Program, 2017 ), which were all at the edge of the alerting and network boundaries. The ShakeAlert system has accurately detected the majority of earthquakes that have occurred within the operational region since completing the public rollout, and alerts from the system have been delivered to millions of cell phone users throughout the West Coast.

California, Oregon, Washington↗

ShakeAlert Earthquake Early Warning System performance during the Mw 7.0 offshore Cape Mendocino earthquake

The 5 December 2024 M w 7.0 Offshore Cape Mendocino earthquake was a challenging test of the U.S. West Coast ShakeAlert earthquake early warning system due to its offshore epicenter and limited near‐source station coverage. We analyzed real‐time performance of all components of the ShakeAlert system, including the seismic algorithms (earthquake point‐source integrated code [EPIC] and Finite‐fault rupture Detector [FinDer]), the geodetic algorithm (Geodetic First Approximation of Size and Time–peak ground displacement [GFAST‐PGD]), and network telemetry during the event. EPIC created the first solution for this earthquake 15 s after origin time with an initial magnitude estimate of M 5.6 and location error of 10 km from the Advanced National Seismic System epicenter. An early spurious trigger from station CE.89101 fortuitously maintained location accuracy and, correspondingly, magnitude accuracy. FinDer contributed its first solution at 18 s with a location estimate closer to the seismic network and produced two distinct rupture geometries, leading to minor fluctuations in estimated intensity contours. GFAST‐PGD did not meet alerting thresholds but otherwise performed as expected. Network latencies were <2 s for most stations, supporting the rapid detection of this earthquake by the system. Roughly five million alerts were delivered to cell phone devices in California and Oregon during this event. This was also the first instance of a school district‐wide ShakeAlert‐powered system being activated. Comparisons to recorded seismograms demonstrate that the maximum warning times before potentially damaging shaking (intensity 6+) were in the range of 5–55 s. Although the ShakeAlert system provided accurate solutions and useful alert delivery, this earthquake raised awareness of potential issues within the system, including the need for improved offshore location estimates, a combination of solutions from ShakeAlert servers, and handling of spurious triggers.

California↗

The Red Atrapa Sismos (Quake Catcher Network in Mexico): assessing performance during large and damaging earthquakes.

The Quake‐Catcher Network (QCN) is an expanding seismic array made possible by thousands of participants who volunteered time and resources from their computers to record seismic data using low‐cost accelerometers (http://qcn.stanford.edu/; last accessed December 2014). Sensors based on Micro‐Electromechanical Systems (MEMS) technology have rapidly improved over the last few years due to the demand of the private sector (e.g., automobiles, cell phones, and laptops). For strong‐motion applications, low‐cost MEMS accelerometers have promising features due to an increasing resolution and near‐linear phase and amplitude response ( Cochran, Lawrence, Christensen, and Jakka, 2009 ; Clayton et al. , 2011 ; Evans et al. , 2014 ). Each volunteer computer monitors ground motion and communicates using the Berkeley Open Infrastructure for Network Computing (BOINC, Anderson, 2004 ). Using a standard short‐term average, long‐term average (STLA) algorithm ( Earle and Shearer, 1994 ; Cochran, Lawrence, Christensen, Chung, 2009 ; Cochran, Lawrence, Christensen, and Jakka, 2009 ), volunteer computer and sensor systems detect abrupt changes in the acceleration recordings. Each time a possible trigger signal is declared, a small package of information containing sensor and ground‐motion information is streamed to one of the QCN servers ( Chung et al. , 2011 ). Trigger signals, correlated in space and time, are then processed by the QCN server to look for potential earthquakes.

