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At least 1,783 records · Page 99Linked to original sources

A deposit model for magmatic iron-titanium-oxide deposits related to Proterozoic massif anorthosite plutonic suite

This descriptive model for magmatic iron-titanium-oxide (Fe-Ti-oxide) deposits hosted by Proterozoic age massif-type anorthosite and related rock types presents their geological, mineralogical, geochemical, and geoenvironmental attributes. Although these Proterozoic rocks are found worldwide, the majority of known deposits are found within exposed rocks of the Grenville Province, stretching from southwestern United States through eastern Canada; its extension into Norway is termed the Rogaland Anorthosite Province. This type of Fe-Ti-oxide deposit dominated by ilmenite rarely contains more than 300 million tons of ore, with between 10- to 45-percent titanium dioxide (TiO 2 ), 32- to 45-percent iron oxide (FeO), and less than 0.2-percent vanadium (V). The origin of these typically discordant ore deposits remains as enigmatic as the magmatic evolution of their host rocks. The deposits clearly have a magmatic origin, hosted by an age-constrained unique suite of rocks that likely are the consequence of a particular combination of tectonic circumstances, rather than any a priori temporal control. Principal ore minerals are ilmenite and hemo-ilmenite (ilmenite with extensive hematite exsolution lamellae); occurrences of titanomagnetite, magnetite, and apatite that are related to this deposit type are currently of less economic importance. Ore-mineral paragenesis is somewhat obscured by complicated solid solution and oxidation behavior within the Fe-Ti-oxide system. Anorthosite suites hosting these deposits require an extensive history of voluminous plagioclase crystallization to develop plagioclase-melt diapirs with entrained Fe-Ti-rich melt rising from the base of the lithosphere to mid- and upper-crustal levels. Timing and style of oxide mineralization are related to magmatic and dynamic evolution of these diapiric systems and to development and movement of oxide cumulates and related melts. Active mines have developed large open pits with extensive waste-rock piles, but because of the nature of the ore and waste rock, the major environmental impacts documented at the mine sites are reported to be waste disposal issues and somewhat degraded water quality.

Scientific Investigations Report↗

A deposit model for magmatic iron-titanium-oxide deposits related to Proterozoic massif anorthosite plutonic suites

This descriptive model for magmatic iron-titanium-oxide (Fe-Ti-oxide) deposits hosted by Proterozoic age massif-type anorthosite and related rock types presents their geological, mineralogical, geochemical, and geoenvironmental attributes. Although these Proterozoic rocks are found worldwide, the majority of known deposits are found within exposed rocks of the Grenville Province, stretching from southwestern United States through eastern Canada; its extension into Norway is termed the Rogaland Anorthosite Province. This type of Fe-Ti-oxide deposit dominated by ilmenite rarely contains more than 300 million tons of ore, with between 10- to 45-percent titanium dioxide (TiO 2 ), 32- to 45-percent iron oxide (FeO), and less than 0.2-percent vanadium (V). The origin of these typically discordant ore deposits remains as enigmatic as the magmatic evolution of their host rocks. The deposits clearly have a magmatic origin, hosted by an age-constrained unique suite of rocks that likely are the consequence of a particular combination of tectonic circumstances, rather than any a priori temporal control. Principal ore minerals are ilmenite and hemo-ilmenite (ilmenite with extensive hematite exsolution lamellae); occurrences of titanomagnetite, magnetite, and apatite that are related to this deposit type are currently of less economic importance. Ore-mineral paragenesis is somewhat obscured by complicated solid solution and oxidation behavior within the Fe-Ti-oxide system. Anorthosite suites hosting these deposits require an extensive history of voluminous plagioclase crystallization to develop plagioclase-melt diapirs with entrained Fe-Ti-rich melt rising from the base of the lithosphere to mid- and upper-crustal levels. Timing and style of oxide mineralization are related to magmatic and dynamic evolution of these diapiric systems and to development and movement of oxide cumulates and related melts. Active mines have developed large open pits with extensive waste-rock piles, but because of the nature of the ore and waste rock, the major environmental impacts documented at the mine sites are reported to be waste disposal issues and somewhat degraded water quality.

