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At least 217 records · Page 12Linked to original sources

Wetland restoration, flood pulsing, and disturbance dynamics

While it is generally accepted that flood pulsing and disturbance dynamics are critical to wetland viability, there is as yet no consensus among those responsible for wetland restoration about how best to plan for those phenomena or even whether it is really necessary to do so at all. In this groundbreaking book, Dr. Beth Middleton draws upon the latest research from around the world to build a strong case for making flood pulsing and disturbance dynamics integral to the wetland restoration planning process. While the initial chapters of the book are devoted to laying the conceptual foundations, most of the coverage is concerned with demonstrating the practical implications for wetland restoration and management of the latest ecological theory and research. It includes a fascinating case history section in which Dr. Middleton explores the restoration models used in five major North American, European, Australian, African, and Asian wetland projects, and analyzes their relative success from the perspective of flood pulsing and disturbance dynamics planning. Wetland Restoration also features a wealth of practical information useful to all those involved in wetland restoration and management, including: * A compendium of water level tolerances, seed germination, seedling recruitment, adult survival rates, and other key traits of wetland plant species * A bibliography of 1,200 articles and monographs covering all aspects of wetland restoration * A comprehensive directory of wetland restoration ftp sites worldwide * An extensive glossary of essential terms

Book

Borehole geophysical investigations in the south Texas uranium district

Contrasts of electrical properties between uranium deposits and their host rocks in South Texas are subtle. In places where deposits are small or deep, conventional geophysical well-logging techniques and hole-to-hole measurements may be the only practical method to detect changes in rock properties associated with the occurrence of uranium ore deposits. Two separate ore-producing areas in South Texas were chosen for studying borehole geophysical techniques applied to uranium-exploration problems. Extensive measurements of physical properties were made on cores and taken from holes where electrical-resistivity, induced-polarization and gamam-ray logs were run. These analyses show that: (1) induced-polarization anomalies are caused by a change in pyrite content and clay-sized material content and (2) resistivity anomalies are associated with a change in clay-sized material content and cementation. In addition to conventional borehole techniques, hole-to-hole induced-polarization and resistivity tests were made in South Texas. These measurements were made by placing a current source down one hole and a receiver cable down an adjacent hole whose separation ranged from 30 to 300 m and hole depths varied from 80 to 270 m. These tests show that hole-to-hole measurements can be used to detect changes in physical properties, associated with uranium ore, that occur between boreholes. Hole-to-hole measurements provide a link between surface measurements and well logs and can minimize the amount of drilling needed to locate an ore deposit. Accordingly, borehole geophysics will become an increasingly important evaluation tool as mineral exploration goes deeper.

Texas

Petroleum system and production characteristics of the Muddy (J) Sandstone (Lower Cretaceous) Wattenberg continuous gas field, Denver basin, Colorado

