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A dislocation model of strain accumulation and release at a subduction zone

Strain accumulation and release at a subduction zone are attributed to stick slip on the main thrust zone and steady aseismic slip on the remainder of the plate interface. This process can be described as a superposition of steady state subduction and a repetitive cycle of slip on the main thrust zone, consisting of steady normal slip at the plate convergence rate plus occasional thrust events that recover the accumulated normal slip. Because steady state subduction does not contribute to the deformation at the free surface, deformation observed there is completely equivalent to that produced by the slip cycle alone. The response to that slip is simply the response of a particular earth model to embedded dislocations. For a purely elastic earth model, the deformation cycle consists of a coseismic offset followed by a linear‐in‐time recovery to the initial value during the interval between earthquakes. For an elastic‐viscoelastic earth model (elastic lithosphere over a viscoelastic asthenosphere), the postearthquake recovery is not linear in time. Records of local uplift as a function of time indicate that the long‐term postseismic recovery is approximately linear, suggesting that elastic earth models are adequate to describe the deformation cycle. However, the deformation predicted for a simple elastic half‐space earth model does not reproduce the deformation observed along the subduction zones in Japan at all well if stick slip is restricted to the main thrust zone. As recognized earlier by Shimazaki, Seno, and Kato, the uplift profiles could be explained if stick slip were postulated to extend along the plate interface beyond the main thrust zone to a depth of perhaps 100 km, but independent evidence suggests that stick slip at such depths is unlikely.

Journal of Geophysical Research B: Solid Earth↗

Acetate availability and its influence on sustainable bioremediation of Uranium-contaminated groundwater

Field biostimulation experiments at the U.S. Department of Energy's Integrated Field Research Challenge (IFRC) site in Rifle, Colorado, have demonstrated that uranium concentrations in groundwater can be decreased to levels below the U.S. Environmental Protection Agency's (EPA) drinking water standard (0.126 μM). During successive summer experiments – referred to as “Winchester” (2007) and “Big Rusty” (2008) - acetate was added to the aquifer to stimulate the activity of indigenous dissimilatory metal-reducing bacteria capable of reductively immobilizing uranium. The two experiments differed in the length of injection (31 vs. 110 days), the maximum concentration of acetate (5 vs. 30 mM), and the extent to which iron reduction (“Winchester”) or sulfate reduction (“Big Rusty”) was the predominant metabolic process. In both cases, rapid removal of U(VI) from groundwater occurred at calcium concentrations (6 mM) and carbonate alkalinities (8 meq/L) where Ca-UO 2 -CO 3 ternary complexes constitute >90% of uranyl species in groundwater. Complete consumption of acetate and increased alkalinity (>30 meq/L) accompanying the onset of sulfate reduction corresponded to temporary increases in U(VI); however, by increasing acetate concentrations in excess of available sulfate (10 mM), low U(VI) concentrations (0.1–0.05 μM) were achieved for extended periods of time (>140 days). Uniform delivery of acetate during “Big Rusty” was impeded due to decreases in injection well permeability, likely resulting from biomass accumulation and carbonate and sulfide mineral precipitation. Such decreases were not observed during the short-duration “Winchester” experiment. Terminal restriction fragment length polymorphism (TRFLP) analysis of 16S rRNA genes demonstrated that Geobacter sp. and Geobacter -like strains dominated the groundwater community profile during iron reduction, with 13 C stable isotope probing (SIP) results confirming these strains were actively utilizing acetate to replicate their genome during the period of optimal U(VI) removal. Gene transcript levels during “Big Rusty” were quantified for Geobacter -specific citrate synthase ( gltA ), with ongoing transcription during sulfate reduction indicating that members of the Geobacteraceae were still active and likely contributing to U(VI) removal. The persistence of reducible Fe(III) in sediments recovered from an area of prolonged (110-day) sulfate reduction is consistent with this conclusion. These results indicate that acetate availability and its ability to sustain the activity of iron- and uranyl-respiring Geobacter strains during sulfate reduction exerts a primary control on optimized U(VI) removal from groundwater at the Rifle IFRC site over extended time scales (>50 days).

Geomicrobiology Journal↗

What makes hydromagmatic eruptions violent? Some insights from the Keanakāko'i Ash, Kı̄lauea Volcano, Hawai'i

