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Petrogenesis of garnet two-mica granites in the Ruby Mountains, Nevada

Garnet-two-mica granites of Jurassic (160 ± 3 m.y.) and Cretaceous (83 ± 1.3 m.y.) ages intrude amphibolite facies metasedimentary rocks of Precambrian age and lower Paleozoic sedimentary rocks in the northern part of the Ruby Mountains, Nevada. High initial 87 Sr/ 86 Sr and high values of δ 18 O for minerals suggest a dominantly sedimentary source for the magmas. Total rare-earth contents are low and less fractionated (Ce N /Yb N = 10) than granitic rocks of similar composition in the Sierra Nevada and show a negative Eu anomaly (Eu/Eu* = 0.57). These data are consistent with melting in the stability field of plagioclase with little contribution to the melt from refractory minerals such as zircon, sphene, and apatite. Minor euhedral garnets are manganese-rich and magnesium-poor (al 60 sp 34 py 3.6 gr 2.8 ) compared to garnet (al 79 sp 6 py 13 gr 2 ) in the intruded metamorphic rocks and show an increase in manganese and a decrease in calcium in the outer few microns. Fractionation of magnesium-iron between garnet and biotite, and of sodium-potassium between K-feldspar and plagioclase in the granites suggest submagmatic equilibration temperatures, in the range of 365° to 505°C, whereas oxygen isotope equilibration temperatures for two granites are higher at 480° and 570°C. The compositions of the granites plot near minimum melting compositions in the water-saturated quartz-albite-orthoclase system. Comparison of muscovite plus quartz stability, the water-saturated granite solidus, and experimental garnet-melt equilibria suggests pressures of crystallization no lower than about 3.5 kbar. This pressure is compatible with that estimated from garnet-plagioclase-sillimanite-quartz equilibria for the intruded metasedimentary rocks.

Nevada↗

Nitrogen and phosphorus in the Upper Mississippi River: Transport, processing, and effects on the river ecosystem

Existing research on nutrients (nitrogen and phosphorus) in the Upper Mississippi River (UMR) can be organized into the following categories: (1) Long-term changes in nutrient concentrations and export, and their causes; (2) Nutrient cycling within the river; (3) Spatial and temporal patterns of river nutrient concentrations; (4) Effects of elevated nutrient concentrations on the river; and (5) Actions to reduce river nutrient concentrations and flux. Nutrient concentration and flux in the Mississippi River have increased substantially over the last century because of changes in land use, climate, hydrology, and river management and engineering. As in other large floodplain rivers, rates of processes that cycle nitrogen and phosphorus in the UMR exhibit pronounced spatial and temporal heterogeneity because of the complex morphology of the river. This spatial variability in nutrient processing creates clear spatial patterns in nutrient concentrations. For example, nitrate concentrations generally are much lower in off-channel areas than in the main channel. The specifics of in-river nutrient cycling and the effects of high rates of nutrient input on UMR have been less studied than the factors affecting nutrient input to the river and transport to the Gulf of Mexico, and important questions concerning nutrient cycling in the UMR remain. Eutrophication and resulting changes in river productivity have only recently been investigated the UMR. These recent studies indicate that the high nutrient concentrations in the river may affect community composition of aquatic vegetation (e. g., the abundance of filamentous algae and duckweeds), dissolved oxygen concentrations in off-channel areas, and the abundance of cyanobacteria. Actions to reduce nutrient input to the river include changes in land-use practices, wetland restoration, and hydrological modifications to the river. Evidence suggests that most of the above methods can contribute to reducing nutrient concentration in, and transport by, the UMR, but the impacts of mitigation efforts will likely be only slowly realized. ?? USGS, US Government 2010.

Hydrobiologia↗

Currents, waves and sediment transport around the headland of Pt. Dume, California