Seismological Research Letters↗

Earthquake early warning ShakeAlert 2.0: Public rollout

The ShakeAlert Earthquake Early Warning System is designed to automatically identify and characterize the initiation and rupture evolution of large earthquakes, estimate the intensity of ground shaking that will result, and deliver alerts to people and systems that may experience shaking, prior to the occurrence of shaking at their location. It is configured to issue alerts to locations within the West Coast of the U.S. In 2018, ShakeAlert 2.0 went live in a regional public test in the first phase of a general public rollout. The ShakeAlert system is now providing alerts to over sixty institutional partners in the three states of the Western U.S. where most of the nation’s earthquake risk is concentrated: California, Oregon, and Washington. The ShakeAlert 2.0 product for public alerting is a message containing a polygon enclosing a region predicted to experience Modified Mercalli Intensity ≥ IV for an earthquake of M5.0 or larger, corresponding to moderate-to-strong ground shaking. A polygon format alert is the easiest description for selective re-broadcasting mechanisms (e.g. cell towers) and is a requirement for some mass notification systems such as the Federal Emergency Management Agency’s Integrated Public Alert and Warning System. ShakeAlert 2.0 is tested using historic waveform data consisting of 60 M3.5+ and 25 M5.0+ earthquakes, in addition to other anomalous waveforms. For the historic event test, the average M5+ false alert rate/missed event rate for ShakeAlert 2.0 is 8%/16%, and the M3.5+ false alert rate/missed event rate is 10%/36.7%. Real-time performance metrics are also presented to assess how the system behaves in regions that are well-instrumented, sparsely instrumented, and offshore.

British Columbia, California, Oregon, Washinton↗

Treatment effects on performance of N-fixing lichens in disturbed crusts of the Colorado Plateau

Biological soil crusts arrest soil erosion and supply nitrogen to arid ecosystems. To understand their recovery from disturbance, we studied performances of Collema spp. lichens relative to four experimental treatments plus microtopography of soil pedicels, oriented north-northwest to south-southeast in crusts. At sites in Needles (NDLS) and Island in the Sky (ISKY) districts of Canyonlands National Park, lichens were transplanted to NNW, SSE, ENE, WSW, and TOP pedicel faces and exposed to a full-factorial, randomized block experiment with four treatments: nutrient addition (P and K), soil stabilization with polyacrylamide resin (PAM), added cyanobacterial fiber, and biweekly watering. After 14.5 mo (NDLS) and 24 mo (ISKY), both visual rankings of lichen condition and measures of chlorophyll fluorescence were generally higher at ISKY than on more fertile but less stable soils at NDLS. On ENE and NNW pedicel faces, both these values and nitrogenase activity (NDLS only) exceeded corresponding values on WSW and SSE faces. Treatment effects were site specific and largely negative at NDLS; both nutrient and cyanobacterial addition led to poorer lichen condition, and added nutrients led to reduced fluorescence. Responses to nutrients may have been mediated partly by disturbance of unstable soils and by competition with cyanobacteria. In a separate experiment investigating recruitment responses to adding fungal spores or Nostoc cells, rates of Collema establishment responded significantly to the former but not the latter. Low establishment overall suggests that natural recruitment may occur mainly from iscidia or thallus fragments, not spores. Measured simultaneously on artificial soil pedicels at NDLS and ISKY, both deposition and erosion declined at NDLS across the four pedicel microaspects as: WSW > SSE > NNW > ENE (or ENE > NNW), during fall and spring trials. Patterns were similar at ISKY, but WSW ≈ SSE for spring deposition, and deposition did not differ by microaspect in fall. Greater deposition at ISKY, despite higher abundance of cyanobacteria, may be explained by stronger wind velocities. Together, microtopographic differences in erosion, microclimate, and nutrient regimes help explain variable lichen performance, but microtopography influenced lichen performance more consistently than did any treatment. Demonstrated effects of pedicel development in crust recovery concur with prior surveys showing greatest microbial biomass and/or cover on ENE and NNW exposures at various spatial scales.

Colorado Plateau↗

Protozoal hepatitis in a western burrowing owl ( Athene cunicularia hypugaea )

A western burrowing owl ( Athene cunicularia hypugaea ) found dead in southern California had many light-colored lesions visible grossly on its liver, and histopathology revealed extensive necrosis throughout the hepatic parenchyma. Single-celled organisms were seen in clear spaces within the areas of necrosis. The owl was diagnosed with protozoal hepatitis.

Southwestern Naturalist↗

Biomarkers of exposure and effects of environmental contaminants on swallows nesting along the Rio Grande, Texas, USA