Scientific Investigations Report↗

Revisions to the Virginia Coastal Plain hydrogeologic framework southwest of the James River

New drilling information reveals that altitudes of some hydrogeologic units of the Virginia Coastal Plain aquifer system differ by as much as 50 feet (ft) from those previously known, namely the Aquia and Potomac aquifers, the Potomac confining zone, and the Nanjemoy-Marlboro and Saint Marys confining units. In addition, the lateral margins of some hydrogeologic units are located as much as several miles from previously estimated locations. The largest revisions to unit margins were for the Aquia aquifer and the Nanjemoy-Marlboro and Saint Marys confining units. Interpretation of new geophysical logs, sediment core, and cuttings as well as revised interpretations to existing data indicate channels and embayments are also preserved on eroded top surfaces of the shallowest hydrogeologic units including the Yorktown confining zone, Yorktown-Eastover aquifer, Saint Marys confining unit, Potomac confining zone, and Potomac aquifer. Enhanced details on the configuration of part of the aquifer system southwest of the James River are provided by sediment cores and cuttings as well as geophysical logs from 36 recently drilled boreholes. These, along with reinterpretation of data from 93 preexisting boreholes, form the basis for revised top-surface altitudes and margins of hydrogeologic units beneath parts of Prince George, Surry, Sussex, Isle of Wight, and Southampton Counties and the cities of Franklin and Suffolk. Groundwater withdrawals in the Virginia Coastal Plain cause widespread water-level declines, create the potential for saltwater intrusion, and contribute to regionwide land subsidence. A description of the aquifer system, termed a hydrogeologic framework, was developed by the U.S. Geological Survey in 2006 and provides information needed to base withdrawal-permitting decisions by the Virginia Department of Environmental Quality. This revision of part of the hydrogeologic framework southwest of the James River is based on interpretations of both new and previously analyzed borehole data. The revision is strictly confined to the study area extent and hydrogeologic units not found within the study area were not revised and are not discussed in this report. The newly determined hydrogeologic-unit altitudes and margins have implications for groundwater-withdrawal permitting. New interpretations have found that the Yorktown Eastover aquifer is absent in the southwestern part of the City of Suffolk, owing to what is most likely an isolated area of sediment-texture facies change. Most notably, the top-surface altitudes of the Aquia and Potomac aquifers have been lowered by as much as 50 ft from previous interpretations. This means that wells previously believed to be screened in the top of the Potomac aquifer could, based on these new interpretations, be screened in the bottom of the Aquia aquifer. These changes to aquifers in which wells are screened means that there is potentially more room in the groundwater withdrawal permitting for the Potomac aquifer, the largest and most productive aquifer in Virginia, and overpumping occurring in the Aquia aquifer.

Virginia↗

Geographic variation in Bar-headed geese Anser indicus: connectivity of wintering and breeding grounds across a broad front

The connectivity and frequency of exchange between sub-populations of migratory birds is integral to understanding population dynamics over the entire species' range. True geese are highly philopatric and acquire lifetime mates during the winter, suggesting that the number of distinct sub-populations may be related to the number of distinct wintering areas. In the Bar-headed Goose Anser indicus, a species found exclusively in Central Asia, the connectivity between breeding and wintering areas is not well known. Their migration includes crossing a broad front of the Himalaya Cordillera, a significant barrier to migration for most birds. Many Bar-headed Geese fly to breeding areas on the Tibetan-Qinghai Plateau (TQP), the highest plateau in the world. From 2005-2008, 60 Bar-headed Geese were captured and marked with satellite transmitters in Nepal (n = 2), India (n = 6), China (n = 29), and Mongolia (n = 23) to examine their migration and distribution. Distinct differences were observed in their migration corridors and timing of movements, including an apparent leap-frog migration pattern for geese from Mongolia. Measurements of geese from Mongolia were larger than their counterparts from China, providing some evidence of morphological differences. Alteration of habitats in China, including the warming effects of climate change on glaciers increasing runoff to TQP wetlands, may be changing goose migration patterns and timing. With the exception of one individual, all geese from Qinghai Lake, China wintered in the southern TQP near Lhasa, and their increasing numbers in that region may be related to the effects of climate change and agricultural development. Thus, our findings document both morphological and geographical variation in sub-populations of Bar-headed Geese, but their resilience to environmental change may be lost if migratory short-stopping results in larger congregations restricted to a smaller number of wintering areas.

