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At least 451 records · Page 25Linked to original sources

Geology of the Sanokole Quadrangle, Liberia

As part of a program undertaken cooperatively by the Liberian Geological Survey (LGS) and the U. S. Geological Survey (USGS), under the sponsorship of the Government of Liberia and the Agency for Inter-national Development, U. S. Department of State, Liberia was mapped by geologic and geophysical methods during the period 1965 to 1972. The resulting geologic and geophysical maps are published in ten folios, each covering one quadrangle (see index map). Systematic map synthesis by Force began in 1971 and included field data as shown on figure 1. Observations but not interpretations made by Offerberg and Tremaine (1961) were incorporated in the mapping. The area compiled by Berge (fig. 1) is the LAMCO (Liberian American-Swedish Minerals Co.) Nimba Concession Area. Mapping has been done by company geologists since 1955 and summarized by Berge (1966, 1968, 1973, 1974). Detailed mapping has been done in many areas underlain by iron deposits, but the concession area as a whole has been mapped only by reconnaissance methods. For both compilers, photogeologic mapping and the interpretation of air-borne magnetic and radiometric surveys (Behrendt and Wotorson, 1974, a and b) are integral to the interpretation as shown.

Open-File Report

Oil shale development and its environmental considerations

The petroleum shortage recently experienced by many nations throughout the world has created an intense interest in obtaining new and supplemental energy sources. In the United States, this interest has been centered on oil shale. Any major action by the federal government having significant environmental effects requires compliance with the National Environmental Policy Act of 1969 (NEPA). Since most oil shale is found on federal lands, and since its development involves significant environmental impacts, leasing oil shale lands to private interests must be in compliance with NEPA. For oil shale, program planning began at approximately the same time that NEPA was signed into law. By structuring the program to permit a resource and technological inventory by industry and the federal agencies, the Department of the Interior was able simultaneously to conduct the environmental assessments required by the act. This required: 1. Clearly defined program objections; 2. An organization which could integrate public policy with diverse scientific disciplines and environmental concerns; and 3. Flexible decisionmaking to adjust to policy changes as well as to evolving interpretations on EPA as clarified by court decisions. This paper outlines the program, the organization structure that was created for this specific task, and the environmental concerns which were investigated. The success of the program has been demonstrated by meeting the requirements of NEPA, without court challenge, and by industry's acceptance of a leasing program that included the most stringent environmental protection provisions ever required. The need for energy development has spurred the acceptance of the program. However, by its awareness and willingness to meet the environmental challenges of the future, industry has shown a reasonable understanding of its commitments. The pros and cons of development were publicly considered in hearings and analyzed in the final environmental statement. This action aided greatly in preventing legal challenges. The prototype oil shale program is now under way and this new energy source, developed with strict environmental safeguards, may soon be available to our nation.

Conference Paper

The United States Geological Survey: 1879-1989

The United States Geological Survey was established on March 3, 1879, just a few hours before the mandatory close of the final session of the 45th Congress, when President Rutherford B. Hayes signed the bill appropriating money for sundry civil expenses of the Federal Government for the fiscal year beginning July 1, 1879. The sundry civil expenses bill included a brief section establishing a new agency, the United States Geological Survey, placing it in the Department of the Interior, and charging it with a unique combination of responsibilities: 'classification of the public lands, and examination of the geological structure, mineral resources, and products of the national domain.' The legislation stemmed from a report of the National Academy of Sciences, which in June 1878 had been asked by Congress to provide a plan for surveying the Territories of the United States that would secure the best possible results at the least possible cost. Its roots, however, went far back into the Nation's history. The first duty enjoined upon the Geological Survey by the Congress, the classification of the public lands, originated in the Land Ordinance of 1785. The original public lands were the lands west of the Allegheny Mountains claimed by some of the colonies, which became a source of contention in writing the Articles of Confederation until 1781 when the States agreed to cede their western lands to Congress. The extent of the public lands was enormously increased by the Louisiana Purchase in 1803 and later territorial acquisitions. At the beginning of Confederation, the decision was made not to hold the public lands as a capital asset, but to dispose of them for revenue and to encourage settlement. The Land Ordinance of 1785 provided the method of surveying and a plan for disposal of the lands, but also reserved 'one-third part of all gold, silver, lead, and copper mines to be sold or otherwise disposed of, as Congress shall thereafter direct,' thus implicitly requiring classification of the lands into mineral and nonmineral. Mapping of the public lands was begun under the direction of the Surveyor-General, but no special provision was made for classification of the public lands, and it thus became the responsibility of the surveyor. There was,of course, no thought in 1785 or for many years thereafter of employing geologists to make the classification of the mineral lands, for geology was then only in its infancy.