Sediment transport past rocky headlands has received less attention compared to transport along beaches. Here we explore, in a field-based study, possible pathways for sediment movement adjacent to Point Dume, a headland in Santa Monica Bay, California. This prominent shoreline feature is a nearly symmetrical, triangular-shaped promontory interior to the Santa Monica Littoral Cell. We collected current, wave, and turbidity data for 74 days during which several wave events occurred, including one associated with a remote hurricane and another generated by the first winter storm of 2014. We also acquired sediment samples to quantify seabed grain-size distributions. Near-bottom currents towards the headland dominated on both of its sides and wave-driven longshore currents in the surf zone were faster on the exposed side. Bed shear stresseswere generated mostly by waves with minor contributions from currents, but both wave-driven and other currents contributed to sediment flux. On the wave-exposed west side of the headland, suspended sediment concentrations correlated with bed stress suggesting local resuspension whereas turbidity levels on the sheltered east side of the headland are more easily explained by advective delivery. Most of the suspended sediment appears to be exported offshore due to flow separation at the apex of the headland but may not move far given that sediment fluxes at moorings offshore of the apex were small. Further, wave-driven sediment flux in the surf zone is unlikely to pass the headland due to the discontinuity in wave forcing that causes longshore transport in different directions on each side of the headland. It is thus unlikely that sand is transported past the headland (specifically in a westerly direction), although some transport of finer fractions may occur offshore in deep water. These findings of minimal sediment flux past Point Dume are consistent with its role as a littoral cell boundary, although more complex multi-stage processes and unusual events may account for some transport at times.

California↗

Evaluating the impacts of foreshore sand and birds on microbiological contamination at a freshwater beach

Beaches along the Great Lakes shorelines are important recreational and economic resources. However, contamination at the beaches can threaten their usage during the swimming season, potentially resulting in beach closures and/or advisories. Thus, understanding the dynamics that control nearshore water quality is integral to effective beach management. There have been significant improvements in this effort, including incorporating modeling (empirical, mechanistic) in recent years. Mechanistic modeling frameworks can contribute to this understanding of dynamics by determining sources and interactions that substantially impact fecal indicator bacteria concentrations, an index routinely used in water quality monitoring programs. To simulate E. coli concentrations at Jeorse Park beaches in southwest Lake Michigan, a coupled hydrodynamic and wave–current interaction model was developed that progressively added contaminant sources from river inputs, avian presence, bacteria–sediment interactions, and bacteria–sand–sediment interactions. Results indicated that riverine inputs affected E. coli concentrations at Jeorse Park beaches only marginally, while avian, shoreline sand, and sediment sources were much more substantial drivers of E. coli contamination at the beach. By including avian and riverine inputs, as well as bacteria–sand–sediment interactions at the beach, models can reasonably capture the variability in observed E. coli concentrations in nearshore water and bed sediments at Jeorse Park beaches. Consequently, it will be crucial to consider avian contamination sources and water-sand-sediment interactions in effective management of the beach for public health and as a recreational resource and to extend these findings to similar beaches affected by shoreline embayment.

Illlinois↗

Assessing roadway contributions to stormwater flows, concentrations, and loads with the StreamStats application

The Oregon Department of Transportation (ODOT) and other state departments of transportation need quantitative information about the percentages of different land cover categories above any given stream crossing in the state to assess and address roadway contributions to water-quality impairments and resulting total maximum daily loads. The U.S. Geological Survey, in cooperation with ODOT and the FHWA, added roadway and land cover information to the online StreamStats application to facilitate analysis of stormwater runoff contributions from different land covers. Analysis of 25 delineated basins with drainage areas of about 100 mi2 indicates the diversity of land covers in the Willamette Valley, Oregon. On average, agricultural, developed, and undeveloped land covers comprise 15%, 2.3%, and 82% of these basin areas. On average, these basins contained about 10 mi of state highways and 222 mi of non-state roads. The Stochastic Empirical Loading and Dilution Model was used with available water-quality data to simulate long-term yields of total phosphorus from highways, non-highway roadways, and agricultural, developed, and undeveloped areas. These yields were applied to land cover areas obtained from StreamStats for the Willamette River above Wilsonville, Oregon. This analysis indicated that highway yields were larger than yields from other land covers because highway runoff concentrations were higher than other land covers and the highway is fully impervious. However, the total highway area was a fraction of the other land covers. Accordingly, highway runoff mitigation measures can be effective for managing water quality locally, they may have limited effect on achieving basin-wide stormwater reduction goals.

