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At least 343 records · Page 19Linked to original sources

Geomorphic classification of the Lower Platte River, Nebraska

Geomorphic attributes were collected from natural color aerial orthophotography to develop a multiscale classification for the downstream-most 220 kilometers of the Platte River in eastern Nebraska. The intent of this classification is to define discrete reaches that have geomorphic characteristics favorable to endangered interior least terns ( Sternula antillarum ) and threatened piping plovers ( Charadrius melodus ) who use riverine sandbars for nesting habitat. Annual to daily fluctuations in discharge present a challenge to characterizing emergent sandbar habitat directly from existing aerial orthophotography for the Platte River. Therefore, this classification is based on geomorphic measures that are relatively insensitive to prevailing river discharge but may be physically related to emergent sandbar locations. Such features include valley width, channel width, and sinuosity. The results provide four-cluster and seven-cluster classifications for the Lower Platte River based on naturally occurring, statistically determined clusters of features. The classification was validated using tern and plover nest data for 2006–08. Forty-nine percent of the nest locations fell within the same class type in the four-cluster classification, which represented 18 percent of the study area. This class is found primarily in the Eastern Platte River Gorge, downstream from Salt Creek and upstream from the junction of the Platte River with the Missouri River.

Nebraska

Geologic assessment of undiscovered oil and gas resources in the Cherokee Platform area of Kansas, Oklahoma, and Missouri

In 2015, the U.S. Geological Survey completed a geology-based assessment to estimate the volumes of undiscovered, technically recoverable petroleum resources in the Cherokee Platform Province area of southeastern Kansas, northeastern Oklahoma, and southwestern Missouri. The U.S. Geological Survey identified four stratigraphic intervals that contain petroleum source rocks: (1) thin shales in the Middle to Upper Ordovician Simpson Group, (2) shales within the Upper Devonian to Lower Mississippian Woodford Shale and stratigraphically equivalent Chattanooga Shale, (3) coals and coal-associated shales and mudstones in the Middle Pennsylvanian (Desmoinesian) Cherokee and Marmaton Groups, and (4) thin marine shales within the Marmaton Group and the Upper Pennsylvanian (Missourian) Kansas City and Lansing Groups. Based on the nature of the petroleum accumulations, the characterization of the compositions and thermal maturity of the organic matter in the rocks, and the compositions of the produced petroleum, the U.S. Geological Survey identified three total petroleum systems (TPS) containing four assessment units (AU): the Paleozoic Composite TPS with the Paleozoic Conventional Assessment Unit (AU), the Woodford/Chattanooga TPS with the Woodford Shale Oil AU and the Woodford Biogenic Gas AU, and the Desmoinesian Coal TPS with the Desmoinesian Coalbed Gas AU. Assessment unit summaries follow 1. Three source rock intervals have contributed geochemically distinct oils to reservoirs within the Paleozoic Conventional AU. These intervals are the Simpson Group; the Woodford and Chattanooga Shales; and the Marmaton, Kansas City, and Lansing Groups. The major petroleum source rocks are the Woodford and Chattanooga Shales. The Paleozoic Conventional AU includes reservoirs that range in age from the Upper Cambrian Arbuckle Group to the lower Permian Chase Group. Most oil production in the province has been from Pennsylvanian sandstone reservoirs. Estimated undiscovered petroleum resources for this AU are a mean of 3 million barrels of oil (MMBO), 140 billion cubic feet of gas (BCFG), and 4 million barrels of natural gas liquids (MMBNGL). 2. The Woodford Shale Oil AU contains undiscovered continuous petroleum resources within the Woodford Shale and Chattanooga Shale. The geologic model for the AU assumes that petroleum resources remain trapped within the shale following petroleum migration. For most of the AU, organic matter within the Woodford Shale and Chattanooga Shale is thermally mature with respect to petroleum generation as shown by vitrinite reflectance values between 0.6 and 1 percent. Petroleum has been produced from the Woodford Shale and Chattanooga Shale. Estimated undiscovered petroleum resources for this AU are means of 460 MMBO, 640 BCFG, and 7 MMBNGL. 3. The Woodford Shale Biogenic Gas AU contains undiscovered continuous petroleum resources in the east-central portion of the Cherokee Platform Province near the Ozark uplift where the Woodford Shale and Chattanooga Shale are at depths of 1,250 ft or shallower. At those depths, methanogenesis and(or) biodegradation of thermogenic natural gases can be found where the shale may be more fractured and more susceptible to groundwater penetrations. The mean assessed volume of undiscovered gas for this assessment unit is 416 BCFG and 1 MMBNGL. 4. The Desmoinesian Coalbed Gas AU contains undiscovered continuous petroleum resources within the Middle Pennsylvanian coals and coal-associated shales and mudstones. The boundaries for the Desmoinesian Coalbed Gas AU are, in part, defined by the extent, depth, and thickness of the coals. Within the Desmoinesian Coalbed Gas AU, a sweet spot area was delineated based on a 10 foot or greater net coal thickness. Gas analytical data show that natural gas produced from the coals has a mixed biogenic and thermogenic origin and that there is significant migration of natural gas into the coals from adjacent conventional sandstone reservoirs. The estimated mean volume of undiscovered gas is 10.0 trillion cubic ft of gas (TCFG), and 23 MMBNGL. For the three continuous (unconventional) assessment units and one conventional assessment unit in the Cherokee Platform Province, total mean volumes of undiscovered petroleum resources are estimated to be 463 MMBO, 11.2 TCFG and 35 MMBNGL.