We collected adult cave swallows (Petrochelidon fulva) and cliff swallows (P. pyrrhonota) during the breeding seasons in 1999 and 2000 from eight locations along the Rio Grande from Brownsville to El Paso (unless otherwise specified, all locations are Texas, USA) and an out-of-basin reference location. Body mass, spleen mass, hepatosomatic index (HSI), gonadosomatic index (GSI), thyroxine (T4) in plasma, DNA damage measured as the half-peak coefficient of variation of DNA content (HPCV) in blood cells, as well as acetylcholinesterase and butyrylcholinesterase in brain were compared with concentrations of organochlorines, metals, and metalloids in carcasses to determine potential effects of contaminants on swallows during the breeding season. Concentrations of 1,1-dichloro-2,2-bis(p-chlorophenyl)ethylene (p,p???-DDE) were significantly greater in swallows from El Paso than in those from most locations, except for Pharr and Llano Grande. All swallows from these three locations had p,p???-DDE concentrations of 3 ??g/g wet weight or greater. Swallows from El Paso either had or shared the highest concentrations of p,p???-DDE, polychlorinated biphenyls, and 13 inorganic elements. Swallows from El Paso exhibited greater spleen mass and HPCV values as well as lower T4 values compared with those from other locations. Thyroxine was a potential biomarker of contaminant exposure in swallows of the Rio Grande, because it was negatively correlated with p,p???-DDE and Se. Spleen mass was positively correlated with selenium and HSI and negatively correlated with body mass, GSI, Mn, and Ni. Overall, the present study suggests that insectivorous birds living in areas of high agricultural and industrial activity along the Rio Grande bioaccumulate environmental contaminants. These contaminants, particularly p,p???-DDE, may be among multiple factors that impact endocrine and hematopoietic function in Rio Grande swallows. ?? 2006 SETAC.

Environmental Toxicology and Chemistry↗

Effects of methylmercury exposure on the immune function of juvenile common loons (Gavia immer)

We conducted a dose-response laboratory study to quantify the level of exposure to dietary Hg, delivered as methylmercury chloride (CH3HgCl), that is associated with suppressed immune function in captive-reared common loon (Gavia immer) chicks. We used the phytohemagglutinin (PHA) skin test to assess T-lymphocyte function and the sheep red blood cell (SRBC) hemagglutination test to measure antibody-mediated immunity. The PHA stimulation index among chicks receiving dietary Hg treatment did not differ significantly from those of chicks on the control diet (p = 0.15). Total antibody (immunoglobulin [Ig] M [primary antibody] + IgG [secondary response]) production to the SRBC antigen in chicks treated with dietary methylmercury (MeHg), however, was suppressed (p = 0.04) relative to chicks on control diets. Analysis indicated suppression of total Ig production (p = 0.025 with comparisonwise ?? level = 0.017) between control and 0.4 ??g Hg/g wet food intake treatment groups. Furthermore, the control group exhibited a higher degree of variability in antibody response compared to the Hg groups, suggesting that in addition to reducing the mean response, Hg treatment reduced the normal variation attributable to other biological factors. We observed bursal lymphoid depletion in chicks receiving the 1.2 ??g Hg/g treatment (p = 0.017) and a marginally significant effect (p = 0.025) in chicks receiving the 0.4 ??g Hg/g diet. These findings suggest that common loon chick immune systems may be compromised at an ecologically relevant dietary exposure concentration (0.4 ??g Hg/g wet wt food intake). We also found that chicks hatched from eggs collected from low-pH lakes exhibited higher levels of lymphoid depletion in bursa tissue relative to chicks hatched from eggs collected from neutral-pH lakes. ?? 2007 SETAC.

Environmental Toxicology and Chemistry↗

Effects of ammonium perchlorate on the reproductive performance and thyroid follicle histology of zebrafish

Adult zebrafish were reared up to eight weeks in control water or in water containing ammonium perchlorate (AP) at measured perchlorate concentrations of 18 (environmentally relevant, high) and 677 ppm. Groups of eight females were paired with four males on a weekly basis to assess AP effects on spawned egg volume, an index of reproductive performance. All treatments were applied to four to five spawning replicates. At 677 ppm, spawn volume was reduced within one week and became negligible after four weeks. At 18 ppm, spawn volume was unaffected even after eight weeks. Also, perchlorate at 18 ppm did not affect percentage egg fertilization. Fish were collected at the end of the exposures (677 ppm, four weeks; control and 18 ppm, eight weeks) for whole-body perchlorate content and thyroid histopathological analysis. Fish perchlorate levels were about one-hundredth of those of treatment water levels, indicating that waterborne perchlorate does not accumulate in whole fish. At 677 ppm for four weeks, perchlorate caused thyroid follicle cell (nuclear) hypertrophy and angiogenesis, whereas at 18 ppm for eight weeks, its effects were more pronounced and included hypertrophy, angiogenesis, hyperplasia, and colloid depletion. In conclusion, an eight-week exposure of adult zebrafish to 18 ppm perchlorate (high environmentally relevant concentrations) affected the histological condition of their thyroid follicles but not their reproductive performance. The effect of 677 ppm perchlorate on reproduction may be due to extrathyroidal toxicity. Further research is needed to determine if AP at lower environmentally relevant concentrations also affects the thyroid follicles of zebrafish.