Circular

Coal fields and federal lands of the conterminous United States

The map depicts the relationship of coal and public lands in the conterminous U. S. Multiple GIS layers are being created for the purpose of deriving estimates of how much coal is owned and administered by the Federal government. Federal coal areas have a profound effect on land-management decisions. Regulatory agencies attempt to balance energy development with alternative land-use and environmental concerns. A GIS database of Federal lands used in energy resource assessments is being developed by the U. S. Geological Survey (USGS) in cooperation with the U.S. Bureau of Land Management (BLM) to integrate information on status of public land, and minerals owned by the Federal government with geologic information on coal resources, other spatial data, coal quality characteristics, and coal availability for development. Using national-scale data we estimate that approximately 60 percent of the area underlain by coal-bearing rocks in the conterminous United States are under Federal surface. Coal produced from Federal leases has tripled from about 12 percent of the total U.S. production in 1976 to almost 34 percent in 1995 (Energy Information Administration website ftp://ftp.eia.doe.gov/pub/coal/cia_95_tables/t13p01.txt). The reason for this increase is demand for low-sulfur coal for use in power plants and the fact that large reserves of this low-sulfur coal are in the western interior U.S., where the Federal government owns the rights to most of the coal reserves. The map was created using Arc/Info 7.0.3 on a UNIX system. The HPGL2 plot file for this map is available from the USGS Energy Resource Surveys Team from http://energy.cr.usgs.gov:8080/energy/coal.html.

Conterminous United States

Preliminary tectonic map of the Arabian Peninsula

In 1963, in response to a request from the Ministry of Petroleum and Mineral Resources, the Saudi Arabian Government and the U. S. Geological Survey, U. S. Department of the Interior, with the approval of the U. S. Department of State, undertook a joint and cooperative effort to map and evaluate the mineral potential of central and western Saudi Arabia. The results of this program are being released in USGS open files in the United States and are also available in the Library of the Ministry of Petroleum and Mineral Resources. Also on open file in that office is a large amount of material, in the form of unpublished manuscripts, maps, field notes, drill logs, annotated aerial photographs, etc., that has resulted from other previous geologic work by Saudi Arabian government agencies. The Government of Saudi Arabia makes this information available to interested persons, and has set up a liberal mining code which is included in "Mineral Resources of Saudi Arabia, a Guide for Investment and Development," published in 1965 as Bulletin 1 of the Ministry of Petroleum and Mineral Resources, Directorate General of Mineral Resources, Jiddah, Saudi Arabia.

Open-File Report

Report of the field trip, February 24 to April 2, 1965 in part of the northeastern Hijaz quadrangle, Saudi Arabia

In 1963, in response to a request from the Ministry of Petroleum and Mineral Resources, the Saudi Arabian Government and the U. S. Geological Survey, U. S. Department of the Interior, with the approval of the U. S. Department of State undertook a joint and cooperative effort to map and evaluate the mineral potential of central and Saudi Arabia. The results of this program are being released in USGS open files in the United States and are also available in the Library of the Ministry of Petroleum and Mineral Resources. Also on open file in that office is a large amount of material, in the form of unpublished manuscripts, maps, field notes, drill logs, annotated aerial photographs, etc., that has resulted from other previous geologic work by Saudi Arabian government agencies. The Government of Saudi Arabia makes this information available to interested persons, and has set up a liberal mining coda which is included in "Mineral Resources of Saudi Arabia, a Guide for Investment and Development," published in 1965 as Bulletin 1 of the Ministry of Petroleum and Mineral Resources, Directorate General of Mineral Resources, Jiddah, Saudi Arabia.

Hijaz quadrangle

Did they feel it? Legacy maroseismic data illuminates an engimatic 20th century earthquake

The challenges and the importance of preserving legacy instrumental records of earthquakes are now well-recognized (e.g., Richards & Hellweg, 2020, https://doi.org/10.1785/0220200053 ). Seismologists may not be aware of parallel challenges and opportunities with legacy macroseismic data for earthquakes in the United States. For much of the 20th century, macroseismic data were collected by a series of U.S. government agencies using a standard questionnaire distributed on postcards. Published summaries of postcards provide macroseismic data akin to modern Did You Feel It? questionnaire responses. In this paper we focus on the M 6.5 Fickle Hill, California earthquake, on 21 December 1954 (Hellweg et al., 2025) as a proof-of-concept, illustrating the potential of what we dub Did They Feel It? (DTFI) data to improve our understanding of significant 20th century U.S. earthquakes for which instrumental data are sparse. Legacy macroseismic data interpreted following modern conventions can potentially constrain traditional ShakeMaps at a level of detail and accuracy that in some respects rival maps for modern earthquakes. The updated ShakeMap for the 1954 Fickle Hill earthquake, also drawing from recently published media and first-person accounts, supports the location, depth, and stress drop value estimated from available instrumental data (Hellweg et al., 2025).