Kansas, Missouri, Oklahoma

Estimating the power of a standardized monitoring program for sportfish in Georgia, USA

Objective Biological monitoring is a major component of management decisions and operating budgets of many natural resource management agencies. Given the scientific and financial commitments to monitoring, it is critical to estimate the ability to detect trends through time (i.e., power). Methods The Georgia Department of Natural Resources has monitored reservoir sport fish populations since the 1980s. We estimated the power to detect simulated long-term (≥10 years) changes in relative abundance (CPUE) for Largemouth Bass (some of which are a potential genetic admixture of the recently described species Micropterus nigricans [now known as Largemouth Bass] and M. salmoides [now known as Florida Bass)] and Black Crappie Pomoxis nigromaculatus sampled with electrofishing and gill nets, respectively, across multiple reservoirs ( n = 21). Reservoir-specific simulations were parameterized using 13 years (∼2010–2022) of monitoring data. Power was calculated as the proportion of simulations ( n = 1,000) resulting in significant ( P ≤ 0.1) temporal trends across a 10-year period. We considered power ≥0.8 (i.e., 80% of simulations with significant trends) as the threshold for sufficient power across reservoirs. For both species, we estimated power under three scenarios: (1) declining CPUE, (2) increasing CPUE, and (3) reduction to biennial sampling effort with a 50% decline in CPUE. Results Most reservoirs had sufficient power to detect either a 50% decline or a 100% increase in CPUE of Largemouth Bass across a 10-year period. Switching from annual to biennial sampling for Largemouth Bass reduced the number of reservoirs with sufficient power by half. Power was generally lower for Black Crappie until larger declines (75%) or increases (400%) were imposed. Conclusions We found that Largemouth Bass monitoring was generally near or beyond our reference threshold, but post hoc correlation analyses suggested that the power of Black Crappie data could be increased with more within-reservoir station replication. Overall, using data simulation to estimate power proved a valuable tool in assessing the potential ability of common monitoring approaches to detect change.

Georgia

Views of the Sea Floor in Northern Monterey Bay, California

A sonar survey that produced unprecedented high-resolution images of the sea floor in northern Monterey Bay was conducted in 2005 and 2006. The survey, performed over 14 days by the U.S. Geological Survey (USGS), consisted of 172 tracklines and over 300 million soundings and covered an area of 12.2 km2 (4.7 mi2). The goals of this survey were to collect high-resolution bathymetry (depth to the sea floor) and acoustic backscatter data (amount of sound energy bounced back from the sea floor, which provides information on sea-floor hardness and texture) from the inner continental shelf. These data will provide a baseline for future change analyses, geologic mapping, sediment- and contaminant-transport studies, benthic-habitat delineation, and numerical modeling efforts. The survey shows that the inner shelf in this area is extremely varied in nature, encompassing flat sandy areas, faults, boulder fields, and complex bedrock ridges that support rich marine ecosystems. Furthermore, many of these complex bedrock ridges form the ?reefs? that result in a number of California?s classic surf breaks.