Volcanic eruptions at the summit of Kilauea Volcano, Hawai'i, are of two dramatically contrasting types: (1) benign lava flows and lava fountains; and (2) violent, mostly prehistoric eruptions that dispersed tephra over hundreds of square kilometers. The violence of the latter eruptions has been attributed to mixing of water and magma within a wet summit caldera; however, magma injection into water at other volcanoes does not consistently produce widespread tephras. To identify other factors that may have contributed to the violence of these eruptions, we sampled tephra from the Keanakako'i Ash, the most recent large hydromagmatic deposit, and measured vesicularity, bubble-number density and dissolved volatile content of juvenile matrix glass to constrain magma ascent rate and degree of degassing at the time of quenching. Bubble-number densities (9X10 (super 4) -1X10 (super 7) cm (super -3) ) of tephra fragments exceed those of most historically erupted Kilauean tephras (3X10 (super 3) -1.8X10 (super 5) cm (super -3) ), and suggest exceptionally high magma effusion rates. Dissolved sulfur (average=330 ppm) and water (0.15-0.45 wt.%) concentrations exceed equilibrium-saturation values at 1 atm pressure (100-150 ppm and approximately 0.09%, respectively), suggesting that clasts quenched before equilibrating to atmospheric pressure. We interpret these results to suggest rapid magma injection into a wet crater, perhaps similar to continuous-uprush jets at Surtsey. Estimates of Reynolds number suggest that the erupting magma was turbulent and would have mixed with surrounding water in vortices ranging downward in size to centimeters. Such fine-scale mixing would have ensured rapid heat exchange and extensive magma fragmentation, maximizing the violence of these eruptions.

Hawaii↗

Poroelastic rebound along the Landers 1992 earthquake surface rupture

Maps of surface displacement following the 1992 Landers, California, earthquake, generated by interferometric processing of ERS-1 synthetic aperture radar (SAR) images, reveal effects of various postseismic deformation processes along the 1992 surface rupture. The large-scale pattern of the postseismic displacement field includes large lobes, mostly visible on the west side of the fault, comparable in shape with the lobes observed in the coseismic displacement field. This pattern and the steep displacement gradient observed near the Emerson-Camp Rock fault cannot be simply explained by afterslip on deep sections of the 1992 rupture. Models show that horizontal slip occurring on a buried dislocation in a Poisson's material produces a characteristic quadripole pattern in the surface displacement field with several centimeters of vertical motion at distances of 10–20 km from the fault, yet this pattern is not observed in the postseismic interferograms. As previously proposed to explain local strain in the fault step overs [ Peltzer et al ., 1996b], we argue that poroelastic rebound caused by pore fluid flow may also occur over greater distances from the fault, compensating the vertical ground shift produced by fault afterslip. Such a rebound is explained by the gradual change of the crustal rocks' Poisson's ratio value from undrained (coseismic) to drained (postseismic) conditions as pore pressure gradients produced by the earthquake dissipate. Using the Poisson's ratio values of 0.27 and 0.31 for the drained and undrained crustal rocks, respectively, elastic dislocation models show that the combined contributions of afterslip on deep sections of the fault and poroelastic rebound can account for the range change observed in the SAR data and the horizontal displacement measured at Global Positioning System (GPS) sites along a 60-km-long transect across the Emerson fault [ Savage and Svarc , 1997]. Using a detailed surface slip distribution on the Homestead Valley, Kickapoo, and Johnson Valley faults, we modeled the poroelastic rebound in the Homestead Valley pull apart. A Poisson's ratio value of 0.35 for the undrained gouge rocks in the fault zone is required to account for the observed surface uplift in the 3.5 years following the earthquake. This large value implies a seismic velocity ratio V p /V s of 2.1, consistent with the observed low V s values of fault zone guided waves at shallow depth [ Li et al ., 1997]. The SAR data also reveal postseismic creep along shallow patches of the Eureka Peak and Burnt Mountain faults with a characteristic decay time of 0.8 years. Coseismic, dilatant hardening (locking process) followed by post-seismic, pore pressure controlled fault creep provide a plausible mechanism to account for the decay time of the observed slip rate along this section of the fault.

Journal of Geophysical Research B: Solid Earth↗

Estimating groundwater exchange with lakes: 1. The stable isotope mass balance method

Groundwater inflow and outflow contributions to the hydrologic budget of lakes can be determined using a stable isotope ( 18 O/ 16 O) mass balance method. The stable isotope method provides a way of integrating the spatial and temporal complexities of the flow field around a lake, thereby offering an appealing alternative to the traditional time and labor intensive methods using seepage meters and an extensive piezometer network. In this paper the method is applied to a lake in northern Wisconsin, demonstrating that it can be successfully applied to lakes in the upper midwest where thousands of similar lakes exist. Inflow and outflow rates calculated for the Wisconsin lake using the isotope mass balance method are 29 and 54 cm/yr, respectively, which compare well to estimates, derived independently using a three-dimensional groundwater flow and solute transport model, of 20 and 50 cm/yr. Such a favorable comparison lends confidence to the use of the stable isotope method to estimate groundwater exchange with lakes. In addition, utilization of stable isotopes in studies of groundwater-lake systems lends insight into mixing processes occurring in the unsaturated zone and in the aquifer surrounding the lake and verifies assumed flow paths based on head measurements in piezometers.