Wildfowl↗

Spatial nonlinearities: Cascading effects in the earth system

Nonlinear behavior is prevalent in all aspects of the Earth System, including ecological responses to global change (Gallagher and Appenzeller 1999; Steffen et al. 2004). Nonlinear behavior refers to a large, discontinuous change in response to a small change in a driving variable (Rial et al. 2004). In contrast to linear systems where responses are smooth, well-behaved, continuous functions, nonlinear systems often undergo sharp or discontinuous transitions resulting from the crossing of thresholds. These nonlinear responses can result in surprising behavior that makes forecasting difficult (Kaplan and Glass 1995). Given that many system dynamics are nonlinear, it is imperative that conceptual and quantitative tools be developed to increase our understanding of the processes leading to nonlinear behavior in order to determine if forecasting can be improved under future environmental changes (Clark et al. 2001).

Book chapter↗

Describing the distribution and productivity of biota along a nearshore to offshore gradient

The Lake Michigan Lakewide Action and Management Plan (LAMP) proposed adding nutrients (phosphorus) to its “pollutant of concern” list in 2002, given that excessive nutrients were causing impairments in nearshore waters. Since that time, scientists have highlighted the “shunting” of nutrients to the nearshore (Hecky et al. 2004), owing to the ability of invasive dreissenid mussels to capture some portion of allochthonous phosphorus that enters the lake through tributaries. These changes are believed to increase productivity in the nearshore, reflected in increased benthic and pelagic primary production and nuisance Cladophora (Auer et al. 2010). Whether increases in primary productivity lead to concomitant increases for secondary (by zooplankton) and tertiary (by fish) production remains largely untested. Hence, understanding the distribution and abundance of nutrients and biota (e.g., zooplankton, fish) across a nearshore to offshore gradient was identified as a Cooperative Science and Monitoring Initiative (CSMI) priority in 2015. Increased understanding of the Lake Michigan nearshore will also facilitate the development of a Nearshore Strategy by the LAMP, which is called for in the 2012 Great Lakes Water Quality Agreement. Working collaboratively with Environmental Protection Agency (EPA) and National Oceanic and Atmospheric Administration (NOAA), United States Geological Survey (USGS) described the distribution of nutrients and biota across nearshore to offshore transects in 2015 (see Appendix 1). At each transect, we sampled the food web at three sites with differing bottom depths: 18 m, 46 m, and 91-110 m. We purposefully chose transects near tributaries of varying total phosphorus (TP) input (see Figure 1, Dolan and Chapra 2012): three transects that were not associated with any large tributary where total phosphorus would be loaded (Waukegan IL, Frankfort MI, Sturgeon Bay WI), three transects adjacent to tributaries presumed to be relatively low loaders of TP (Pere Marquette MI, Root WI, Muskegon MI), and three transects adjacent to tributaries presumed to be relatively high loaders of TP (St. Joseph MI, Kalamazoo MI, Manitowoc WI). USGS estimated chlorophyll concentrations, zooplankton, Mysis , larval fish, and juvenile and adult fish seasonally (April/May, July, October/November) at eight of these transects (all but Muskegon).

Illinois, Michigan, Wisconsin↗

Land-cover mapping of Red Rock Canyon National Conservation Area and Coyote Springs, Piute-Eldorado Valley, and Mormon Mesa Areas of Critical Environmental Concern, Clark County, Nevada

DigitalGlobe’s QuickBird satellite high-resolution multispectral imagery was classified by using Visual Learning Systems’ Feature Analyst feature extraction software to produce land-cover data sets for the Red Rock Canyon National Conservation Area and the Coyote Springs, Piute-Eldorado Valley, and Mormon Mesa Areas of Critical Environmental Concern in Clark County, Nevada. Over 1,000 vegetation field samples were collected at the stand level. The field samples were classified to the National Vegetation Classification Standard, Version 2 hierarchy at the alliance level and above. Feature extraction models were developed for vegetation on the basis of the spectral and spatial characteristics of selected field samples by using the Feature Analyst hierarchical learning process. Individual model results were merged to create one data set for the Red Rock Canyon National Conservation Area and one for each of the Areas of Critical Environmental Concern. Field sample points and photographs were used to validate and update the data set after model results were merged. Non-vegetation data layers, such as roads and disturbed areas, were delineated from the imagery and added to the final data sets. The resulting land-cover data sets are significantly more detailed than previously were available, both in resolution and in vegetation classes.