Wattenberg field is a continuous-type gas accumulation. Estimated ultimate recovery from current wells is 1.27 tcf of gas from the Lower Cretaceous Muddy (J) Sandstone. Mean gas resources that have the potential to be added to these reserves in the next 30 yr are 1.09 tcf; this will be primarily through infill drilling to recover a greater percentage of gas in place and to drain areas that are isolated because of geologic compartmentalization. Greatest gas production from the Muddy (J) Sandstone in Wattenberg field occurs (1) from within the most permeable and thickest intervals of Fort Collins Member delta-front and nearshore-marine sandstones, (2) to a lesser extent from the Horsetooth Member valley-fill channel sandstones, (3) in association with a large thermal anomaly that is delineated by measured temperatures in wells and by vitrinite reflectance contours of 0.9% and greater, (4) in proximity to the bounding Mowry, Graneros, and Skull Creek shales that are the hydrocarbon source rocks and reservoir seals, and (5) between the Lafayette and Longmont right-lateral wrench fault zones (WFZs) with secondary faults that act as conduits in areas of the field. The axis of greatest gas production is north 25 to 35 degrees northeast, which parallels the basin axis. Recurrent movement along five right-lateral WFZs that crosscut Wattenberg field shifted the Denver basin axis to the northeast and influenced depositional and erosional patterns of the reservoir and seal intervals. Levels of thermal maturity within the Wattenberg field are anomalously high compared to other areas of the Denver basin. The Wattenberg field thermal anomaly may be due to upward movement of fluids along faults associated with probable igneous intrusions. Areas of anomalous high heat flow within the field correlate with an increased and variable gas-oil ratio. Debra Higley has 5 years experience in uranium exploration and 20 years as a petroleum geologist with the U.S. Geological Survey. Her research interests include and integrate reservoir characterization, thermal maturation studies, and petroleum resource assessment in basins in North and South America. She received a B.S. degree in geology from Mesa State College (Colorado) and an M.S. degree in geochemistry and Ph.D. in geology from the Colorado School of Mines.Dave Cox is vice president of Reservoir Engineering for Questa Engineering in Golden, Colorado. He has 25 years experience in the oil and gas industry, primarily in reservoir engineering and property evaluations, and has analyzed reservoirs in 31 states of the United States and 19 other countries. He is an expert in coalbed methane, tight gas reservoirs, and enhanced oil recovery. He has B.S. and M.S. degrees in petroleum engineering from the Colorado School of Mines. Robert Weimer has taught courses in stratigraphy, regional and field geology, and energy resource exploration and development for 43 years. He earned B.A. and M.A. degrees from the University of Wyoming and his Ph.D. from Stanford University. He has been a visiting professor at universities in Calgary, Canada; Adelaide, Australia; and Bandung, Indonesia. He is currently professor emeritus, Colorado School of Mines. Weimer has been honored for teaching excellence, blending basic and applied research, national and international continuing education, and service to scientific societies and to state and national boards.

Colorado

Integrating landslide and liquefaction hazard and loss estimates with existing USGS real-time earthquake information products

The U.S. Geological Survey (USGS) has made significant progress toward the rapid estimation of shaking and shakingrelated losses through their Did You Feel It? (DYFI), ShakeMap, ShakeCast, and PAGER products. However, quantitative estimates of the extent and severity of secondary hazards (e.g., landsliding, liquefaction) are not currently included in scenarios and real-time post-earthquake products despite their significant contributions to hazard and losses for many events worldwide. We are currently running parallel global statistical models for landslides and liquefaction developed with our collaborators in testing mode, but much work remains in order to operationalize these systems. We are expanding our efforts in this area by not only improving the existing statistical models, but also by (1) exploring more sophisticated, physics-based models where feasible; (2) incorporating uncertainties; and (3) identifying and undertaking research and product development to provide useful landslide and liquefaction estimates and their uncertainties. Although our existing models use standard predictor variables that are accessible globally or regionally, including peak ground motions, topographic slope, and distance to water bodies, we continue to explore readily available proxies for rock and soil strength as well as other susceptibility terms. This work is based on the foundation of an expanding, openly available, case-history database we are compiling along with historical ShakeMaps for each event. The expected outcome of our efforts is a robust set of real-time secondary hazards products that meet the needs of a wide variety of earthquake information users. We describe the available datasets and models, developments currently underway, and anticipated products.

Conference Paper

Integrating scientific knowledge into large-scale restoration programs: the CALFED Bay-Delta Program experience

Integrating science into resource management activities is a goal of the CALFED Bay-Delta Program, a multi-agency effort to address water supply reliability, ecological condition, drinking water quality, and levees in the Sacramento-San Joaquin Delta of northern California. Under CALFED, many different strategies were used to integrate science, including interaction between the research and management communities, public dialogues about scientific work, and peer review. This paper explores ways science was (and was not) integrated into CALFED's management actions and decision systems through three narratives describing different patterns of scientific integration and application in CALFED. Though a collaborative process and certain organizational conditions may be necessary for developing new understandings of the system of interest, we find that those factors are not sufficient for translating that knowledge into management actions and decision systems. We suggest that the application of knowledge may be facilitated or hindered by (1) differences in the objectives, approaches, and cultures of scientists operating in the research community and those operating in the management community and (2) other factors external to the collaborative process and organization.