Transportation Research Record↗

Chemical variations in Yellowknife Bay formation sedimentary rocks analyzed by ChemCam on board the Curiosity rover on Mars

The Yellowknife Bay formation represents a ~5 m thick stratigraphic section of lithified fluvial and lacustrine sediments analyzed by the Curiosity rover in Gale crater, Mars. Previous works have mainly focused on the mudstones that were drilled by the rover at two locations. The present study focuses on the sedimentary rocks stratigraphically above the mudstones by studying their chemical variations in parallel with rock textures. Results show that differences in composition correlate with textures and both manifest subtle but significant variations through the stratigraphic column. Though the chemistry of the sediments does not vary much in the lower part of the stratigraphy, the variations in alkali elements indicate variations in the source material and/or physical sorting, as shown by the identification of alkali feldspars. The sandstones contain similar relative proportions of hydrogen to the mudstones below, suggesting the presence of hydrous minerals that may have contributed to their cementation. Slight variations in magnesium correlate with changes in textures suggesting that diagenesis through cementation and dissolution modified the initial rock composition and texture simultaneously. The upper part of the stratigraphy (~1 m thick) displays rocks with different compositions suggesting a strong change in the depositional system. The presence of float rocks with similar compositions found along the rover traverse suggests that some of these outcrops extend further away in the nearby hummocky plains.

Journal of Geophysical Research E: Planets↗

Structure of the basins and ranges, Southwest New Mexico, an interpretation of seismic velocity sections

This report presents a geologic appraisal of seismic velocity sections that profile a total of 790 km in southwest New Mexico west of Las Cruces and south of Lordsburg and Deming. The present work outlines the contribution of these velocity sections to estimating areas favorable for mineral resource occurrences. Seismic refraction surveys are carried out with the initial goal of estimating the subsurface distribution of acoustic compressional velocity (Vp), which may ultimately be interpreted to provide information on lithology, geologic structure, and the occurrence of natural resources. The seismic sections presented here show velocity detail having dimensions of 100's to 1000's of meters to a depth of about 2.5 km, and across a net of traverses that profile most basins well as several ranges in the study area. Figure 1 shows the location of the seismic refraction lines. The lines are designated 1, 2, 3, 4, 5, and 7; there is no line 6. The survey covers a broad swath of the southwest Basin and Range Province extending from the Arizona border eastward to the Rio Grande River, and from the Mexican border to about lat. 32° 30' N. Lines 1, 3, and 7 traverse the axis of basins in roughly northsouth directions; the remaining lines 2, 4, and 5 trend east-west and cross various ranges and basins. Seismic data that have been collected in this region include deep-crustal refraction traverses by university scientists and commercial seismic reflection profiles acquired for petroleum exploration. Results of deep-crustal refraction studies are reviewed to provide a regional setting for the higher resolution refraction data. Results from seismic reflection will not be discussed. Industry reflection data in the area are not generally available for non-proprietary use. The nearest reflection data publicly available are in the Socorro area, about 80 km north of the present study area (Brown and others, 1980). These data were acquired by the Consortium for Continental Reflection Profiling (COCORP), a public-supported research group, to investigate the possibility of magma beneath part of the Rio Grande valley. Up to 1978 there were about 36 deep borings in the region of southwest New Mexico (Thompson and others, 1978). This drilling resulted mainly from an evaluation of petroleum potential of the Pedrogosa basin which is an extensive area of Paleozoic subsidence in Arizona, New Mexico, and Mexico that accumulated about three kilometers of Paleozoic sedimentary rock (Zeller, 1965; Thompson and others, 1978). Of these drill holes, 25 are close enough to the present seismic sections to provide correlations of velocity to lithology, and to provide an estimate of the errors associated with depth-to-interface interpretations. This information is summarized prior to considering the implications of the seismic sections in detail. The major portion of the report centers around two plates: Plate I shows seismic lines and selected drill hole locations superimposed on gravity contours, and Plate II shows velocitysections with drill hole summaries. These plates provide the foundation for developing inferences on buried lithologic, structural, and mineral resources for the region.

New Mexico↗

Key components and contrasts in the nitrogen budget across a US-Canadian transboundary watershed

Watershed nitrogen (N) budgets provide insights into drivers and solutions for groundwater and surface water N contamination. We constructed a comprehensive N budget for the transboundary Nooksack River Watershed (British Columbia, Canada, and Washington, USA) using locally derived data, national statistics, and standard parameters. Feed imports for dairy (mainly in the United States) and poultry (mainly in Canada) accounted for 30% and 29% of the total N input to the watershed, respectively. Synthetic fertilizer was the next largest source contributing 21% of inputs. Food imports for humans and pets together accounted for 9% of total inputs, lower than atmospheric deposition (10%). N imported by returning salmon representing marine‐derived nutrients accounted for <0.06% of total N input. Quantified N export was 80% of total N input, driven by ammonia emission (32% of exports). Animal product export was the second largest output of N (31%) as milk and cattle in the United States and poultry products in Canada. Riverine export of N was estimated at 28% of total N export. The commonly used crop nitrogen use efficiency (NUE) metric alone did not provide sufficient information on farming activities but in combination with other criteria such as farm‐gate NUE may better represent management efficiency. Agriculture was the primary driver of N inputs to the environment as a result of its regional importance; the N budget information can inform management to minimize N losses. The N budget provides key information for stakeholders across sectors and borders to create environmentally and economically viable and effective solutions.