Nevada↗

Impact of Late Holocene climate variability and anthropogenic activities on Biscayne Bay (Florida, U.S.A.): Evidence from diatoms

Shallow marine ecosystems are experiencing significant environmental alterations as a result of changing climate and increasing human activities along coasts. Intensive urbanization of the southeast Florida coast and intensification of climate change over the last few centuries changed the character of coastal ecosystems in the semi-enclosed Biscayne Bay, Florida. In order to develop management policies for the Bay, it is vital to obtain reliable scientific evidence of past ecological conditions. The long-term records of subfossil diatoms obtained from No Name Bank and Featherbed Bank in the Central Biscayne Bay, and from the Card Sound Bank in the neighboring Card Sound, were used to study the magnitude of the environmental change caused by climate variability and water management over the last ~ 600 yr. Analyses of these records revealed that the major shifts in the diatom assemblage structures at No Name Bank occurred in 1956, at Featherbed Bank in 1966, and at Card Sound Bank in 1957. Smaller magnitude shifts were also recorded at Featherbed Bank in 1893, 1942, 1974 and 1983. Most of these changes coincided with severe drought periods that developed during the cold phases of El Niño Southern Oscillation (ENSO), Atlantic Multidecadal Oscillation (AMO) and Pacific Decadal Oscillation (PDO), or when AMO was in warm phase and PDO was in the cold phase. Only the 1983 change coincided with an unusually wet period that developed during the warm phases of ENSO and PDO. Quantitative reconstructions of salinity using the weighted averaging partial least squares (WA-PLS) diatom-based salinity model revealed a gradual increase in salinity at the three coring locations over the last ~ 600 yr, which was primarily caused by continuously rising sea level and in the last several decades also by the reduction of the amount of freshwater inflow from the mainland. Concentration of sediment total nitrogen (TN), total phosphorus (TP) and total organic carbon (TOC) increased in the second half of the 20th century, which coincided with the construction of canals, landfills, marinas and water treatment plants along the western margin of Biscayne Bay. Increased magnitude and rate of the diatom assemblage restructuring in the mid- and late-1900s, suggest that large environmental changes are occurring more rapidly now than in the past.

Florida↗

Resilience and risk: a demographic model to inform conservation planning for polar bears

Climate change is having widespread ecological effects, including loss of Arctic sea ice. This has led to listing of the polar bear ( Ursus maritimus ) and other ice-dependent marine mammals under the U.S. Endangered Species Act (ESA). Methods are needed to evaluate the effects of climate change on population persistence to inform recovery planning for listed species. For polar bears, this includes understanding interactions between climate and secondary factors, such as subsistence harvest, which provide economic, nutritional, or cultural value to humans. We developed a matrix-based demographic model for polar bears that can be used for population viability analysis and to evaluate the effects of human-caused removals. This model includes density-dependence (the potential for a declining environmental carrying capacity), density-independent limitation, and sex- and age-specific harvest vulnerabilities. We estimated values of adult female survival (0.93–0.96), recruitment (number of yearling cubs per adult female; 0.1–0.3), and carrying capacity (>250 animals) that must be maintained for a hypothetical population to achieve a 90-percent probability of persistence over 100 years. We also developed a state-dependent management framework, based on harvest theory and the potential biological removal method, by linking the demographic model to simulated population assessments. This framework can be used to estimate the maximum sustainable rate of human-caused removals, including subsistence harvest, which maintains a population at its maximum net productivity level. The framework also can be used to calculate a recommended sustainable harvest rate, which generally is lower than the maximum sustainable rate and depends on management objectives, the precision and frequency of population data, and risk tolerance. The historical standard 4.5-percent harvest rate for polar bears, at a 2:1 male-to-female ratio, is reasonable under many biological and management conditions, although lower or higher rates may be appropriate in some cases. Our modeling results suggest that harvest of polar bears is unlikely to accelerate population declines that result from declining carrying capacity caused by sea-ice loss, provided that several conditions are met: (1) the sustainable harvest rate reflects the population’s intrinsic growth rate, and the corresponding harvest level is obtained by applying this rate to an estimate of population size; (2) the sustainable harvest rate reflects the quality of population data (e.g., lower harvest when data are poor); and (3) the level of human-caused removals can be adjusted. Finally, our results suggest that stopgap measures (e.g., further reduction or cessation of harvest when the population size is less than a critical threshold) may be necessary to minimize the incremental risk associated with harvest, if environmental conditions are deteriorating rapidly. We suggest that the demographic model and approaches presented here can serve as a template for conservation planning for polar bears and other species facing similar challenges.