Wisconsin↗

Guidelines for producing integrated 210Pb and 14C age-models

Accurate reconstructions of past environmental changes are crucial in paleoecological research and require reliable chronologies of sedimentary archives. Establishing robust age-models and obtaining the most appropriate proxies for analysis is a complex scientific endeavor, requiring extensive resources and collaboration among specialists, including radiochronologists. Radiometric dating methods, such as 210 Pb and radiocarbon ( 14 C), are frequently employed to establish chronologies in aquatic sedimentary deposits and peat bogs. In this study, we review key aspects of sampling, analysis, and the principles underlying 210 Pb and 14 C age-models, focusing on methods for developing robust joint chronologies for paleoenvironmental research. Drawing largely from the authors' experiences and group discussions during and after a scientific workshop in 2022, we discuss important considerations for site selection, sampling strategies, and radiometric dating to construct integrated 210 Pb and 14 C age-models. Using expert consensus, this group – called Paleostats – aims to provide a set of best practices for other geochronologists with this methods paper. Among our conclusions, we emphasize the importance of accounting for site-specific factors such as prior information on sedimentation rates to establish appropriate sampling and analytical strategies. The use of appropriate coring devices can minimize disturbance to sediments and ensure the core surface remains intact and preserved until sectioning. Where excess 210 Pb is expected, sectioning at intervals of ≤1 cm provides an adequate sampling resolution for 210 Pb dating. Exceptions are possible, allowing for ~2–3 cm sections in areas with confirmed high sedimentation rates (e.g., > 1 cm yr −1 ). Recovering deeper core sections for 14 C dating with sufficient overlap allows for accounting errors in depth estimates made in the field. Special attention is advised during time intervals where validation proxies, such as the human-made radionuclides 137 Cs or post-bomb 14 C, are expected, and to determine the depth of secular equilibrium between 210 Pb and 226 Ra. Radiocarbon analyses are commonly performed by accelerator mass spectrometry, and age models are constructed mainly using Bayesian statistics with Markov Chain Monte Carlo techniques (e.g., Bacon ). A Bayesian approach ( Plum ) is now available for producing 210 Pb age-models, which infers the 210 Pb ex flux, eliminates the need for selecting an equilibrium depth, and allows dating cores with incomplete 210 Pb ex inventory. Plum offers improved chronologies by integrating raw 210 Pb and 14 C data, and these age-models can be enriched with other dating methodologies, such as identifying tephras and other well-recorded historical events. Harmonized reporting would contribute to making radiometric age-models reproducible, which would benefit from an international effort. Using 210 Pb and 14 C to produce integrated age-models may yield better insights into the interplay between natural and recent anthropogenic forcings on ecosystems. This can enhance our understanding of environmental processes and their impacts on climate change, ultimately supporting science-based assessments and decisions.

Earth-Science Reviews↗

Metal fingerprints of Eocene rhyolite magmas coincident with Carlin-type gold deposition in Nevada USA

Eocene magmatic systems contemporaneous with world-class Carlin-type Au deposits in Nevada (USA) have been proposed by some researchers as a key ingredient for Au mineralization, though evidence conclusively demonstrating their genetic relationship remains tenuous. This study provides the first direct evidence of the pre-eruptive metal budget of volatile- and metal-charged silicic magmas coincident in time (~41 to 34 Ma) and space (within 5 km) with Carlin-type Au deposits. We characterize the pre-eruptive metal fingerprints of these diverse magmatic systems to assess their potential as sources of metals for Carlin-type Au mineralization. Metal abundances from quartz-hosted melt inclusions (Au, Te, Ag, Sb, Tl, Mo, W, Sn, As, Pb, Co, Cu, Ni, and Zn) characterized in situ by SHRIMP-RG and LA-ICP-MS represent our best (and only) estimates for the pre-eruptive metal budget in these systems. Median metal concentrations are generally within one order of magnitude of average upper crust and average continental rhyolite values. But there are two notable exceptions, with median Au contents extending >1 order of magnitude higher than average upper crust and median Cu contents ranging >1 order of magnitude lower than upper crust. Despite this, melts contain lower Au/Cu (<0.1), Au/Ag (<5), and Au/Tl (<0.3) than most ore-grade Carlin-type rock samples and quartz-hosted fluid inclusions, regardless of their age and timing relative to nearby Carlin-type Au mineralization. The metal fingerprints of these magmatic systems, de-fined both by traditional and multivariate compositional data analysis techniques, are distinct from one another. Yet none are particularly specialized, e.g., high Au/Cu, in terms of being ideal ingredients as postulated by magmatic models for Carlin-type Au mineralization. Magmatic Au contents do not appear to be correlated with rhyolite “flavors” in the way that Cu, Sn, and Nb contents are. Fluid/melt partitioning modeling and magma volume estimates support the idea that a diverse array of non-specialized silicic magmas could feasibly contribute some or potentially all of the Au, Ag, and Cu in Carlin-type systems. The compositional diversity among contemporaneous magmatic systems could possibly contribute to some of the diversity observed across Carlin-type Au districts in Nevada.