California

Dryland mechanisms could widely control ecosystem functioning in a drier and warmer world

Responses of terrestrial ecosystems to climate change have been explored in many regions worldwide. While continued drying and warming may alter process rates and deteriorate the state and performance of ecosystems, it could also lead to more fundamental changes in the mechanisms governing ecosystem functioning. Here we argue that climate change will induce unprecedented shifts in these mechanisms in historically wetter climatic zones, towards mechanisms currently prevalent in dry regions, which we refer to as ‘dryland mechanisms’. We discuss 12 dryland mechanisms affecting multiple processes of ecosystem functioning, including vegetation development, water flow, energy budget, carbon and nutrient cycling, plant production and organic matter decomposition. We then examine mostly rare examples of the operation of these mechanisms in non-dryland regions where they have been considered irrelevant at present. Current and future climate trends could force microclimatic conditions across thresholds and lead to the emergence of dryland mechanisms and their increasing control over ecosystem functioning in many biomes on Earth.

Nature Ecology & Evolution

Measurement of sounds emitted by certain high-resolution geophysical survey systems

Scientific questions regarding the impact of anthropomorphic noise in the marine environment have resulted in an increasing number of regulatory requirements and precautionary mitigation strategies to reduce the risks associated with high-resolution marine geophysical surveys performed in waters subjected to government jurisdiction. An example of regulatory frameworks includes the Marine Mammal Protection Act in the United States and the Marine Strategy Framework Directive 2008/56/EC in the European Union. Regulatory compliance often requires an assessment of the potential ecological risks before initiating a marine geophysical survey. However, the acoustic source data needed to estimate the risk associated with the operation of a given high-resolution survey system are frequently lacking. A comprehensive measurement program was performed to quantify the characteristics of sounds radiated by a variety of commercial marine geophysical survey systems, including boomers, sparkers, airguns, chirp sub-bottom profilers, sidescan sonars, and swath-bathymetric sonars [Crocker and Fratantonio, “Characteristics of high-frequency sounds emitted during high-resolution marine geophysical surveys,” Naval Undersea Warfare Center, Newport, RI, USA, NUWC-NPT Tech. Rep. 12, 203, 2016]. Calibrated acoustic source data, including source levels, source spectra, and beam patterns, were acquired for a total of 18 different marine geophysical survey systems. The data support modeling to estimate the potential ecological impacts resulting from the operation of certain high-resolution marine geophysical survey systems.

IEEE Journal of Oceanic Engineering

Proceedings for a workshop on deposit modeling, mineral resource assessment, and their role in sustainable development

The world's use of nonfuel mineral resources continues to increase to support a growing population and increasing standards of living. The ability to meet this increasing demand is affected especially by concerns about possible environmental degradation associated with minerals production and by competing land uses. What information does the world need to support global minerals development in a sustainable way? Informed planning and decisions concerning sustainability and future mineral resource supply require a long–term perspective and an integrated approach to resource, land use, economic, and environmental management worldwide. Such perspective and approach require unbiased information on the global distribution of identified and especially undiscovered resources, the economic and political factors influencing their development, and the potential environmental consequences of their exploitation. The U.S. Geological Survey and the former Deposit Modeling Program of the International Union of Geological Sciences (IUGS) of the United Nations Educational, Scientific and Cultural Organization (UNESCO) sponsored a workshop on "Deposit Modeling, Mineral Resource Assessment, and Their Role in Sustainable Development" at the 31st International Geological Congress (IGC) in Rio de Janeiro, Brazil, on August 18–19, 2000. The purpose of the workshop was to review the state-of-the-art in mineral deposit modeling and resource assessment and to examine the role of global assessments of nonfuel mineral resources in sustainable development. The workshop addressed questions such as the following: Which of the available mineral deposit models and assessment methods are best suited for predicting the locations, deposit types, and amounts of undiscovered nonfuel mineral resources remaining in the world? What is the availability of global geologic, mineral deposit, and mineral exploration information? How can mineral resource assessments be used to address economic and environmental issues? Presentations included overviews of assessment methods applied in previous national and other small-scale assessments of large regions and of the resulting assessment products and their uses. Twenty-seven people from Canada, China, Finland, Germany, Japan, Peru, Slovenia, South Africa, United States, and Venezuela participated in the 2-day post-Congress workshop. The attendees represented academia, government, environmental organizations, and the mining industry.