Scientific Investigations Map

Delineation of selected lithologic units using airborne electromagnetic data near Cedar Rapids, Iowa

The U.S. Geological Survey, in cooperation with the City of Cedar Rapids, began a study in 2013 to better understand the effects of drought stress on the Cedar River alluvial aquifer. After an evaluation of the existing groundwater-flow models for the alluvial aquifer, a plan was begun to construct an updated groundwater-flow model capable of evaluating the effect of prolonged drought and increased demand. As part of the effort to update the existing groundwater-flow model, data were collected during an airborne electromagnetic (AEM) survey in May 2017. The study area for the AEM survey encompasses about 53 square kilometers of the Cedar River Basin, west of Cedar Rapids, Iowa, and includes a 19-kilometer reach of the Cedar River. The AEM survey of the Cedar River alluvial aquifer and adjacent areas was completed to characterize the subsurface geology of the area to refine a lithologic framework. The collected AEM data were postprocessed by numerical inversion using the program EM1DFM to produce subsurface apparent resistivity cross sections. Changes observed in resistivity profile values with depth were used to infer lithologic changes and delineate three of the four lithologic units designated in the lithologic framework for this area: alluvial deposits, glacial till, and bedrock; hereafter referred to as the “lithologic framework.” The fourth unit, composed of surficial eolian sediments, was not delineated in these profiles because these units are thin and discontinuous and are not reliably distinguishable from flood plain alluvial deposits. For the purposes of delineating lithologic units using the AEM data, bedrock was assumed to be the lowest unit in a profile, glacial till was deposited on a bedrock surface, and alluvium was deposited on erosional till or bedrock surfaces. A three-dimensional fence diagram was created as part of the lithologic framework to further define the extent and thickness of the lithologic units near the Cedar River alluvial aquifer. The fence diagram shows a three-dimensional perspective of unit thickness, extent, and orientation of the delineated lithologic framework. A lithologic framework, by design, is intended to represent a simplification of a more complex natural system through data interpolation between known points, which usually are lithologic logs. The resistivity profiles produced from the AEM survey allow for continuous mapping and accurate interpolation of lithology between lithologic logs; however, the apparent resistivity value may reflect several characteristics of subsurface materials including variations in lithology, porosity, water quality, grain sorting, and degree of saturation. In this study, the only variables considered were those related to changes in the subsurface material.

Iowa

Isotropic, anisotropic, and borehole washout analyses in Gulf of Mexico Gas Hydrate Joint Industry Project Leg II, Alaminos Canyon well 21-A

Through the use of three-dimensional seismic amplitude mapping, several gas hydrate prospects were identified in the Alaminos Canyon area of the Gulf of Mexico. Two of the prospects were drilled as part of the Gulf of Mexico Gas Hydrate Joint Industry Program Leg II in May 2009, and a suite of logging-while-drilling logs was acquired at each well site. Logging-while-drilling logs at the Alaminos Canyon 21–A site indicate that resistivities of approximately 2 ohm-meter and P-wave velocities of approximately 1.9 kilometers per second were measured in a possible gas-hydrate-bearing target sand interval between 540 and 632 feet below the sea floor. These values are slightly elevated relative to those measured in the hydrate-free sediment surrounding the sands. The initial well log analysis is inconclusive in determining the presence of gas hydrate in the logged sand interval, mainly because large washouts in the target interval degraded well log measurements. To assess gas-hydrate saturations, a method of compensating for the effect of washouts on the resistivity and acoustic velocities is required. To meet this need, a method is presented that models the washed-out portion of the borehole as a vertical layer filled with seawater (drilling fluid). Owing to the anisotropic nature of this geometry, the apparent anisotropic resistivities and velocities caused by the vertical layer are used to correct measured log values. By incorporating the conventional marine seismic data into the well log analysis of the washout-corrected well logs, the gas-hydrate saturation at well site AC21–A was estimated to be in the range of 13 percent. Because gas hydrates in the vertical fractures were observed, anisotropic rock physics models were also applied to estimate gas-hydrate saturations.