Nevada↗

Potential impact of Chironomus plumosus larvae on hypolimnetic oxygen in the central basin of Lake Erie

Previous studies have indicated that burrow-irrigating infauna can increase sediment oxygen demand (SOD) and impact hypolimnetic oxygen in stratified lakes. We conducted laboratory microcosm experiments and computer simulations with larvae of the burrowing benthic midge Chironomus plumosus to quantify burrow oxygen uptake rates and subsequent contribution to sediment oxygen demand in central Lake Erie. Burrow oxygen uptake and water flow velocities through burrows were measured using oxygen microelectrodes and hot film anemometry, respectively. Burrow oxygen consumption averaged 2.66 &times; 10 &minus; 10 (SE = &plusmn; 7.82 &times; 10 &minus; 11 ) mol O 2 /burrow/s at 24 &deg;C and 9.64 &times; 10 &minus; 10 (SE = &plusmn; 4.86 &times; 10 &minus; 10 ) mol O 2 /burrow/s at 15 &deg;C. In sealed microcosm experiments, larvae increased SOD 500% at 24 &deg;C (density = 1508/m 2 ) and 375% at 15 &deg;C (density = 864/m 2 ). To further evaluate effects of densities of C. plumosus burrows on SOD we developed a 3-D transport reaction model of the process. Using experimental data and chironomid abundance data in faunal surveys in 2009 and 2010, we estimated that bioirrigation by a population of 140 larvae/m 2 could account for between 2.54 &times; 10 &minus; 11 mol/L/s (model results) and 5.58 &times; 10 &minus; 11 mol/L/s (experimental results) of the average 4.22 &times; 10 &minus; 11 mol/L/s oxygen depletion rate between 1970 and 2003, which could have accounted for 60&ndash;132% of the oxygen decline. At present, it appears that the population density of this species may be an important factor in development of hypoxic or anoxic conditions in central Lake Erie.

Ohio↗

Snow sublimation in mountain environments and its sensitivity to forest disturbance and climate warming

Snow sublimation is an important component of the snow mass balance, but the spatial and temporal variability of this process is not well understood in mountain environments. This study combines a process‐based snow model (SnowModel) with eddy covariance (EC) measurements to investigate (1) the spatio‐temporal variability of simulated snow sublimation with respect to station observations, (2) the contribution of snow sublimation to the ablation of the snowpack, and (3) the sensitivity and response of snow sublimation to bark beetle‐induced forest mortality and climate warming across the north‐central Colorado Rocky Mountains. EC‐based observations of snow sublimation compared well with simulated snow sublimation at stations dominated by surface and canopy sublimation, but blowing snow sublimation in alpine areas was not well captured by the EC instrumentation. Water balance calculations provided an important validation of simulated sublimation at the watershed scale. Simulated snow sublimation across the study area was equivalent to 28% of winter precipitation on average, and the highest relative snow sublimation fluxes occurred during the lowest snow years. Snow sublimation from forested areas accounted for the majority of sublimation fluxes, highlighting the importance of canopy and sub‐canopy surface sublimation in this region. Simulations incorporating the effects of tree mortality due to bark‐beetle disturbance resulted in a 4% reduction in snow sublimation from forested areas. Snow sublimation rates corresponding to climate warming simulations remained unchanged or slightly increased, but total sublimation losses decreased by up to 6% because of a reduction in snow covered area and duration.

Water Resources Research↗

Scanning electron microscopic evaluation of broad ion beam milling effects to sedimentary organic matter: Sputter-induced artifacts or naturally occurring porosity?

Research examining organic-matter hosted porosity has significantly increased during the last decade due to greater focus on understanding hydrocarbon migration and storage in source-rock reservoirs, and technological advances in scanning electron microscopy (SEM) capabilities. The examination of nanometer-scale organic-matter hosted porosity by SEM requires the preparation of exceptionally flat geologic samples beyond the abilities of traditional mechanical polishing, which can deform or otherwise obscure organic surfaces. To meet this demand, broad ion beam (BIB) milling was introduced as a sample preparation technique for SEM petrographic analysis of geologic samples. As with any sample preparation technique, there can be unintended consequences. In this study, we examined the development of nanometer-scale sputter-induced voids caused by BIB milling of thermoset plastic binder material [poly(methyl methacrylate), PMMA] used for the mounting of geologic samples, and artifact sputter-induced voids in the organic matter of Green River Formation and Kimmeridge Clay Formation source rocks. Development of artifact sputter-induced voids was evaluated in relation to variations in the slope of the sample examination surface (0.0–4.9% slope), effectively varying the angle of ion incidence. The results indicate that only minor variations in the angle of ion incidence can generate sputter-induced voids in both PMMA (10.0–386.2 nm diameter sputter-induced voids) and sample sedimentary organic matter (solid bitumen; 12.2–103.6 nm diameter sputter-induced voids). Overall, average artifact pore diameters increased with increasing ion incidence angle within PMMA. Although sputter-induced voids within solid bitumen in the Green River Formation sample were only found in limited extent, the size of these void artifacts falls within the same size range as naturally occurring meso-macroporosity. That is, the pore-like artifacts could easily be misconstrued as naturally developed organic porosity, which is a major concern for SEM-based porosity evaluation methods. This study describes the factors that contribute to the creation of artifact sputter-induced voids, their distinguishing characteristics, and best practices for avoiding the creation of ion-induced artifacts.