Open-File Report↗

Assessing the combined influence of biotic and anthropogenic stressors on polar bears to inform conservation planning

Developing conservation strategies for species vulnerable to the effects of climate change, like polar bears ( Ursus maritimus ), can be challenging given the uncertainty of future environmental conditions. Effective conservation planning requires identifying and ranking threats to the persistence of polar bears throughout their circumpolar range and then assessing the ability of mitigative actions to aid in meeting plan objectives. We used a Bayesian network model to (1) characterize the relative importance of multiple biotic and anthropogenic stressors on four ecoregional polar bear populations, at two future decadal time periods, and based on two Intergovernmental Panel on Climate Change (IPCC) greenhouse gas emissions scenarios (Shared Socioeconomic Pathways [SSPs] 2.6 [low] and 8.5 [high]); and (2) identify achievable management actions that may enhance the prospects of long-term persistence. Normative model runs indicated that populations in all four ecoregions incurred increasing probabilities of being decreased or greatly decreased over time. The probabilities of polar bear populations being decreased or greatly decreased from mid- to end of the century ranged from ~55% to 87% for the SSP 2.6 emissions scenario, and 82% to 94% for the SSP 8.5 emissions scenario among ecoregions. Arctic sea ice conditions and marine prey availability had the greatest influences on future polar bear population outcomes and overrode any relative influence from all other stressors. Hunting mortality was the most influential individual anthropogenic stressor in the Archipelago and Seasonal Ice Ecoregions, whereas terrestrial refugia quality grouped with various anthropogenic activities or factors (e.g., resource extraction, oil spill) was most influential for the Polar Basin Divergent Ice and Polar Basin Convergent Ice ecoregions. Our findings indicate that near-term proactive management of multiple anthropogenic stressors could cumulatively reduce the decline in populations such that if future sea ice habitat loss is eventually curtailed, population abundance would be greater than it would have been otherwise. Additionally, our findings suggest that there is value in tailoring management actions to address ecoregion-specific threats, which may prove useful in informing the development of future circumpolar conservation plans.

Ecosphere↗

Examining the effect of environmental variability on the viability of endangered Steller sea lions using an integrated population model

Understanding spatio-temporal variability in demography and the influence of environmental conditions offers insight into the factors underlying population dynamics. This is particularly true for species with divergent demographic patterns across large geographic areas. The contrasting abundance trends observed across the range of Steller sea lions (Eumetopias jubatus) have been studied extensively, with research suggesting that the primary drivers of localized population dynamics vary over time and space. We developed a Bayesian integrated population model for the endangered western distinct population segment of Steller sea lions that combines mark-recapture and count data from 2000-2021 to estimate demographic rates, abundance trends, and the effects of environmental variability on population growth. Our results highlight subregional demographic differences, including reduced pup survival in the central Aleutian Islands and reduced yearling survival west of Samalga Pass. Range-wide abundance increased by 1.7% yr-1 (95% credible interval: 0.14; 3.4%) over the study period, with a positive annual growth rate of 3.0% (1.1; 5.1%) yr-1 east of Samalga Pass, a negative growth rate of -2.1% (-4.6; 0.5%) yr-1 west of Samalga Pass, and an overall low probability of local extirpation (<2%) in 100 years even in subregions experiencing continued decline. The effect of environmental variability on population growth varied depending on subpopulation size and vital rates and was strongest in the area of greatest decline. Our model improves upon existing approaches for estimating abundance, accounts for environmental variability within the viability analysis, and can facilitate evaluating the efficacy of conservation actions and progress toward recovery goals.