Circular

Preliminary geologic map of the Glen Ullin quadrangle, Morton County, North Dakota

The Glen Ullin quadrangle occupies approximately 51 square miles inwestern Morton County, southwestern North Dakota. Glen Ullin, a small agricultural community on the Northern Pacific Railroad, about 52 miles west of Bismarck, is near the center of the quadrangle (fig. 1). The Glen Ullin quadrangle is one of a group of 14 adjoining 71/2-minute quadrangles (fig. 1) that are being mapped by the U.S. Geological Survey to furnish a basis for classification of lands withdrawn by the Federal Government pending classification for coal and to contribute to the geologic map atlas of the United States. Most of the fieldwork for the Glen Ullin quadrangle was done during the late summers and early falls of 1964 and 1965. During the summer of 1966 the U.S. Geological Survey conducted a drilling program in the Glen Ullin and nearby quadrangles (Smith, 1970) to gather information on the existence, thickness, and depth of lignite beds in withdrawn Federal lands. Three of the holes drilled are in the Glen Ullin quadrangle.

North Dakota

An enigmatic wild passerine mortality event in the eastern United States

The ability to rapidly respond to wildlife health events is essential. However, such events are often unpredictable, especially with anthropogenic disturbances and climate-related environmental changes driving unforeseen threats. Many events also are short-lived and go undocumented, making it difficult to draw on lessons learned from past investigations. We report on the response to a mortality event observed predominantly in wild passerines in the eastern United States. The event began in May 2021 when wildlife rehabilitators and private citizens reported large numbers of sick and dead juvenile birds, mostly presenting as single cases with neurologic signs and/or ocular and periocular lesions. Early efforts by rehabilitators, veterinarians, state and federal wildlife agencies, and universities helped gather public reports and fuel rapid responses by government agencies. Collective efforts included live bird and carcass collections; submission to diagnostic laboratories and evaluation; information sharing; and coordinated messaging to stakeholders and interested parties. Extensive diagnostic evaluations failed to identify a causative pathogen or other etiology, although congruent results across laboratories have helped drive further investigation into alternative causes, such as nutritional deficiencies. This report highlights the strengths of a multi-agency, interdisciplinary investigation while exposing the need for an operational framework with approaches and resources dedicated to wildlife health.

eastern United States

Predicting animal home-range structure and transitions using a multistate Ornstein-Uhlenbeck biased random walk

The home‐range concept is central in animal ecology and behavior, and numerous mechanistic models have been developed to understand home range formation and maintenance. These mechanistic models usually assume a single, contiguous home range. Here we describe and implement a simple home‐range model that can accommodate multiple home‐range centers, form complex shapes, allow discontinuities in use patterns, and infer how external and internal variables affect movement and use patterns. The model assumes individuals associate with two or more home‐range centers and move among them with some estimable probability. Movement in and around home‐range centers is governed by a two‐dimensional Ornstein‐Uhlenbeck process, while transitions between centers are modeled as a stochastic state‐switching process. We augmented this base model by introducing environmental and demographic covariates that modify transition probabilities between home‐range centers and can be estimated to provide insight into the movement process. We demonstrate the model using telemetry data from sea otters ( Enhydra lutris ) in California. The model was fit using a Bayesian Markov Chain Monte Carlo method, which estimated transition probabilities, as well as unique Ornstein‐Uhlenbeck diffusion and centralizing tendency parameters. Estimated parameters could then be used to simulate movement and space use that was virtually indistinguishable from real data. We used Deviance Information Criterion (DIC) scores to assess model fit and determined that both wind and reproductive status were predictive of transitions between home‐range centers. Females were less likely to move between home‐range centers on windy days, less likely to move between centers when tending pups, and much more likely to move between centers just after weaning a pup. These tendencies are predicted by theoretical movement rules but were not previously known and show that our model can extract meaningful behavioral insight from complex movement data.

Ecology

Real-time forecasting of the April 11, 2012 Sumatra tsunami

The April 11, 2012, magnitude 8.6 earthquake off the northern coast of Sumatra generated a tsunami that was recorded at sea-level stations as far as 4800 km from the epicenter and at four ocean bottom pressure sensors (DARTs) in the Indian Ocean. The governments of India, Indonesia, Sri Lanka, Thailand, and Maldives issued tsunami warnings for their coastlines. The United States' Pacific Tsunami Warning Center (PTWC) issued an Indian Ocean-wide Tsunami Watch Bulletin in its role as an Interim Service Provider for the region. Using an experimental real-time tsunami forecast model (RIFT), PTWC produced a series of tsunami forecasts during the event that were based on rapidly derived earthquake parameters, including initial location and Mwp magnitude estimates and the W-phase centroid moment tensor solutions (W-phase CMTs) obtained at PTWC and at the U. S. Geological Survey (USGS). We discuss the real-time forecast methodology and how successive, real-time tsunami forecasts using the latest W-phase CMT solutions improved the accuracy of the forecast.