International Journal of Coal Geology↗

Sediment transport and deposition on a river-dominated tidal flat: An idealized model study

A 3-D hydrodynamic model is used to investigate how different size classes of river-derived sediment are transported, exported and trapped on an idealized, river-dominated tidal flat. The model is composed of a river channel flanked by sloping tidal flats, a configuration motivated by the intertidal region of the Skagit River mouth in Washington State, United States. It is forced by mixed tides and a pulse of freshwater and sediment with various settling velocities. In this system, the river not only influences stratification but also contributes a significant cross-shore transport. As a result, the bottom stress is strongly ebb-dominated in the channel because of the seaward advance of strong river flow as the tidal flats drain during ebbs. Sediment deposition patterns and mass budgets are sensitive to settling velocity. The lateral sediment spreading scales with an advective distance (settling time multiplied by lateral flow speed), thereby confining the fast settling sediment classes in the channel. Residual sediment transport is landward on the flats, because of settling lag, but is strongly seaward in the channel. The seaward transport mainly occurs during big ebbs and is controlled by a length scale ratio L d / X WL , where L d is a cross-shore advective distance (settling time multiplied by river outlet velocity), and X WL is the immersed cross-shore length of the intertidal zone. Sediment trapping requires L d / X WL < 1, leading to more trapping for the faster settling classes. Sensitivity studies show that including stratification and reducing tidal range both favor sediment trapping, whereas varying channel geometries and asymmetry of tides has relatively small impacts. Implications of the modeling results on the south Skagit intertidal region are discussed.

Journal of Geophysical Research C: Oceans↗

Airborne electromagnetic imaging of discontinuous permafrost

The evolution of permafrost in cold regions is inextricably connected to hydrogeologic processes, climate, and ecosystems. Permafrost thawing has been linked to changes in wetland and lake areas, alteration of the groundwater contribution to streamflow, carbon release, and increased fire frequency. But detailed knowledge about the dynamic state of permafrost in relation to surface and groundwater systems remains an enigma. Here, we present the results of a pioneering ∼1,800 line-kilometer airborne electromagnetic survey that shows sediments deposited over the past ∼4 million years and the configuration of permafrost to depths of ∼100 meters in the Yukon Flats area near Fort Yukon, Alaska. The Yukon Flats is near the boundary between continuous permafrost to the north and discontinuous permafrost to the south, making it an important location for examining permafrost dynamics. Our results not only provide a detailed snapshot of the present-day configuration of permafrost, but they also expose previously unseen details about potential surface – groundwater connections and the thermal legacy of surface water features that has been recorded in the permafrost over the past ∼1,000 years. This work will be a critical baseline for future permafrost studies aimed at exploring the connections between hydrogeologic, climatic, and ecological processes, and has significant implications for the stewardship of Arctic environments.