Alaska↗

Applicability of ambient toxicity testing to national or regional water-quality assessment

Comprehensive assessment of the quality of natural waters requires a multifaceted approach. Descriptions of existing conditions may be achieved by various kinds of chemical and hydrologic analyses, whereas information about the effects of such conditions on living organisms depends on biological monitoring. Toxicity testing is one type of biological monitoring that can be used to identify possible effects of toxic contaminants. Based on experimentation designed to monitor responses of organisms to environmental stresses, toxicity testing may have diverse purposes in water-quality assessments. These purposes may include identification of areas that warrant further study because of poor water quality or unusual ecological features, verification of other types of monitoring, or assessment of contaminant effects on aquatic communities. Toxicity-test results are most effective when used as a complement to chemical analyses, hydrologic measurements, and other biological monitoring. However, all toxicity-testing procedures have certain limitations that must be considered in developing the methodology and applications of toxicity testing in any large-scale water-quality-assessment program. A wide variety of toxicity-test methods have been developed to fulfill the needs of diverse applications. The methods differ primarily in the selections made relative to four characteristics: (1) test species, (2) endpoint (acute or chronic), (3) test-enclosure type, and (4) test substance (toxicant) that functions as the environmental stress. Toxicity-test approaches vary in their capacity to meet the needs of large-scale assessments of existing water quality. Ambient testing, whereby the test organism is exposed to naturally occurring substances that contain toxicant mixtures in an organic or inorganic matrix, is more likely to meet these needs than are procedures that call for exposure of the test organisms to known concentrations of a single toxicant. However, meaningful interpretation of ambient test results depends on the existence of accompanying chemical analysis of the ambient media. The ambient test substance may be water or sediments. Sediment tests have had limited application, but they are useful because most toxicants tend to accumulate in sediments and many test species either inhabit the sediments or are in frequent contact with them. Biochemical testing methods, which have been developing rapidly in recent years, are likely to be among the most useful procedures for large-scale water-quality assessments. They are relatively rapid and simple, and more. importantly, they focus on biochemical changes that are the initial responses of virtually all organisms to environmental stimuli. Most species are sensitive to relatively few toxicants, and their sensitivities vary as conditions change. Therefore, each test method has particular uses and limitations, and no single test has universal applicability. One of the most informative approaches to toxicity testing is to combine biochemical tests with other test methods in a 'battery of tests' that is diversified enough to characterize different types of toxicants and different trophic levels. However, such an approach can be costly, and if not carefully designed, it may not yield enough additional information to warrant the additional cost. The application of toxicity tests to large-scale water-quality assessments is hampered by a number of difficulties. Toxicity tests often are not sensitive enough to enable detection of most contaminant problems in the natural environment. Furthermore, because sensitivities among different species and test conditions can be highly variable, conclusions about the toxicant problems of an ecosystem are strongly dependent on the test procedure used. In addition, the experimental systems used in toxicity tests cannot replicate the complexity or variability of natural conditions, and positive test results cannot identify the source or nature of

Circular↗

Remote sensing of global croplands for food security: Way forward

This book opens a new pathway for global mapping that is focused on a specific land use theme, such as irrigated or rain-fed croplands and classes within these themes. Since croplands use most of the water consumed by humans, specific knowledge of irrigated and rain-fed croplands will be critical for precise estimates of water use. At present and in the coming decades, irrigated and rain-fed cropland area mapping is crucial for food security studies. Throughout this book, various subjects pertaining to global croplands are discussed comprehensively.

Book chapter↗

Communicating hazards—A social science review to meet U.S. Geological Survey needs

This report is for U.S. Geological Survey (USGS)—and any other—hazard scientists who want to improve the understanding and use of their scientific information, particularly by non-experts. In order for people to use science, they need to understand it. The highly technical, specialized nature of scientific information makes that difficult, particularly when few scientists are trained to communicate with people outside their fields. These issues are of special importance to the USGS because it has many users who are not scientists and because it develops and applies hazard science to help protect the safety, security, and economic well-being of our Nation. In 2010, the Science Application for Risk Reduction group at the USGS discovered the Center for Research on Environmental Decisions (CRED) guide, “The Psychology of Climate Change Communication.” Ever since, a growing number of USGS staff who need to communicate about hazards have used that guide and have asked CRED for a companion report dedicated to hazard communication to harness knowledge from more than 50 years of social science research. In 2016, the USGS and CRED launched a collaboration to develop that companion report. Ultimately, a CRED hazard communication guide would be a Columbia University publication with a wide focus and would include many hazards that are outside the USGS purview. This report is a first step and concentrates strictly on hazard communication needs at the USGS. To identify those needs and tailor this effort to USGS hazard communication priorities, this collaboration began with telephone interviews and an online survey of USGS staff. This report is the result; it summarizes social science research and experience in the areas of hazard communication that USGS participants deemed most important to include.