Scientific Investigations Report

Groundwater quality near the Placerita Oil Field, California, 2018

Groundwater-quality data and potential fluid-migration pathways near the Placerita Oil Field in Los Angeles County, California, were examined by the U.S. Geological Survey to determine if oil-field fluids (water and gas from oil-producing and non-producing zones) have mixed with groundwater resources. Six of the 13 new groundwater samples collected for this study contained petroleum hydrocarbons, thermogenic gas, inorganic chemical signatures, and (or) isotopic values consistent with potential mixing with fluids from hydrocarbon-bearing formations. For historical groundwater samples, benzene was the most detected petroleum hydrocarbon. The historical groundwater samples with a benzene concentration greater than 0.5 micrograms per liter were from environmental monitoring wells at industrial or commercial facilities unrelated to oil and gas development that, in many cases, have identified soil or groundwater contamination and were not typically analyzed for other constituents that could provide additional lines of evidence for potential mixing with oil-field fluids. Methane was not detected in any of the 12 historical samples with a reported measurement. Reviewing historical data revealed factors that could potentially adversely affect groundwater quality in the study area. These factors include modified hydraulic gradients caused by large volumes of water extracted from the main production area and reinjected downgradient into nonproducing zones, well-barrier failures in wells constructed in the northern part of the oil field before the 1970s, well-barrier failures in produced-water disposal wells downgradient from the main production area, and naturally occurring hydrocarbons at shallow intervals. The groundwater samples most geochemically similar to samples from hydrocarbon-bearing formations were in areas where hydrocarbons are naturally occurring at shallow intervals and where oil development is at shallow depths. Additional data for hydraulic heads, water quality, and formation temperatures at multiple depths in areas with large injection volumes and well-integrity issues are needed to evaluate whether those factors have contributed to mixing between fluids from oil-producing or injection formations and groundwater resources.

California

Hydroclimatic and land-use factors affecting peak streamflow in Illinois, Iowa, Michigan, Minnesota, Missouri, Montana, North Dakota, South Dakota, and Wisconsin

Flood-frequency analysis provides the basis for flood risk estimates used by water-resource managers in land-use planning, and it informs the design of essential infrastructure such as bridges and culverts. Federal guidelines for flood-frequency analysis do not offer guidance on addressing changing climate and land-use conditions when estimating floods. However, failing to consider climatic and land-use changes that cause abrupt or gradual changes in flood regimes can result in a poor representation of the true flood risk. In response to concerns about changing flood regimes, the U.S. Geological Survey, in cooperation with nine State agencies (Illinois Department of Transportation, Iowa Department of Transportation, Michigan Department of Transportation, Minnesota Department of Transportation, Missouri Department of Transportation, Montana Department of Natural Resources and Conservation, North Dakota Department of Water Resources, South Dakota Department of Transportation, and Wisconsin Department of Transportation) began a study to examine variability and change in hydrology and climate and the effects of urbanization and tile drainage on flooding. The analyses of patterns and changes in hydrology and climate were reported in a multichapter Scientific Investigations Report, the findings of which are summarized in this U.S. Geological Survey Circular. Additional analyses documenting changes in seasonality of flooding and the effects of urbanization and tile drainage were completed and published as separate studies and are also summarized in this Circular. These studies provide extensive exploratory analysis of peak streamflow, daily streamflow, and climate data, setting the stage for advancements in flood-frequency analysis.

Illinois, Iowa, Michigan, Minnesota, Missouri, Mon

Recently active traces of the Bartlett Springs Fault, California: A digital database

The purpose of this map is to show the location of and evidence for recent movement on active fault traces within the Bartlett Springs Fault Zone, California. The location and recency of the mapped traces is primarily based on geomorphic expression of the fault as interpreted from large-scale aerial photography. In a few places, evidence of fault creep and offset Holocene strata in trenches and natural exposures have confirmed the activity of some of these traces. This publication is formatted both as a digital database for use within a geographic information system (GIS) and for broader public access as map images that may be browsed on-line or download a summary map. The report text describes the types of scientific observations used to make the map, gives references pertaining to the fault and the evidence of faulting, and provides guidance for use of and limitations of the map.

California

Can beaches survive climate change?