Alaska↗

Snake River Fall Chinook Salmon research and monitoring

In Chapter 1, we report on development and application of an integrated population model (IPM) for the natural-origin fall Chinook salmon population upstream of Lower Granite Dam. This year’s efforts represent the third update to the model. Initial efforts focused on generating juvenile and adult abundance estimates, with estimates of uncertainty, for informing the life-cycle model and estimating the effects of covariates on key demographic parameters. The goals of this year’s report are to 1) describe the modifications and advances made since the previous report, 2) to annually update and report the abundance estimates and other quantities used in the model, 3) to provide annual estimates of population parameters estimated by the IPM, and 4) to outline the next year’s tasks for advancing and/or applying the model. Since our last report on the life-cycle model, we have made a number of changes including: 1) incorporating jack abundance and age-structure data into the observation model, 2) changing smolt-to-adult survival (SAR) for subyearling and yearling to partial SARs that represent the joint probability surviving and entering the ocean at a given juvenile age, 3) combining age categories for rarely observed ages, 4) using scale data from unmarked fish to estimate age structure, and 5) generating composite life-cycle demographic parameters (cumulative capacity and productivity) from stage-specific parameters. We also generated juvenile abundance estimates, extended the model to include three additional brood years (1992– 2021), and ran the model to forecast returns to Lower Granite in 2022. For posterior medians of life stage-specific parameters, we estimated a mean productivity of 438 natural-origin juvenile recruits per female spawner, a capacity of 1.36 million juveniles, and a mean smolt-to-adult survival (SAR) of 1.2%. We detected strong density-dependent regulation, with juvenile recruits per spawner declining to about 50 juvenile recruits per female spawner at high spawner abundance. Across the entire life cycle, these stage-specific parameters resulted in a median cumulative intrinsic productivity of 1.93 adult female recruits per female spawner and a median equilibrium abundance of 2,851 female spawners (7,842 total spawners). Annual juvenile productivity varied from about 250–1,000 juveniles per spawner but displayed no temporal trends or patterns. For the three most recent brood years added to the model, recruits per spawner were higher than average but well within the range of uncertainty observed over the entire time series. In contrast to juvenile recruitment variability, SAR varied considerably among years and exhibited two periods of high survival (1996–2001 and 2007–2012) when SAR ranged from 2% to 6% and cumulative productivity ranged from 2 to 8 recruits per spawner. Partial SARs revealed that yearling outmigrants contributed substantially to the high SARs in the first high-survival period, but the second period was dominated by subyearlings. Yearlings contributed >30% to SAR in most years prior to 2007, and <30% since 2007. Our two-stage IPM provides a wealth of information about population dynamics affecting two key life-stage transitions (spawner to juvenile, and juvenile to spawner) centered on passage at Lower Granite Dam. By summarizing these stage-specific demographic parameters across the entire life cycle, this information will be useful for informing the recovery status of this threatened population. Whereas previous versions introduced hydrosystem and ocean covariates into the model, this phase of model development focused on solidifying the underlying model structure by introducing the concept of partial SARs and developing composite productivity and capacity as a function of underlying stage-specific parameters. Given this advancement, our next steps are to re-incorporate covariates into the model, specifically to understand how different factors affect partial SARs of subyearling and yearlings. Longer term model developments include:1) incorporating hatchery fish to explicitly estimate their survival as an alternative method for estimating natural-origin age composition, 2) expanding the model’s structure to include the three major spawning aggregates, 3) more explicitly modeling hydrosystem effects including transportation, and 4) using the model to assess retrospective and prospective management actions. In 2022, the U.S. Geological Survey (USGS) focused adult salmon survey efforts in the Snake River on deepwater redd searches and fish collection for parentage-based tagging (PBT) analyses. We use used a boat-mounted underwater video camera to count 99 deepwater redds at 16 of the 29 sites surveyed. Redd depths averaged 4.4 m. In conjunction with the Idaho Power Company, we collected genetic samples from 318 live fall Chinook salmon (Oncorhynchus tshawytscha) and 19 carcasses at 40 unique geographic locations that spanned 91 river kilometers. Eighty fish were collected at three sites (High Range [rkm 332.3], Dug Bar [rkm 315.4], and Three Creek [rkm 384.0]), which accounted for 23% of all collected fish in 2022. Most (333 fish) post-spawned salmon were collected from early to mid-November just after the peak of spawning. A summary of 2021 PBT results produced by the Idaho Power Company can be found in Appendix A.2. Beach seining and PIT tagging of subyearling fall Chinook salmon was conducted in Snake and Salmon rivers to obtain information on population metrics and growth as well as to provide data for ongoing life-cycle modeling. In the Snake River, we collected 7,496 subyearlings, tagged 4,139, and recaptured 502 (12.1%). Using 8-mm tags in 45–49-mm fish allowed us to represent an additional 25% of the juvenile population through PIT tagging beyond just using standard 9- and 12-mm tags. In the Salmon River, we captured 206 natural subyearlings with the majority (52%) of fish being captured at two sites: rkm 20 and 26. We tagged 145 subyearlings and recaptured 9 fish. Many of the subyearlings we tagged in the Snake River were detected passing Lower Granite Dam, but only 4 fish tagged in the Salmon River were detected. In total we detected 484 (11.3%) tagged fish at Lower Granite Dam, and detection rates varied by tag size and passage route. More subyearlings were detected passing via the removable spill weir (RSW) earlier in the season while more fish were detected passing through the juvenile fish bypass system (JBS) earlier in the season while more fish were detected passing via the removable spill weir (RSW) later in the season. In general, fish tagged with 12-mm PIT tags had higher detection rates than fish tagged with smaller tags. Survival to Lower Granite Dam was low and ranged from 0.22 to 0.36. Season-wide, growth of subyearlings was higher in the lower reach than in the upper reach of the Snake River.