Conference Paper↗

Hydrodynamic modeling of juvenile mussel dispersal in a large river: The potential effects of bed shear stress and other parameters

Because unionid mussels have a parasitic larval stage, they are able to disperse upstream and downstream as larvae while attached to their host fish and with flow as juveniles after excystment from the host. Understanding unionid population ecology requires knowledge of the processes that affect juvenile dispersal prior to establishment. We examined presettlement (transport and dispersion with flow) and early postsettlement (bed shear stress) hydraulic processes as negative censoring mechanisms. Our approach was to model dispersal using particle tracking through a 3-dimensional flow field output from hydrodynamic models of a reach of the Upper Mississippi River. We tested the potential effects of bed shear stress (??b) at 5 flow rates on juvenile mussel dispersal and quantified the magnitude of these effects as a function of flow rate. We explored the reach-scale relationships of Froude number (Fr), water depth (H), local bed slope (S), and unit stream power (QS) with the likelihood of juvenile settling (??). We ran multiple dispersal simulations at each flow rate to estimate ??, the parameter of a Poisson distribution, from the number of juveniles settling in each grid cell, and calculated dispersal distances. Virtual juveniles that settled in areas of the river where b > critical shear stress (c) were resuspended in the flow and transported further downstream, so we ran simulations at 3 different conditions for ??c (??c = ??? no resuspension, 0.1, and 0.05 N/m2). Differences in virtual juvenile dispersal distance were significantly dependent upon c and flow rate, and effects of b on settling distribution were dependent upon c. Most simulations resulted in positive correlations between ?? and ??b, results suggesting that during early postsettlement, ??b might be the primary determinant of juvenile settling distribution. Negative correlations between ?? and ??b occurred in some simulations, a result suggesting that physical or biological presettlement processes might determine juvenile settling distributions. Field data are needed to test these hypotheses. Results support the idea that flow patterns and b can act as negative censoring mechanisms controlling settling distributions. Furthermore, a river reach probably has a quantifiable threshold range of flow rates. Above the upper threshold, ??b probably is the primary determinant of juvenile settling distribution. Relationships of ?? with H, Fr, S, and QS were relatively weak. Important physical processes that affect dispersal probably are not captured by approximations based on large-scale hydraulic parameters, such as Fr and H. ?? 2010 The North American Benthological Society.

Conference Paper↗

The use of synthetic jarosite as an analog for natural jarosite

The presence of jarosite in soil or mining waste is an indicator of acidic sulfate-rich conditions. Physical and chemical properties of synthetic jarosites are commonly used as analogs in laboratory studies to determine solubility and acid-generation of naturally occurring jarosites. In our work we have mineralogically and chemically characterized both natural and synthetic jarosites. Analysis of 32 natural hydrothermal and supergene K- and Na-jarosites indicates no (< 5 mole %) solid solution between K and Na end members. Instead, our detailed study of cell dimensions and composition reveals discrete mixtures of K and Na end members. Hydronium-bearing jarosite was detected in only one natural sample, and it appears that hydronium-bearing jarosites are metastable. Although the presence of hydronium in jarosite cannot be directly measured, we found that when synthetic hydronium-bearing jarosites are heated at 120°C for 78 days or 240°C for 24 hours, Fe(OH)SO4 is formed. The Fe(OH)SO4 is easily detected by X-ray diffraction and, hence, can be used as a post-mortem indicator of the presence of hydronium jarosite. Results from our synthetic jarosite studies indicate that natural metastable hydronium-bearing jarosite or iron-deficient forms of natural jarosite likely play an important role in acid generation in some mining wastes, but are not accurately represented by synthetic jarosite prepared by commonly used methods. The widespread practice of heating to at least 110°C after jarosite synthesis appears to drive off structural waters from protonated hydroxyl sites, which changes the properties of the jarosite. Therefore, synthetic jarosite should not be heated above 95 oC if it is to be used as an analog for low-temperature natural jarosite in mining wastes.

Conference Paper↗