Anthropogenic climate change is driving sea level rise, leading to numerous impacts on the coastal zone, such as increased coastal flooding, beach erosion, cliff failure, saltwater intrusion in aquifers, and groundwater inundation. Many beaches around the world are currently experiencing chronic erosion as a result of gradual, present-day rates of sea level rise (about 3 mm/year) and human-driven restrictions in sand supply (e.g., harbor dredging and river damming). Accelerated sea level rise threatens to worsen coastal erosion and challenge the very existence of natural beaches throughout the world. Understanding and predicting the rates of sea level rise and coastal erosion depends on integrating data on natural systems with computer simulations. Although many computer modeling approaches are available to simulate shoreline change, few are capable of making reliable long-term predictions needed for full adaption or to enhance resilience. Recent advancements have allowed convincing decadal to centennial-scale predictions of shoreline evolution. For example, along 500 km of the Southern California coast, a new model featuring data assimilation predicts that up to 67% of beaches may completely erode by 2100 without large-scale human interventions. In spite of recent advancements, coastal evolution models must continue to improve in their theoretical framework, quantification of accuracy and uncertainty, computational efficiency, predictive capability, and integration with observed data, in order to meet the scientific and engineering challenges produced by a changing climate.

Journal of Geophysical Research F: Earth Surface

Visualization and Time-Series Analysis of Ground-Water Data for C-Area, Savannah River Site, South Carolina, 1984-2004

In 2004, the U.S. Geological Survey, in cooperation with the U.S. Department of Energy, initiated a study of historical ground-water data of C-Area on the Savannah River Site in South Carolina. The soils and ground water at C-Area are contaminated with high concentrations of trichloroethylene and lesser amounts of tetrachloroethylene. The objectives of the investigation were (1) to analyze the historical data to determine if data-mining techniques could be applied to the historical database to ascertain whether natural attenuation of recalcitrant contaminants, such as volatile organic compounds, is occurring and (2) to determine whether inferential (surrogate) analytes could be used for more cost-effective monitoring. Twenty-one years of data (1984-2004) were collected from 396 wells in the study area and converted from record data to time-series data for analysis. A Ground-Water Data Viewer was developed to allow users to spatially and temporally visualize the analyte data. Overall, because the data were temporally and spatially sparse, data analysis was limited to only qualitative descriptions.

South Carolina

Conservation, biodiversity and infectious disease: scientific evidence and policy implications

Habitat destruction and infectious disease are dual threats to nature and people. The potential to simultaneously advance conservation and human health has attracted considerable scientific and popular interest; in particular, many authors have justified conservation action by pointing out potential public health benefits . One major focus of this debate—that biodiversity conservation often decreases infectious disease transmission via the dilution effect—remains contentious. Studies that test for a dilution effect often find a negative association between a diversity metric and a disease risk metric, but how such associations should inform conservation policy remains unclear for several reasons. For one, diversity and infection risk have many definitions, making it possible to identify measures that conform to expectations. Furthermore, the premise that habitat destruction consistently reduces biodiversity is in question, and disturbance or conservation can affect disease in many ways other than through biodiversity change. To date, few studies have examined the broader set of mechanisms by which anthropogenic disturbance or conservation might increase or decrease infectious disease risk to human populations. Due to interconnections between biodiversity change, economics and human behaviour, moving from ecological theory to policy action requires understanding how social and economic factors affect conservation. This Theme Issue arose from a meeting aimed at synthesizing current theory and data on ‘biodiversity, conservation and infectious disease’ (4–6 May 2015). Ecologists, evolutionary biologists, economists, epidemiologists, veterinary scientists, public health professionals, and conservation biologists from around the world discussed the latest research on the ecological and socio-economic links between conservation, biodiversity and infectious disease, and the open questions and controversies in these areas. By combining ecological understanding with insights from the social and economic sciences, the papers in this Theme Issue address the complex relationships, patterns and ecological mechanisms that influence conservation, infectious disease, and the policy options available to protect nature and human health.