Environmental Science and Policy

North Atlantic right whale (Eubalaena glacialis) scenario planning summary report

Scenario planning provides a structured framework that can be used in strategic planning to help manage risk and prioritize actions (Schwartz 1996; Peterson et al. 2003). By providing a mechanism to communicate about complex situations, scenario planning encourages “out-of-the-box” thinking to help groups assess the impacts of plausible future scenarios on a target or resource. The outcomes from scenario planning can be used to improve management decisions, highlight data gaps, and/or identify future science priorities (Star et al. 2015; Borggaard et al. 2019). The application of scenario planning by resource management organizations (e.g., Borggaard et al. 2019; Runyon et al. 2020; Star et al. 2015) and the urgency surrounding the recovery of the critically endangered North Atlantic right whale (Eubalaena glacialis), led to a 2018 NOAA Fisheries scenario planning initiative for the species. In addition to complementing the many management and conservation efforts already underway, this initiative was designed to address the uncertainties around future anthropogenic and environmental changes and how these uncertainties may impact species recovery. We used a scenario planning framework to explore plausible future conditions for North Atlantic right whales and to develop possible options to address those conditions and improve recovery. Specific objectives were to: 1) better understand the challenges of right whale management in a changing climate; 2) identify potential research activities and recovery needs across the species’ range; 3) increase coordination and collaboration related to recovery efforts; and 4) explore how scenario planning can be used to support decisions. Using projected changes in ocean conditions coupled with anthropogenic stressors, we built four plausible future scenarios for right whales. These scenarios helped identify priority research and management actions that NOAA Fisheries and our partners can undertake to improve right whale recovery. We identified priority actions related to science, management, and partnerships including, but not limited to, 1) research on shifting spatial and temporal distributions of right whales and prey in a changing climate; 2) development of technology to further reduce impacts from human activities; 3) continuation of ongoing management efforts related to vessel traffic and fishing; and 4) continued maintenance of existing and development of new partnerships (e.g., industry engagement in problem solving). This scenario planning exercise helped prioritize North Atlantic right whale management and science needs in light of changing ocean conditions and anthropogenic impacts. It can also serve as a reference for how NOAA Fisheries and its partners can better prepare for multiple plausible futures while complementing other on-going initiatives. Priorities identified here can be considered in conjunction with implementation and monitoring actions such as with the Atlantic Large Whale Take Reduction Team (ALWTRT) and/or regional Right Whale U.S. Implementation Teams. The framework can also be repeated and improved upon as additional information becomes available to support future exercises.

Technical Memorandum

Meeting summary - Coastal meteorology and oceanography: Report of the third prospectus development team of the U.S. Weather Research Program to NOAA and NSF

U.S. Weather Research Program (USWRP) prospectus development teams (PDTs) are small groups of scientists that are convened by the USWRP lead scientist on a one-time basis to discuss critical issues and to provide advice related to future directions of the program. PDTs are a principal source of information for the Science Advisory Committee, which is a standing committee charged with the duty of making recommendations to the Program Office based upon overall program objectives. PDT-1 focused on theoretical issues, and PDT-2 on observational issues; PDT-3 is the first of several to focus on more specialized topics. PDT-3 was convened to identify forecasting problems related to U.S. coastal weather and oceanic conditions, and to suggest likely solution strategies. There were several overriding themes that emerged from the discussion. First, the lack of data in and over critical regions of the ocean, particularly in the atmospheric boundary layer, and the upper-ocean mixed layer were identified as major impediments to coastal weather prediction. Strategies for data collection and dissemination, as well as new instrument implementation, were discussed. Second, fundamental knowledge of air-sea fluxes and boundary layer structure in situations where there is significant mesoscale variability in the atmosphere and ocean is needed. Companion field studies and numerical prediction experiments were discussed. Third, research prognostic models suggest that future operational forecast models pertaining to coastal weather will be high resolution and site specific, and will properly treat effects of local coastal geography, orography, and ocean state. The view was expressed that the exploration of coupled air-sea models of the coastal zone would be a particularly fruitful area of research. PDT-3 felt that forecasts of land-impacting tropical cyclones, Great Lakes-affected weather, and coastal cyclogenesis, in particular, would benefit from such coordinated modeling and field efforts. Fourth, forecasting for Arctic coastal zones is limited by our understanding of how sea ice forms. The importance of understanding air-sea fluxes and boundary layers in the presence of ice formation was discussed. Finally, coastal flash flood forecasting via hydrologic models is limited by the present accuracy of measured and predicted precipitation and storm surge events. Strategies for better ways to improve the latter were discussed.