Washington, British Columbia↗

Influence of welded boundaries in anelastic media on energy flow, and characteristics of P, S-I, and S-II waves: Observational evidence for inhomogeneous body waves in low-loss solids

A general computer code, developed to calculate anelastic reflection-refraction coefficients, energy flow, and the physical characteristics for general P , S -I, and S -II waves, quantitatively describes physical characteristics for wave fields in anelastic media that do not exist in elastic media. Consideration of wave fields incident on boundaries between anelastic media shows that scattered wave fields experience reductions in phase and energy speeds, increases in maximum attenuation and Q −1 , and directions of maximum energy flow distinct from phase propagation. Each of these changes in physical characteristics are shown to vary with angle of incidence. Finite relaxation times for anelastic media result in energy flow due to interaction of superimposed radiation fields and contribute to energy flow across anelastic boundaries for all angles of incidence. Agreement of theoretical and numerical results with laboratory measurements argues for the validity of the theoretical and numerical formulations incorporating inhomogeneous wave fields. The agreement attests to the applicability of the model and helps confirm the existence of inhomogeneous body waves and their associated set of distinct physical characteristics in the earth. The existence of such body waves in layered, low-loss anelastic solids implies the need to reformulate some seismological models of the earth. The exact anelastic formulation for a liquid-solid interface with no low-loss approximations predicts the existence of a range of angles of incidence or an anelastic Rayleigh window, through which significant amounts of energy are transmitted across the boundary. The window accounts for the discrepancy apparent between measured reflection data presented in early textbooks and predictions based on classical elasticity theory. Characteristics of the anelastic Rayleigh window are expected to be evident in certain sets of wide-angle, ocean-bottom reflection data and to be useful in estimating Q −1 for some ocean bottom reflectors.

Journal of Geophysical Research B: Solid Earth↗

Understanding the influence of predation by introduced fishes on juvenile salmonids in the Columbia River Basin: Closing some knowledge gaps. Interim Report of Research 2010