Philosophical Transactions of the Royal Society B:

U.S. Geological Survey Studies of Energy Resources in Sub-Saharan Africa

The U.S. Government and the American public need access to information on energy resources in sub-Saharan Africa. Sub-Saharan Africa (mostly Nigeria) produces 5 percent of the world's oil, while supplying the United States with 15 percent of our imports (Energy Information Administration). In the next 10 years, sub-Saharan oil and gas will become increasingly more important to the export market. New discoveries in offshore provinces of West Africa ensure a bright future for the region. Projections indicate that increased oil production in sub-Saharan Africa will far outpace the growth of intraregional consumption, providing greater quantities of oil for export (Forman, 1996). Also, West Africa, although a marginal supplier of liquefied natural gas (LNG) today, will become an important LNG source to the international market by the year 2000 (Oil & Gas Journal, 1996). The United States needs up-to-date information about petroleum resources and the energy balance within the region to predict the future role of sub-Saharan Africa as a major oil and gas exporter. The data required to generate the needed information are often disseminated in archives of oil companies and African geologic surveys, or in obscure publications. For these reasons, the U.S. Geological Survey is collecting data on sub-Saharan energy and constructing a regional energy bibliography. The team of geoscientists will assure that this information is available quickly and from a scientifically based, objective view point.

Fact Sheet

Bathymetric map of the north part of Great Salt Lake, Utah, 2006

The U.S. Geological Survey, in cooperation with the Utah Department of Natural Resources, Division of Forestry, Fire, and State Lands, collected bathymetric data for the north part of Great Salt Lake during the spring and early summer of 2006 using a single beam, high-definition fathometer and real-time differential global positioning system. Approximately 5.2 million depth readings were collected along more than 765 miles of survey transects for construction of this map. Sound velocities were obtained in conjunction with the bathymetric data to provide time-of-travel corrections to the depth calculations. Data were processed using commercial hydrographic software and exported into a geographic information system (GIS) software for mapping. Due to the shallow nature of the lake and the limitations of the instrumentation, contours above an altitude of 4,194 feet were digitized from existing USGS 1:24,000 source-scale digital line graph data. The Behrens Trench is approximately located. For additional information on methods used to derive the bathymetric contours for this map, please see Baskin, Robert L., 2006, Calculation of area and volume for the North Part of Great Salt Lake, Utah, U.S. Geological Survey Open-File Report OFR–2006–1359

Utah

Nutrient, Habitat, and Basin-Characteristics Data and Relations with Fish and Invertebrate Communities in Indiana Streams, 1998-2000

An analysis of existing nutrient, habitat, basin-characteristics, and biological-community (fish and invertebrate) data assessed significant relations between nutrients and biological data. Data from 1998 through 2000 for 58 sites in the Upper Wabash River Basin, Lower Wabash River Basin, and tributaries to the Great Lakes and Ohio River Basins were analyzed. Correspondence analysis was used to assess significant relations among nutrients, habitat, basin-characteristics, and biological-community data. Canonical correspondence analysis was used to identify which environmental parameters most influenced the biological communities. When all 58 sites were assessed, six biological-community attributes, metric scores, or site scores were statistically sigificant but weak. When a subset of data was analyzed for eight headwater streams in one ecoregion to minimize the naturally occurring variability associated with the 58 sites, the strength of the relations increased and 24 attributes, metric scores, or site scores were significantly related. Fish-community composition in the 58 sites was most influenced by habitat and land use but not by nutrients. The invertebrate-community composition in the 58 sites was most influenced by habitat, land use, soils, and one nutrient (total Kjeldahl nitrogen [TKN]).

Indiana

Quality of groundwater at and near an aquifer storage and recovery site, Bexar, Atascosa, and Wilson Counties, Texas, June 2004-August 2008