Conference Paper

Developing analytical approaches to explore the connection between endocrine-active pharmaceuticals in water to effects in fish

The emphasis of this research project was to develop and optimize a solid-phase extraction method and highperformance liquid chromatography-electrospray ionizationmass spectrometry method, such that a linkage between the detection of endocrine-active pharmaceuticals (EAPs) in the aquatic environment and subsequent effects on fish populations could eventually be studied. Four EAPs were studied: tamoxifen (TAM), exemestane (EXE), letrozole (LET), anastrozole (ANA); and three TAM metabolites: 4- hydroxytamoxifen, e/z endoxifen, and n-desmethyl tamoxifen. In aqueous matrices, the use of isotopically labeled standards for the EAPs allowed for the generation of good recoveries, greater than 80 %, and low relative standard deviations (% RSDs) (3 to 27 %). TAM metabolites had lower recoveries in the spiked water matrices: 35 to 93 % in waste/source water compared to 58 to 110 % in DI water. The precision in DI water was acceptable ranging from 8 to 38 % RSD. However, the precision in real environmental wastewaters could be poor, ranging from 15 to 120 % RSD, dependent upon unique matrix effects. In plasma, the overall recoveries of the EAPs were acceptable: 88 to 110 %, with %RSDs of 6 to 18 % (Table 3). The spiked recoveries of the TAM metabolites from plasma were good, ranging from 77 to 120 %, with %RSDs ranging from 27 to 32 %. Two of the TAM metabolites, 4- hydroxytamoxifen and n-desmethyl tamoxifen, were confirmed in most of the environmental aqueous samples. The discovery of TAM metabolites demonstrates that the source of the TAM metabolites, TAM, is constant, introducing a pseudo-persistence of this chemical into the environment.

Analytical and Bioanalytical Chemistry

Graphical function mapping as a new way to explore cause-and-effect chains

Graphical function mapping provides a simple method for improving communication within interdisciplinary research teams and between scientists and nonscientists. This article introduces graphical function mapping using two examples and discusses its usefulness. Function mapping projects the outcome of one function into another to show the combined effect. Using this mathematical property in a simpler, even cartoon-like, graphical way allows the rapid combination of multiple information sources (models, empirical data, expert judgment, and guesses) in an intuitive visual to promote further discussion, scenario development, and clear communication.

Fisheries

An overview and participatory framework for choosing spatial boundaries in social–ecological systems modeling

A common challenge when modeling social–ecological systems (SESs) is defining the spatial extent of the system. Boundaries that do not adequately capture both social and ecological processes and their interactions can lead to mischaracterization of the system, while expanding boundaries too widely can impact model complexity and required resources. Socially, boundaries can invoke and influence identity, culture, power, and sense of place. Boundary decisions benefit from flexible, iterative approaches and the expertise of local communities. Here, we use a structured database search supplemented with citation searching to identify and review the literature that addresses choosing or defining spatial boundaries in SESs mapping or modeling and, when applicable, how participatory methods were used in the research process. In a review of the resulting 79 studies, we discovered that pre-existing social or ecological boundaries were used most frequently (36 and 18 publications, respectively). Twenty-one publications combined social and ecological boundaries or data to create custom boundaries, and four studies used an alternative approach to conventional boundaries. Informed by the literature review, we present a general framework for defining boundaries at the outset of SES research. We then connect the framework to a specific case study based on a collaborative project with Tribal, university, and federal scientists to develop a social–ecological climate adaptation plan. We present guiding questions alongside candidate boundaries for our study system and explore the tradeoffs of these boundary options, which can function as a useful template for other social–ecological research collaborations.