Circular↗

Research and development program for outer continental shelf oil and gas operations, report for fiscal year 1978

This report summarizes the contract research program in support of the Geological Survey's Outer Continental Shelf oil and gas operations. The program is technological, though certain environmental investigations are being conducted as a necessary adjunct. The program manager provides a focal point for communicating with the research community in both the university system and private industry as well as with Federal agencies. Interaction is needed not only with. other Government agencies, such as the Bureau of Land Management and the Department of Energy, but within the Geological Survey itself. USGS engineers and scientists are in a unique position to contribute to the success of the program by their specialized knowledge and experience in the many aspects of offshore operations such as marine geology, seismology and petroleum engineering. This document describes the program and reports on the research, development, and evaluation which are being undertaken.

Open-File Report↗

The potential effects of sodium bicarbonate, a major constituent from coalbed natural gas production, on aquatic life

The production water from coalbed natural gas (CBNG) extraction contains many constituents. The U.S. Environmental Protection Agency has established aquatic life criteria for some of these constituents, and it is therefore possible to evaluate their risk to aquatic life. However, of the major ions associated with produced waters, chloride is the only one with an established aquatic life criterion (U.S. Environmental Protection Agency, 1988). The focus of this research was NaHCO 3 , a compound that is a major constituent of coalbed natural gas produced waters in the Tongue and Powder River Basins. This project included laboratory experiments, field in situ experiments, a field mixing zone study, and a fishery presence/absence assessment. Though this investigation focuses on the Tongue and Powder River Basins, the information is applicable to other watersheds where sodium bicarbonate is a principle component of product water either from CBNG or from traditional or unconventional oil and gas development. These data can also be used to separate effects of saline discharges from those potentially posed by other constituents. Finally, this research effort and the additional collaboration with USGS Water Resources and Mapping, Bureau of Land Management, US Environmental Protection Agency, State of Montana, State of Wyoming, Montana State University, University of Wyoming, and others as part of a Powder River Aquatic Task Group, can be used as a model for successful approaches to studying landscapes with energy development. The laboratory acute toxicity experiments were completed with a suite of organisms, including 7 species of fish, 5 species of invertebrates, and 1 amphibian species. Experiments performed on these multiple species resulted in LC50s that ranged from 1,120 to greater than (>) 8,000 milligrams sodium bicarbonate per liter (mg NaHCO 3 /L) (also defined as 769 to >8,000 milligrams bicarbonate per liter (mg HCO 3 -/L) or total alkalinity expressed as 608 to >4,181 milligrams calcium carbonate per liter (mg CaCO 3 /L)) that varied across species and lifestage within a species. The age at which fish were exposed to NaHCO 3 significantly affected the severity of toxic responses for some organisms. The chronic toxicity of NaHCO 3 was defined in experiments that lasted from 7&mdash;60 days post-hatch. For these experiments, sublethal effects such as growth and reproduction, in addition to significant reductions in survival were included in the final determination of effects. Chronic toxicity was observed at concentrations that ranged from 450 to 800mg NaHCO 3 /L (also defined as 430 to 657 mg HCO 3 -/L or total alkalinity expressed as 354 to 539 mg CaCO 3 /L) and the specific concentration depended on the sensitivity of the four species of invertebrates and fish exposed. Sublethal investigations during chronic studies revealed percent decrease in the activity of sodium-potassium adenosine triphosphatase (Na/K ATPase, an enzyme involved in ionoregulation) and the age of the fish at the onset of the decrease may affect the ability of fathead minnow to survive exposures to NaHCO 3 . A database of toxicity evaluations of NaHCO 3 on aquatic life has been constructed. Using these data, sample acute and chronic criteria of 459 and 381 mg NaHCO 3 /L, respectively, can be calculated for the protection of aquatic life. The final derivation and implementation of such criteria is, of course, left to the discretion of the concerned management agencies. A combination of in situ experiments, static-renewal experiments performed simultaneously with in situ experiments, and static renewal experiments performed with site water in the laboratory, demonstrated that untreated coalbed natural gas (CBNG) product water from the Tongue and Powder River Basins reduces survival of fathead minnow and pallid sturgeon. More precisely, the survival of early-lifestage fathead minnow, especially those less than 6-days post hatch (dph), likely is reduced significantly in the field when concentrations of NaHCO 3 rise above 1,500 mg/L. However, age was not a factor for pallid sturgeon and they were sensitive to product water regardless of age. Treatment with the Higgins Loop&trade; technology and dilution of untreated water increased survival in the laboratory. Both of these situations reduced ammonia in addition to the concentrations of NaHCO 3 . These experiments addressed the acute toxicity of effluent waters being added to the main stem rivers, but did not address issues related to the volumes of water that may be added to the watershed. Mixing zones of the three outfalls studied ranged from approximately 800&mdash;1,200 m below the confluence and the areas within these mixing zones with acutely lethal concentrations of NaHCO 3 (as defined by the presence of concentrated dye) are limited. The areas with concentrations of NaHCO 3 more than the concentrations likely to cause significant mortality, and more than the calculated sample water-quality criteria in the Tongue and Powder River Basins appear to be limited to tributaries and parts of mixing zones with considerable additions of untreated effluent.