The U.S. Geological Survey, in cooperation with the San Antonio Water System, did a study during 2004–08 to characterize the quality of native groundwater from the Edwards aquifer and pre- and post-injection water from the Carrizo aquifer at and near an aquifer storage and recovery (ASR) site in Bexar, Atascosa, and Wilson Counties, Texas. Groundwater samples were collected and analyzed for selected physical properties and constituents to characterize the quality of native groundwater from the Edwards aquifer and pre- and post-injection water from the Carrizo aquifer at and near the ASR site. Geochemical and isotope data indicated no substantial changes in major-ion, trace-element, and isotope chemistry occurred as the water from the Edwards aquifer was transferred through a 38-mile pipeline to the aquifer storage and recovery site. The samples collected from the four ASR recovery wells were similar in major-ion and stable isotope chemistry compared to the samples collected from the Edwards aquifer source wells and the ASR injection well. The similarity could indicate that as Edwards aquifer water was injected, it displaced native Carrizo aquifer water, or, alternatively, if mixing of Edwards and Carrizo aquifer waters was occurring, the major-ion and stable isotope signatures for the Carrizo aquifer water might have been obscured by the signatures of the injected Edwards aquifer water. Differences in the dissolved iron and dissolved manganese concentrations indicate that either minor amounts of mixing occurred between the waters from the two aquifers, or as Edwards aquifer water displaced Carrizo aquifer water it dissolved the iron and manganese directly from the Carrizo Sand. Concentrations of radium-226 in the samples collected at the ASR recovery wells were smaller than the concentrations in samples collected from the Edwards aquifer source wells and from the ASR injection well. The smaller radium-226 concentrations in the samples collected from the ASR recovery wells likely indicate some degree of mixing of the two waters occurred rather than continued decay of radium-226 in the injected water. Geochemical and isotope data measured in samples collected in May 2005 from two Carrizo aquifer monitoring wells and in July 2008 from the three ASR production-only wells in the northern section of the ASR site indicate that injected Edwards aquifer water had not migrated to these five sites. Geochemical and isotope data measured in samples collected from Carrizo aquifer wells in 2004, 2005, and 2008 were graphically analyzed to determine if changes in chemistry could be detected. Major-ion, trace element, and isotope chemistry varied spatially in the samples collected from the Carrizo aquifer. With the exception of a few samples, major-ion concentrations measured in samples collected in Carrizo aquifer wells in 2004, 2005, and 2008 were similar. A slightly larger sulfate con­centration and a slightly smaller bicarbonate concentration were measured in samples collected in 2005 and 2008 from well NC1 compared to samples collected at well NC1 in 2004. Larger sodium concentrations and smaller calcium, magnesium, bicarbonate, and sulfate concentrations were measured in samples collected in 2008 from well WC1 than in samples collected at this well in 2004 and 2005. Larger calcium and magnesium concentrations and a smaller sodium concentration were measured in the samples collected in 2008 at well EC2 compared to samples collected at this well in 2004 and 2005. While in some cases the computed percent differences (compared to concentrations from June 2004) in dissolved iron and dissolved manganese concentrations in 11 wells sampled in the Carrizo aquifer in 2005 and 2008 were quite large, no trends that might have been caused by migration of injected Edwards aquifer water were observed. Because of the natural variation in geochemical data in the Carrizo aquifer and the small data set collected for this study, differences in major-ion and trace element data among the samples collected in 2004, 2005 and 2008 cannot be directly attributed to the ASR site operations. When the data were analyzed graphically, no appreciable differences in isotope concentrations were observed between samples collected in 2004 and 2008 from Carrizo aquifer wells, indicating that the Edwards aquifer source water might not have affected the isotope chemistry of the native Carrizo aquifer water near the sampled Carrizo wells by July 2008.