ISPRS International Journal of Geo-Information

Analysis of dispersion and attenuation of surface waves in poroelastic media in the exploration-seismic frequency band

We analyse dispersion and attenuation of surface waves at free surfaces of possible vacuum/poroelastic media: permeable-‘open pore’, impermeable-‘closed pore’ and partially permeable boundaries, which have not been previously reported in detail by researchers, under different surface-permeable, viscous-damping, elastic and fluid-flowing conditions. Our discussion is focused on their characteristics in the exploration-seismic frequency band (a few through 200 Hz) for near-surface applications. We find two surface-wave modes exist, R 1 waves for all conditions, and R 2 waves for closed-pore and partially permeable conditions. For R 1 waves, velocities disperse most under partially permeable conditions and least under the open-pore condition. High-coupling damping coefficients move the main dispersion frequency range to high frequencies. There is an f 1 frequency dependence as a constant- Q model for attenuation at high frequencies. R 1 waves for the open pore are most sensitive to elastic modulus variation, but least sensitive to tortuosities variation. R 1 waves for partially permeable surface radiate as non-physical waves (Im( k ) < 0) at low frequencies. For R 2 waves, velocities are slightly lower than the bulk slow P 2 waves. At low frequencies, both velocity and attenuation are diffusive of f 1/2 frequency dependence, as P 2 waves. It is found that for partially permeable surfaces, the attenuation displays - f 1 frequency dependence as frequency increasing. High surface permeability, low-coupling damping coefficients, low Poisson′s ratios, and low tortuosities increase the slope of the - f 1 dependence. When the attenuation coefficients reach 0, R 2 waves for partially permeable surface begin to radiate as non-physical waves.

Geophysical Journal International

Hydrologic characteristics of freshwater mussel habitat: novel insights from modeled flows

The ability to model freshwater stream habitat and species distributions is limited by the spatially sparse flow data available from long-term gauging stations. Flow data beyond the immediate vicinity of gauging stations would enhance our ability to explore and characterize hydrologic habitat suitability. The southeastern USA supports high aquatic biodiversity, but threats, such as landuse alteration, climate change, conflicting water-resource demands, and pollution, have led to the imperilment and legal protection of many species. The ability to distinguish suitable from unsuitable habitat conditions, including hydrologic suitability, is a key criterion for successful conservation and restoration of aquatic species. We used the example of the critically endangered Tar River Spinymussel ( Parvaspina steinstansana ) and associated species to demonstrate the value of modeled flow data (WaterFALL™) to generate novel insights into population structure and testable hypotheses regarding hydrologic suitability. With ordination models, we: 1) identified all catchments with potentially suitable hydrology, 2) identified 2 distinct hydrologic environments occupied by the Tar River Spinymussel, and 3) estimated greater hydrological habitat niche breadth of assumed surrogate species associates at the catchment scale. Our findings provide the first demonstrated application of complete, continuous, regional modeled hydrologic data to freshwater mussel distribution and management. This research highlights the utility of modeling and data-mining methods to facilitate further exploration and application of such modeled environmental conditions to inform aquatic species management. We conclude that such an approach can support landscape-scale management decisions that require spatial information at fine resolution (e.g., enhanced National Hydrology Dataset catchments) and broad extent (e.g., multiple river basins).

North Carolina

Testing a small UAS for mapping artisanal diamond mining sites in Africa

Remote sensing technology is advancing at an unprecedented rate. At the forefront of the new technological developments are unmanned aircraft systems (UAS). The advent of small, lightweight, low-cost, and user-friendly UAS is greatly expanding the potential applications of remote sensing technology and improving the set of tools available to researchers seeking to map and monitor terrain from above. In this article, we explore the applications of a small UAS for mapping informal diamond mining sites in Africa. We found that this technology provides aerial imagery of unparalleled resolution in a data-sparse, difficult to access, and remote terrain.

Photogrammetric Engineering and Remote Sensing

Detection of landslide-generated tsunami by shipborne GNSS precise point positioning

Precise point positioning (PPP) of ships using Global Navigation Satellite System (GNSS) data reveals the precise movements of marine vessels. This method may quantify anomalies in sea surface height with implications for oceanographic monitoring, exploration, and tsunami warning. The GNSS PPP data from the R/V Sikuliaq , a research ship of the University of Alaska Fairbanks, were processed to detect a small local tsunami generated by the Lowell Point landslide, which occurred near Seward, Alaska, on 8 May 2022 (UTC). The GNSS receiver aboard the R/V Sikuliaq recorded the waves generated by the landslide, with a maximum wave amplitude of 6 cm and wave periods between 40 and 50 s. These results are consistent with simulations of the landslide event.