Project overview Predation on juvenile salmonids by fish in the Columbia River Basin (CRB) has impacted salmon survival and is a topic that has received considerable attention over the last three decades. Some of the earliest and most detailed research focused on the food habits, consumption rates, abundance, and distribution of predaceous northern pikeminnow Ptychocheilus oregonensis , smallmouth bass Micropterus dolomieu , walleye Sander vitreus , and channel catfish Ictalurus punctatus in John Day Reservoir (Beamesderfer and Rieman 1991; Poe et al. 1991; Vigg et al. 1991). This group of researchers also estimated the loss of juvenile salmonids to predation by some of these predators (Rieman et al. 1991). Since this pioneering effort, others have evaluated various aspects of predation-related mortality on juvenile salmonids in the CRB, focusing mostly on northern pikeminnow and smallmouth bass (e.g., Tabor et al. 1993; Zimmerman 1999; Naughton et al. 2004). Perhaps the most significant finding coming from this body of research was that the native northern pikeminnow was the dominant predator of juvenile salmonids in the CRB. Indeed, Beamesderfer et al. (1996) estimated that northern pikeminnow consumed about 16 million (8%) of the estimated 200 million juvenile salmonids emigrating annually in the CRB, far surpassing the consumption of smallmouth bass, walleye, and channel catfish combined. Because of this, large-scale management fisheries (i.e., the northern pikeminnow management program, or NPMP; see Rieman and Beamesderfer 1990; Beamesderfer et al. 1996) have been implemented in the CRB since 1990 to achieve a 10%&ndash;20% exploitation rate on northern pikeminnow and reduce predation on juvenile salmonids. The NPMP has been a success, resulting in up to 38% potential reductions in predation (Friesen and Ward 1999; Knutsen and Ward 1999; Ward and Zimmerman 1999;). In contrast to the NPMP, Oregon and Washington state fish and wildlife agencies manage and enhance recreational fisheries for smallmouth bass and walleye by implementing size and harvest limit regulations. Recently, many biologists and fish managers have become concerned about the impact of non-native predaceous fishes on juvenile salmonid survival. For example, Poe et al. (1994) warned that smallmouth bass, walleye, and channel catfish were expanding their populations in some areas, that these fish could be significant predators on juvenile salmonids, and that they may compete with northern pikeminnow for common prey items, resulting in higher consumption rates of salmonids by the native predator. Sanderson et al. (2009) reported that the impact of non-indigenous species (including piscivorous fishes) on salmon survival within the CRB can be severe and suggested that managing nonindigenous species may be imperative for salmon recovery. Assessing the current ecological impacts of introduced fishes throughout the CRB will fill information gaps associated with their impact on salmonid survival and contribute to the description of CRB food webs. In response to these recent concerns about the potential predatory impact of non-native piscivores on salmon survival, the Bonneville Power Administration (BPA) and the Columbia Basin Fish and Wildlife Authority (CBFWA) co-hosted a workshop to address predation on juvenile salmonids in the CRB by non-native fish (Halton 2008). The purpose of the workshop was to review, evaluate, and develop strategies to reduce predation by non-native fishes on juvenile salmonids. In the end, discussion at the workshop and at subsequent meetings considered two potential ideas to reduce predation by non-native fish on juvenile salmonids; (1) understanding the role of juvenile American shad Alosa sapidissima in the diet of non-native predators in the fall; and (2) the effects of localized, intense reductions of smallmouth bass in areas of particularly high salmonid predation. In this report, we describe initial efforts to understand the influence of juvenile American shad as a prey item for introduced predators in the middle Columbia River. Our first objective, addressed in Chapter 1, was to evaluate the efficacy of nonlethal methods to describe the physiological condition of smallmouth bass, walleye, and channel catfish from late summer through late fall. Such information will be used to understand the contribution of juvenile American shad to the energy reserves of predaceous fish prior to winter. In Chapter 2, we describe the results of some limited sampling to document the food habits of smallmouth bass, walleye, and channel catfish in three reservoirs of the middle Columbia River during late fall. Collectively, we hope to increase our understanding of the contribution of juvenile American shad to the diets of introduced predators and the contribution of this diet to their energy reserves, growth, and perhaps over-winter survival. Managers should be able to use this information for deciding whether to control the population of American shad in the CRB or for managing introduced predaceous fish in the CRB.

Oregon, Washington↗

A cost-benefit analysis of preventative management for zebra and quagga mussels in the Colorado-Big Thompson System