Texas

Volcano-Monitoring Instrumentation in the United States, 2008

The United States is one of the most volcanically active countries in the world. According to the global volcanism database of the Smithsonian Institution, the United States (including its Commonwealth of the Northern Mariana Islands) is home to about 170 volcanoes that are in an eruptive phase, have erupted in historical time, or have not erupted recently but are young enough (eruptions within the past 10,000 years) to be capable of reawakening. From 1980 through 2008, 30 of these volcanoes erupted, several repeatedly. Volcano monitoring in the United States is carried out by the U.S. Geological Survey (USGS) Volcano Hazards Program, which operates a system of five volcano observatories-Alaska Volcano Observatory (AVO), Cascades Volcano Observatory (CVO), Hawaiian Volcano Observatory (HVO), Long Valley Observatory (LVO), and Yellowstone Volcano Observatory (YVO). The observatories issue public alerts about conditions and hazards at U.S. volcanoes in support of the USGS mandate under P.L. 93-288 (Stafford Act) to provide timely warnings of potential volcanic disasters to the affected populace and civil authorities. To make efficient use of the Nation's scientific resources, the volcano observatories operate in partnership with universities and other governmental agencies through various formal agreements. The Consortium of U.S. Volcano Observatories (CUSVO) was established in 2001 to promote scientific cooperation among the Federal, academic, and State agencies involved in observatory operations. Other groups also contribute to volcano monitoring by sponsoring long-term installation of geophysical instruments at some volcanoes for specific research projects. This report describes a database of information about permanently installed ground-based instruments used by the U.S. volcano observatories to monitor volcanic activity (unrest and eruptions). The purposes of this Volcano-Monitoring Instrumentation Database (VMID) are to (1) document the Nation's existing, ground-based, volcano-monitoring capabilities, (2) answer queries within a geospatial framework about the nature of the instrumentation, and (3) provide a benchmark for planning future monitoring improvements. The VMID is not an archive of the data collected by monitoring instruments, nor is it intended to keep track of whether a station is temporarily unavailable due to telemetry or equipment problems. Instead, it is a compilation of basic information about each instrument such as location, type, and sponsoring agency. Typically, instruments installed expressly for volcano monitoring are emplaced within about 20 kilometers (km) of a volcanic center; however, some more distant instruments (as far away as 100 km) can be used under certain circumstances and therefore are included in the database. Not included is information about satellite-based and airborne sensors and temporarily deployed instrument arrays, which also are used for volcano monitoring but do not lend themselves to inclusion in a geospatially organized compilation of sensor networks. This Open-File Report is provided in two parts: (1) an Excel spreadsheet (http://pubs.usgs.gov/of/2009/1165/) containing the version of the Volcano-Monitoring Instrumentation Database current through 31 December 2008 and (2) this text (in Adobe PDF format), which serves as metadata for the VMID. The disclaimer for the VMID is in appendix 1 of the text. Updated versions of the VMID will be posted on the Web sites of the Consortium of U.S. Volcano Observatories (http://www.cusvo.org/) and the USGS Volcano Hazards Program http://volcanoes.usgs.gov/activity/data/index.php.

Alaska, Arizona, California, Colorado, Hawaii, New

Design of Cycle 3 of the National Water-Quality Assessment Program, 2013-2022: Part 1: Framework of Water-Quality Issues and Potential Approaches

In 1991, the U.S. Congress established the U.S. Geological Survey (USGS) National Water-Quality Assessment (NAWQA) Program to develop long-term, nationally consistent information on the quality of the Nation's streams and groundwater. Congress recognized the critical need for this information to support scientifically sound management, regulatory, and policy decisions concerning the increasingly stressed water resources of the Nation. The long-term goals of NAWQA are to: (1) assess the status of water-quality conditions in the United States, (2) evaluate long-term trends in water-quality conditions, and (3) link status and trends with an understanding of the natural and human factors that affect water quality. These goals are national in scale, include both surface water and groundwater, and include consideration of water quality in relation to both human uses and aquatic ecosystems. Since 1991, NAWQA assessments and findings have fostered and supported major improvements in the availability and use of unbiased scientific information for decisionmaking, resource management, and planning at all levels of government. These improvements have enabled agencies and stakeholders to cost-effectively address a wide range of water-quality issues related to natural and human influences on the quality of water and potential effects on aquatic ecosystems and human health (http://water.usgs.gov/nawqa/xrel.pdf). NAWQA, like all USGS programs, provides policy relevant information that serves as a scientific basis for decisionmaking related to resource management, protection, and restoration. The information is freely available to all levels of government, nongovernmental organizations, industry, academia, and the public, and is readily accessible on the NAWQA Web site and other diverse formats to serve the needs of the water-resource community at different technical levels. Water-quality conditions in streams and groundwater are described in more than 1,700 publications (available online at http://water.usgs.gov/nawqa/bib/), and are documented by more than 14 million data records representing about 7,600 stream sites, 8,100 wells, and 2,000 water-quality and ecological constituents that are available from the NAWQA data warehouse (http://infotrek.er.usgs.gov/traverse/f?p=NAWQA:HOME:0). The Program promotes collaboration and liaison with government officials, resource managers, industry representatives, and other stakeholders to increase the utility and relevance of NAWQA science to decisionmakers. As part of this effort, NAWQA supports integration of data from other organizations into NAWQA assessments, where appropriate and cost-effective, so that more comprehensive findings are available across geographic and temporal scales.

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