Idaho, Oregon, Washington↗

Lithology and evolution of the crust-mantle boundary region in the southwestern Basin and Range Province

Mantle and crustal xenoliths from volcanic rocks in the southwestern Basin and Range province and Colorado Plateau Transition Zone reveal histories of episodic magmatism and deformation that have profoundly influenced the crustal structure of this region. Seismic transects in this area show a strongly reflective Moho of generally low relief, which, in the area of modern transects, consists of a thin zone (<2 km thick) of short reflectors. The upper mantle is transparent and has a P n of 7.8–8.0 km/s similar to much of the western United States. A lower crustal zone, 2–13 km thick, has variable internal reflectivity and a relatively low velocity of 6.6–6.8 km/s. Upper mantle peridotite xenoliths show both ductile and brittle deformational features and have structures and compositions affected by magmatic intrusion; intrusions form complex dike systems and extensive zones of grain boundary infiltration in peridotite xenoliths. Whereas melt infiltration preceded and followed ductile deformation, brittle deformation, represented by closely spaced joint systems and faults, followed ductile deformation and is related to the youngest magmatic episodes. These structural characteristics and high uppermost mantle temperature (∼1000°C) may combine to explain the relatively low P n . Alternating layers of ductily deformed and undeformed peridotites, with or without igneous intrusions, may contribute to the reflectivity of the Moho. Lower crustal xenoliths are dominantly igneous-textured pyroxenites and mafic to intermediate gabbros identical to the dikes in peridotite xenoliths. The crustal xenoliths also commonly are jointed, and in addition many show partial melting and have abundant cavities that probably were filled with CO 2 -rich fluids. These rocks are interpreted as products of underplated magmas that were fed through the mantle dike systems and may represent the lowest crustal unit identified in the seismic records. The mafic compositions and high densities of the crustal xenoliths indicate that the low velocity of the lower crust may be caused in part by fracture systems, partial melts, and high temperatures. Garnet granulite xenoliths from a locality with no mantle peridotite xenoliths probably represent crust of the region before late Miocene extension. Felsic granulite xenoliths from two localities have velocities like those of the two lower crustal units identified seismically and could be present in the modern crust as unequilibrated remnants of old crust. The preferred model for the evolution of the lower lithosphere is one in which extension affects the upper mantle as well as the crust and is overlapped in time by multiple magmatic episodes. The earliest magmatic events preceded extension, and later events accompanied and followed extension.

Arizona, California, Nevada↗

Contribution of manipulable and non-manipulable environmental factors to trapping efficiency of invasive sea lamprey

We identified aspects of the trapping process that afforded opportunities for improving trap efficiency of invasive sea lamprey ( Petromyzon marinus ) in a Great Lake's tributary. Capturing a sea lamprey requires it to encounter the trap, enter, and be retained until removed. Probabilities of these events depend on the interplay between sea lamprey behavior, environmental conditions, and trap design. We first tested how strongly seasonal patterns in daily trap catches (a measure of trapping success) were related to nightly rates of trap encounter, entry, and retention (outcomes of sea lamprey behavior). We then tested the degree to which variation in rates of trap encounter, entry, and retention were related to environmental features that control agents can manipulate (attractant pheromone addition, discharge) and features agents cannot manipulate (water temperature, season), but could be used as indicators for when to increase trapping effort. Daily trap catch was most strongly associated with rate of encounter. Relative and absolute measures of predictive strength for environmental factors that managers could potentially manipulate were low, suggesting that opportunities to improve trapping success by manipulating factors that affect rates of encounter, entry, and retention are limited. According to results at this trap, more sea lamprey would be captured by increasing trapping effort early in the season when sea lamprey encounter rates with traps are high. The approach used in this study could be applied to trapping of other invasive or valued species.

Journal of Great Lakes Research↗

Black Mats, Spring-Fed Streams, and Late-Glacial-Age Recharge in the Southern Great Basin

Black mats are prominent features of the late Pleistocene and Holocene stratigraphic record in the southern Great Basin. Faunal, geochemical, and sedimentological evidence shows that the black mats formed in several microenvironments related to spring discharge, ranging from wet meadows to shallow ponds. Small land snails such as Gastrocopta tappaniana and Vertigo berryi are the most common mollusk taxa present. Semiaquatic and aquatic taxa are less abundant and include Catinellids, Fossaria parva, Gyraulus parvus, and others living today in and around perennial seeps and ponds. The ostracodes Cypridopsis okeechobi and Scottia tumida, typical of seeps and low-discharge springs today, as well as other taxa typical of springs and wetlands, are common in the black mats. Several new species that lived in the saturated subsurface also are present, but lacustrine ostracodes are absent. The ??13C values of organic matter in the black mats range from -12 to -26???, reflecting contributions of tissue from both C3 (sedges, most shrubs and trees) and C4 (saltbush, saltgrass) plants. Carbon-14 dates on the humate fraction of 55 black mats fall between 11,800 to 6300 and 2300 14C yr B.P. to modern. The total absence of mats in our sample between 6300 and 2300 14C yr B.P. likely reflects increased aridity associated with the mid-Holocene Altithermal. The oldest black mats date to 11,800-11,600 14C yr B.P., and the peak in the 14C black mat distribution falls at ???10,000 14C yr B.P. As the formation of black mats is spring related, their abundance reflects refilling of valley aquifers starting no later than 11,800 and peaking after 11,000 14C yrB.P. Reactivation of spring-fed channels shortly before 11,200 14C yr B.P. is also apparent in the stratigraphic records from the Las Vegas and Pahrump Valleys. This age distribution suggests that black mats and related spring-fed channels in part may have formed in response to Younger Dryas (YD)-age recharge in the region. However, the inception of black mat formation precedes that of the YD by at least 400 14C yr, and hydrological change is gradual, not rapid. ?? 1998 University of Washington.