Zebra and quagga mussels are fresh water invaders that have the potential to cause severe ecological and economic damage. It is estimated that mussels cause $1 billion dollars per year in damages to water infrastructure and industries in the United States (Pimentel et al., 2004). Following their introduction to the Great Lakes in the late 1980s, mussels spread rapidly throughout the Mississippi River Basin and the Eastern U.S. The mussel invasion in the West is young. Mussels were first identified in Nevada in 2007, and have since been identified in California, Arizona, Colorado, Utah, and Texas. Western water systems are very different from those found in the East. The rapid spread of mussels through the eastern system was facilitated by connected and navigable waterways. Western water systems are less connected and are characterized by man-made reservoirs and canals. The main vector of spread for mussels in the West is overland on recreational boats (Bossenbroek et al., 2001). In response to the invasion, many western water managers have implemented preventative management programs to slow the overland spread of mussels on recreational boats. In Colorado, the Colorado Department of Wildlife (CDOW) has implemented a mandatory boat inspection program that requires all trailered boats to be inspected before launching in any Colorado water body. The objective of this study is to analyze the costs and benefits of the CDOW boat inspection program in Colorado, and to identify variables that affect the net benefits of preventative management. Predicting the potential economic benefits of slowing the spread of mussels requires integrating information about mussel dispersal potential with estimates of control costs (Keller et al., 2009). Uncertainty surrounding the probabilities of establishment, the timing of invasions, and the damage costs associated with an invasion make a simulation model an excellent tool for addressing "what if" scenarios and shedding light on the net benefits of preventative management strategies. This study builds a bioeconomic simulation model to predict and compare the expected economic costs of the CDOW boat inspection program ot the benefits of reduced expected control costs to water conveyance systems, hydropower generation stations, and minicipal water treatment facilities. The model is based on a case study water delivery and storage system, the Colorado-Big Thompson system. The Colorado-Big Thomspon system is an excellent example of water systems in the Rocky Mountain West. The system is nearly entirely man-made, with all of its reservoirs and delivery points connected via pipelines, tunnels, and canals. The structures and hydropower systems of the Colorado-Big Thompson system are common to other western storage and delivery systems, making the methods and insight developed from this case study transferal to other western systems. The model developed in this study contributes to the bioeconomic literature in several ways. Foremost, the model predicts the spread of dreissena mussels and associated damage costs for a connected water system in the Rocky Mountain West. Very few zebra mussel studies have focused on western water systems. Another distinguishing factor is the simultaneous consideration of spread from propagules introduced by boats and by flows. Most zebra mussel dispersal models consider boater movement patterns combined with limnological characteristics as predictors of spread. A separate set of studies have addressed mussel spread via downstream flows. To the author's knowledge, this is the first study that builds a zebra mussel spread model that specifically accounts for propagule pressure from boat introductions and from downstream flow introductions. By modeling an entire connected system, the study highlights how the spatial layout of a system, and the risk of invasion within a system affect the benefits of preventative management. This report is presented in five chapters. The first chapter provides background information including a history of the zebra mussel invasion in the U.S. and in the West, and details about the Colorado preventative management program and the Colorado-Big Thompson system. The chapter also includes a literature review of mussel dispersal models and economic studies that address control costs and preventative management for aquatic invasive species. Chapter 2 presents the methodological approach used to analyze the costs and benefits of preventative management in the Colorado-Big Thompson system and provides details of the bioeconomic simulation model used to predict invasion patterns and the net benefits of preventative management. Results of the analysis and sensitivity testing of model parameters are presented in Chapter 3. Chapter 4 provides a summary of the analysis and conclusions. A discussion of the limitations of the model and areas for future research is presented in Chapter 5.

Thesis↗

Volatile emissions from the crater and flank of Oldoinyo Lengai volcano, Tanzania

As a comparison to airborne infrared (IR) flux measurements, ground-based sampling of fumarole and soil gases was used to characterize the quiescent degassing of CO 2 from Oldoinyo Lengai volcano. Aerial and ground-based measurements are in good agreement: ∼75% of the aerially measured CO 2 flux at Lengai (0.05–0.06 × 10 12 mol yr −1 or 6000–7200 tonnes CO 2 d −1 ) can be attributed to seven large crater vents. In contrast to Etna and Vulcano Island, where 15–50% of the total CO 2 flux emanates diffusely through the volcanic flanks, diffuse emissions were measured only within 500 m of the crater rim at Lengai, contributing <2% of the total flux. The lack of extensive flank emissions may reflect the dimensions of the magma chamber and/or the lack of a shallow fluid flow system. Thermodynamic restoration of fumarole analyses shows that gases are the most CO 2 -rich and H 2 O-poor reported for any volcano, containing 64–74% CO 2 , 24–34% H 2 O, 0.88–1.0% H 2 , 0.1–0.4% CO and <0.1% H 2 S, HCl, HF, and CH 4 . Volatile emissions of S, Cl, and F at Oldoiyno Lengai are estimated as 4.5, 1.5, and 1.0 × 10 7 mol yr −1 , respectively. Accuracy of the airborne technique was also assessed by measuring the C emission rate from a coal-burning power plant. CO 2 fluxes were measured within ±10% near the plant; however, poor resolution at increased distances caused an underestimation of the flux by a factor of 2. The relatively large CO 2 fluxes measured for alkaline volcanoes such as Oldoinyo Lengai or Etna may indicate that midplate volcanoes represent a large, yet relatively unknown, natural source of CO 2 .