Alaska

Descriptive models for epithermal gold-silver deposits

Epithermal gold-silver deposits are vein, stockwork, disseminated, and replacement deposits that are mined primarily for their gold and silver contents; some deposits also contain substantial resources of lead, zinc, copper, and (or) mercury. These deposits form in the uppermost parts of the crust, at depths less than about 1,500 meters below the water table, and at temperatures below about 300 °C. Most epithermal gold-silver deposits are genetically related to hydrothermal systems associated with subaerial volcanism and intrusion of calc-alkaline magmas along convergent plate margins. These deposits formed throughout most of geologic time, although most known deposits are Cenozoic, which reflects preferential preservation of these shallowly formed deposits in tectonically unstable regions. Epithermal gold-silver deposits range in size from tens of thousands to greater than 1 billion metric tons of ore and have gold contents of 0.1 to greater than 30 grams per metric ton and silver contents of less than 1 to several thousand grams per metric ton. Historically, these deposits have been an important source of gold and silver and are estimated to contain about 8 percent of global gold. The wide range of tonnage-grade characteristics makes epithermal gold-silver deposits an attractive target for small and large exploration and mining companies. This report constitutes a new descriptive model for epithermal gold-silver deposits. It summarizes characteristics of known deposits, including their geological, geophysical, geochemical, and geoenvironmental aspects. Models concerning the genesis of epithermal gold-silver deposits are discussed. The application of descriptive and genetic aspects of the model to mineral exploration and resource assessment of undiscovered deposits is described. Finally, areas where additional research is needed to better understand the genesis of these deposits are identified. An extensive summary table outlining the characteristics of about 100 epithermal gold-silver deposits is included as an appendix; this summary table includes most of the world’s largest epithermal gold-silver deposits, and many smaller, well-studied deposits.

Scientific Investigations Report

Determination of coalbed methane potential and gas adsorption capacity in Western Kentucky coals

The Illinois Basin has not been developed for Coalbed Methane (CBM) production. It is imperative to determine both gas content and other parameters for the Kentucky portion of the Illinois Basin if exploration is to progress and production is to occur in this area. This research is part of a larger project being conducted by the Kentucky Geological Survey to evaluate the CBM production of Pennsylvanian-age western Kentucky coals in Ohio, Webster, and Union counties using methane adsorption isotherms, direct gas desorption measurements, and chemical analyses of coal and gas. This research will investigate relationships between CBM potential and petrographic, surface area, pore size, and gas adsorption isotherm analyses of the coals. Maceral and reflectance analyses are being conducted at the Center for Applied Energy Research. At the Indiana Geological Survey, the surface area and pore size of the coals will be analyzed using a Micrometrics ASAP 2020, and the CO2 isotherm analyses will be conducted using a volumetric adsorption apparatus in a water temperature bath. The aforementioned analyses will be used to determine site specific correlations for the Kentucky part of the Illinois Basin. The data collected will be compared with previous work in the Illinois Basin and will be correlated with data and structural features in the basin. Gas composition and carbon and hydrogen isotopic data suggest mostly thermogenic origin of coalbed gas in coals from Webster and Union Counties, Kentucky, in contrast to the dominantly biogenic character of coalbed gas in Ohio County, Kentucky.

Conference Paper

Biology characterization breakout report

The primary goal of the biology characterization breakout group was to identify the strategies, tools, data priorities, and key partnerships needed to conduct baseline biological characterizations of deep-sea benthic environments across the U.S. EEZ in the Pacific. Discussions focused primarily on priorities for the characterization of deep-water (>200-meter depths) benthic biological communities; however, the group also emphasized that such characterizations need to be linked to efforts to characterize the overlying water column. The group was tasked with identifying how to prioritize exploration and characterization efforts, including how to identify priority geographic areas and specific methodologies needed to execute exploration activities. The expert community that provided input included representatives from various stakeholder groups actively working on deep-sea issues across the Pacific, including researchers and managers from government agencies, academic institutions, nongovernmental institutions, and the private sector. This report provides a summary of specific guidance identified as key for the successful exploration of deep-sea benthic habitats within the U.S. EEZ in the Pacific, as well as in adjacent international waters.

Conference Paper