Quaternary Research↗

Slicing up the San Francisco Bay Area: Block kinematics and fault slip rates from GPS-derived surface velocities

Observations of surface deformation allow us to determine the kinematics of faults in the San Francisco Bay Area. We present the Bay Area velocity unification (BA??VU??, "bay view"), a compilation of over 200 horizontal surface velocities computed from campaign-style and continuous Global Positioning System (GPS) observations from 1993 to 2003. We interpret this interseismic velocity field using a three-dimensional block model to determine the relative contributions of block motion, elastic strain accumulation, and shallow aseismic creep. The total relative motion between the Pacific plate and the rigid Sierra Nevada/Great Valley (SNGV) microplate is 37.9 ?? 0.6 mm yr-1 directed toward N30.4??W ?? 0.8?? at San Francisco (??2??). Fault slip rates from our preferred model are typically within the error bounds of geologic estimates but provide a better fit to geodetic data (notable right-lateral slip rates in mm yr-1: San Gregorio fault, 2.4 ?? 1.0; West Napa fault, 4.0 ?? 3.0; zone of faulting along the eastern margin of the Coast Range, 5.4 ?? 1.0; and Mount Diablo thrust, 3.9 ?? 1.0 of reverse slip and 4.0 ?? 0.2 of right-lateral strike slip). Slip on the northern Calaveras is partitioned between both the West Napa and Concord/ Green Valley fault systems. The total convergence across the Bay Area is negligible. Poles of rotation for Bay Area blocks progress systematically from the North America-Pacific to North America-SNGV poles. The resulting present-day relative motion cannot explain the strike of most Bay Area faults, but fault strike does loosely correlate with inferred plate motions at the time each fault initiated. Copyright 2005 by the American Geophysical Union.

Journal of Geophysical Research B: Solid Earth↗

Reconnaissance of contaminants in selected wastewater-treatment-plant effluent and stormwater runoff entering the Columbia River, Columbia River Basin, Washington and Oregon, 2008-10

Toxic contamination is a significant concern in the Columbia River Basin in Washington and Oregon. To help water managers and policy makers in decision making about future sampling efforts and toxic-reduction activities, a reconnaissance was done to assess contaminant concentrations directly contributed to the Columbia River through wastewater-treatment-plant (WWTP) effluent and stormwater runoff from adjacent urban environments and to evaluate instantaneous loadings to the Columbia River Basin from these inputs. Nine cities were selected in Oregon and Washington to provide diversity in physical setting, climate characteristics, and population density&mdash;Wenatchee, Richland, Umatilla, The Dalles, Hood River, Portland, Vancouver, St. Helens, and Longview. Samples were collected from a WWTP in each city and analyzed for anthropogenic organic compounds, pharmaceuticals, polychlorinated biphenyls (PCBs), polybrominated diphenyl ether (PBDEs [brominated flame-retardants]), organochlorine or legacy compounds, currently used pesticides, mercury, and estrogenicity. Of the 210 compounds analyzed in the WWTP-effluent samples, 112 (53 percent) were detected, and the detection rate for most compound classes was greater than 80 percent. Despite the differences in location, population, treatment type, and plant size, detection frequencies were similar for many of the compounds detected among the WWTPs. By contrast, the occurrence of polycyclic aromatic hydrocarbons (PAHs) was sporadic, and PCBs were detected at only three WWTPs. The stormwater-runoff samples were analyzed for a slightly different set of contaminants, with the focus on those expected to be related to road and land runoff&mdash;PCBs, PBDEs, organochlorine compounds, PAHs, currently used pesticides, trace elements, mercury, and oil and grease. A complex mixture of compounds was detected in stormwater runoff, with detections of 114 (58 percent) of the 195 compounds analyzed. The detection patterns and concentrations measured in the stormwater-runoff samples, however, were more heterogeneous than in the WWTP-effluent samples. This reflects differences in various factors, including suspended-sediment concentrations and known contamination sources present in some watersheds. Trace elements and PAHs, which are related to automobiles and impervious surfaces, were the most widespread compound classes detected in stormwater runoff, a typical finding in stormwater runoff in urban areas. With a better understanding of the presence of these contaminants in the environment, future work can focus on developing research to characterize the effects of these contaminants on aquatic life and prioritize toxic-reduction efforts for the Columbia River Basin.

Washington;Oregon↗