Journal of Geophysical Research B: Solid Earth↗

Cross-sectional associations between drinking water arsenic and urinary inorganic arsenic in the US: NHANES 2003-2014

Background: Inorganic arsenic is a potent carcinogen and toxicant associated with numerous adverse health outcomes. The contribution of drinking water from private wells and regulated community water systems (CWSs) to total inorganic arsenic exposure is not clear. Objectives: To determine the association between drinking water arsenic estimates and urinary arsenic concentrations in the 2003-2014 National Health and Nutrition Examination Survey (NHANES). Methods: We evaluated 11,088 participants from the 2003-2014 NHANES cycles. For each participant, we assigned private well and CWS arsenic levels according to county of residence using estimates previously derived by the US Environmental Protection Agency and US Geological Survey. We used recalibrated urinary dimethylarsinate (rDMA) to reflect the internal dose of estimated water arsenic by applying a previously validated, residual-based method that removes the contribution of dietary arsenic sources. We compared the adjusted geometric mean ratios and corresponding percent change of urinary rDMA across tertiles of private well and CWS arsenic levels, with the lowest tertile as the reference. Comparisons were made overall and stratified by census region and race/ethnicity. Results: Overall, the geometric mean of urinary rDMA was 2.52 (2.30, 2.77) µg/L among private well users and 2.64 (2.57, 2.72) µg/L among CWS users. Urinary rDMA was highest among participants in the West and South, and among Mexican American, Other Hispanic, and Non-Hispanic Other participants. Urinary rDMA levels were 25% (95% CI: 17-34%) and 20% (95% CI: 12-29%) higher comparing the highest to the lowest tertile of CWS and private well arsenic, respectively. The strongest associations between water arsenic and urinary rDMA were observed among participants in the South, West, and among Mexican American and Non-Hispanic White and Black participants. Discussion: Both private wells and regulated CWSs are associated with inorganic arsenic internal dose as reflected in urine in the general US population.

Environmental Research↗

Spatial distribution of the largest rainfall‐runoff floods from basins between 2.6 and 26,000 km2 in the United States and Puerto Rico

We assess the spatial distribution of the largest rainfall‐generated streamflows from a database of 35,663 flow records composed of the largest 10% of annual peak flows from each of 14,815 U.S. Geological Survey stream gaging stations in the United States and Puerto Rico. High unit discharges (peak discharge per unit contributing area) from basins with areas of 2.6 to 26,000 km 2 (1–10,000 mi 2 ) are widespread, but streams in Hawaii, Puerto Rico, and Texas together account for more than 50% of the highest unit discharges. The Appalachians and western flanks of Pacific coastal mountain systems are also regions of high unit discharges, as are several areas in the southern Midwest. By contrast, few exceptional discharges have been recorded in the interior West, northern Midwest, and Atlantic Coastal Plain. Most areas of high unit discharges result from the combination of (1) regional atmospheric conditions that produce large precipitation volumes and (2) steep topography, which enhances precipitation by convective and orographic processes and allows flow to be quickly concentrated into stream channels. Within the conterminous United States, the greatest concentration of exceptional unit discharges is at the Balcones Escarpment of central Texas, where maximum U.S. rainfall amounts apparently coincide with appropriate basin physiography to produce many of the largest measured U.S. floods. Flood‐related fatalities broadly correspond to the spatial distribution of high unit discharges, with Texas having nearly twice the average annual flood‐related fatalities of any other state.

Water Resources Research↗

Evaluating streamwater dissolved organic carbon dynamics in context of variable flowpath contributions with a tracer-based mixing model

This study focuses on characterizing the contributions of key terrestrial pathways that deliver dissolved organic carbon (DOC) to streams during hydrological events and on elucidating factors governing variation in water and DOC fluxes from these pathways. We made high-frequency measurements of discharge, specific conductance (SC), and fluorescent dissolved organic matter (FDOM) during 221 events recorded over 2 years within four Vermont (USA) watersheds that range in area from 0.4 to 139 km 2 . Using the SC measurements, together with statistical information on discharge, we separated the event hydrographs into contributions from three terrestrial pathways, which we refer to as riparian quickflow, subsurface quickflow, and slow-flow groundwater. The pathway discharges were used as input to a mixing model that closely approximated sub-hourly streamwater DOC concentrations as measured with the FDOM sensors. Subsurface quickflow, comprised of pre-event water, was the leading contributor to streamwater DOC fluxes, while riparian quickflow, comprised of event water, was the second-leading contributor to streamwater DOC fluxes, despite comprising the smallest proportion of streamflow yield among the three end-member pathways. Fixed-effects regression analysis revealed that the relationship between DOC fluxes from the end-member pathways and event magnitude was consistent across the four watersheds. This analysis also showed that DOC fluxes from the quickflow pathways increased significantly with temperature and varied inversely, but weakly, with catchment antecedent wetness. We believe that our approach, which leverages in-stream sensors that enable high-frequency measurements over extended periods, may be applicable for evaluating controls on DOC export from other watersheds within and beyond our study region.