Montana;Wyoming↗

Map showing availability of hydrologic data published by the U.S. Environmental Data Service and by the U.S. Geological Survey and cooperating agencies, greater Denver area, Front Range Urban Corridor, Colorado

What is the rainfall of this region? What areas are prone to periodic flooding? What is the water supply? What is the chemical quality of the ground water and water in the streams? How deep is the water table? Which streams are gaged, and where? These and similar questions are being asked regularly by land and resource developers, urban planners, industrial consultants, and governmental resource managers. This map provides the first step toward answering these questions. It shows by symbols and color the hydrologic data published as of January 1974 for the Greater Denver area by the U.S. Environmental Data Service and by the U.S. Geological Survey and cooperating agencies, and the points or areas where these data have been collected. The sources of the data are given in both the following discussion and the references.

Colorado↗

Crop classification modelling using remote sensing and environmental data in the Greater Platte River Basin, USA

With an ever expanding population, potential climate variability and an increasing demand for agriculture-based alternative fuels, accurate agricultural land-cover classification for specific crops and their spatial distributions are becoming critical to researchers, policymakers, land managers and farmers. It is important to ensure the sustainability of these and other land uses and to quantify the net impacts that certain management practices have on the environment. Although other quality crop classification products are often available, temporal and spatial coverage gaps can create complications for certain regional or time-specific applications. Our goal was to develop a model capable of classifying major crops in the Greater Platte River Basin (GPRB) for the post-2000 era to supplement existing crop classification products. This study identifies annual spatial distributions and area totals of corn, soybeans, wheat and other crops across the GPRB from 2000 to 2009. We developed a regression tree classification model based on 2.5 million training data points derived from the National Agricultural Statistics Service (NASS) Cropland Data Layer (CDL) in relation to a variety of other relevant input environmental variables. The primary input variables included the weekly 250 m US Geological Survey Earth Observing System Moderate Resolution Imaging Spectroradiometer normalized differential vegetation index, average long-term growing season temperature, average long-term growing season precipitation and yearly start of growing season. An overall model accuracy rating of 78% was achieved for a test sample of roughly 215 000 independent points that were withheld from model training. Ten 250 m resolution annual crop classification maps were produced and evaluated for the GPRB region, one for each year from 2000 to 2009. In addition to the model accuracy assessment, our validation focused on spatial distribution and county-level crop area totals in comparison with the NASS CDL and county statistics from the US Department of Agriculture (USDA) Census of Agriculture. The results showed that our model produced crop classification maps that closely resembled the spatial distribution trends observed in the NASS CDL and exhibited a close linear agreement with county-by-county crop area totals from USDA census data ( R 2 = 0.90).

Greater Platte River Basin↗