New Hampshire, Vermont↗

Globally prevalent land nitrogen memory amplifies water pollution following drought years

Enhanced riverine delivery of terrestrial nitrogen (N) has polluted many freshwater and coastal ecosystems, degrading drinking water and marine resources. An emerging view suggests a contribution of land N memory effects—impacts of antecedent dry conditions on land N accumulation that disproportionately increase subsequent river N loads. To date, however, such effects have only been explored for several relatively small rivers covering a few episodes. Here we introduce an index for quantifying land N memory effects and assess their prevalence using regional observations and global terrestrial-freshwater ecosystem model outputs. Model analyses imply that land N memory effects are globally prevalent but vary widely in strength. Strong effects reflect large soil dissolved inorganic N (DIN) surpluses by the end of dry years. During the subsequent wetter years, the surpluses are augmented by soil net mineralization pulses, which outpace plant uptake and soil denitrification, resulting in disproportionately increased soil leaching and eventual river loads. These mechanisms are most prominent in areas with high hydroclimate variability, warm climates, and ecosystem disturbances. In 48 of the 118 basins analyzed, strong memory effects produce 43% (21%–88%) higher DIN loads following drought years than following average years. Such a marked influence supports close consideration of prevalent land N memory effects in water-pollution management efforts.

Environmental Research Letters↗

Seismic velocity anisotropy and heterogeneity beneath the Mantle Electromagnetic and Tomography Experiment (MELT) region of the East Pacific Rise from analysis of P and S body waves

We use teleseismic P and S delay times and shear wave splitting measurements to constrain isotropic and anisotropic heterogeneity in the mantle beneath the southern East Pacific Rise (SEPR). The data comprise 462 P and S delay times and 18 shear wave splitting observations recorded during the Mantle Electromagnetic and Tomography (MELT) Experiment. We estimate the mantle melt content (F) and temperature (T) variation from the isotropic velocity variation. Our results indicate that the maximum variation in F beneath our array is between zero and ???1.2%, and maximum variation in T is between zero and ???100 K. We favor an explanation having partial contributions from both T and F. We approximate the seismic anisotropy of the upper mantle with hexagonal symmetry, consistent with the assumption of two dimensionality of mantle flow. Our new tomographic technique uses a nonlinear inversion of P and slow S polarization delay times to simultaneously solve for coupled VP and VS heterogeneity throughout the model and for the magnitude of anisotropy within discrete domains. The domain dimensions and the dip of the anisotropy are fixed for each inversion but are varied in a grid search, obtaining the misfit of the models to the body wave delay data and to split times of vertically propagating S waves. The data misfit and the isotropic heterogeneity are sensitive to domain dimensions and dip of anisotropy. In a region centered beneath the SEPR the best average dip of the hexagonal symmetry axis is horizontal or dipping shallowly (<30??) west. Given the resolution of our data, a subaxial region characterized by vertically aligned symmetry axes may exist but is limited to be <80 km deep. We infer that the mantle flow beneath the SEPR is consistent with shallow asthenospheric return flow from the direction of the South Pacific superswell.

Journal of Geophysical Research B: Solid Earth↗

Ephemerality of discrete methane vents in lake sediments

Methane is a potent greenhouse gas whose emission from sediments in inland waters and shallow oceans may both contribute to global warming and be exacerbated by it. The fraction of methane emitted by sediments that bypasses dissolution in the water column and reaches the atmosphere as bubbles depends on the mode and spatiotemporal characteristics of venting from the sediments. Earlier studies have concluded that hot spots&mdash;persistent, high-flux vents&mdash;dominate the regional ebullitive flux from submerged sediments. Here the spatial structure, persistence, and variability in the intensity of methane venting are analyzed using a high-resolution multibeam sonar record acquired at the bottom of a lake during multiple deployments over a 9 month period. We confirm that ebullition is strongly episodic, with distinct regimes of high flux and low flux largely controlled by changes in hydrostatic pressure. Our analysis shows that the spatial pattern of ebullition becomes homogeneous at the sonar's resolution over time scales of hours (for high-flux periods) or days (for low-flux periods), demonstrating that vents are ephemeral rather than persistent, and suggesting that long-term, lake-wide ebullition dynamics may be modeled without resolving the fine-scale spatial structure of venting.

Geophysical Research Letters↗