Sumatra

Mineral resources, environmental issues, and land use

Contrary to predictions from the 1950s through the mid-1980s, persistent shortages of nonfuel minerals have not occurred, despite prodigious consumption, and world reserves have increased. Global availability of raw materials is relevant to policy decisions regarding mineral development and land use. Justification for environmental protection may exceed that for mining a specific ore body. Demand for environmental accountability is rising worldwide, and new technologies are enabling internalization of costs. Mineral-rich developing nations plagued by inefficient state-owned mining enterprises, high population growth rates, and environmental degradation could realize substantial benefit by reforming government policies to encourage foreign investment in resources and by appropriate allocation of mineral rents.

Science

Comparison of two approaches for determining ground-water discharge and pumpage in the lower Arkansas River Basin, Colorado, 1997-98

In March 1994, the Colorado Division of Water Resources (CDWR) adopted “Rules Governing the Measurement of Tributary Ground Water Diversions Located in the Arkansas River Basin” (Office of the State Engineer, 1994); these initial rules were amended in February 1996 (Office of the State Engineer, 1996). The amended rules require users of wells that divert tributary ground water to annually report the water pumped monthly by each well. The rules allow a well owner to report the pumpage measured by a totalizing flowmeter (TFM) or pumpage determined from electrical power data and a power conversion coefficient (PCC) (Hurr and Litke, 1989). Opinions by representatives of the State of Kansas, presented before the Special Master hearing a court case [State of Kansas v. State of Colorado, No. 105 Original (1996)] concerning post-Compact well pumping, stated that the PCC approach does not provide the same level of accuracy and reliability as a TFM when used to determine pumpage. In 1997, the U.S. Geological Survey (USGS), in cooperation with the CDWR, began a 2-year study to compare ground-water pumpage estimates made using the TFM and the PCC approaches. The study area was along the Arkansas River between Pueblo, Colorado, and the Colorado-Kansas State line (fig. 1). The two approaches for estimating ground-water discharge and pumpage were compared for more than 100 wells completed in the alluvial aquifer of the Arkansas River Basin. The TFM approach uses an inline flowmeter to directly measure instantaneous discharge and the total volume of water pumped at a well. The PCC approach uses electrical power consumption records and a power conversion coefficient to estimate the pumpage at ground-water wells. This executive summary describes the results of the comparison of the two approaches. Specifically, (1) the differences in instantaneous discharge measured with three portable flowmeters and measured with an inline TFM are evaluated, and the statistical differences in paired instantaneous discharge between the two approaches are determined; (2) short- and long-term variations in the PCC’s are presented; (3) differences in pumpage between the two approaches are evaluated, and the statistical differences in pumpage between the two approaches are determined; (4) potential sources of discrepancy between pumpage estimates are discussed; and (5) differences in total network pumpage using the two approaches are presented. During the irrigation seasons of 1997 and 1998, instantaneous discharge and electrical power demand were measured at randomly selected wells to determine PCC’s. At more than 100 wells, the PCC’s determined during the 1998 season were applied to total electrical power consumption data that was recorded between the initial and final readings at each network well site in 1998 to estimate total ground-water pumpage. At each site, an inline TFM was installed in a full-flowing, acceptable test section of pipe on the discharge side of the pump where the measurement of discharge was made. Measurements of instantaneous ground-water discharge also were made using three different types of portable flowmeters. The average velocity multiplied by the cross-sectional area of the discharge pipe was used to compute the discharge in gallons per minute. Whenever possible, discharge measurements were made at each network site using all three types of portable flowmeters.

Colorado

A socio-environmental geodatabase for integrative research in the transboundary Rio Grande/Río Bravo basin

Management of water resources in the transboundary Rio Grande/Río Bravo Basin (the Basin) presents challenges for state and Federal entities in the United States and Mexico making management decisions on shared water resources. Damming, channelization, water availability, and allocation are governed by water rights and water-sharing agreements. Data and information sharing are important aspects of transboundary cooperation, but differences in format, content, spatial and temporal resolution, and language hinder collaboration. In addition, data on the kinds and geographic distribution of water governance and management institutions across the Basin have not been consistently documented. Existing data disparities parallel the hydrological and social fragmentation of the Basin. Seeking to underscore the interdependence between social and environmental processes in the Basin, anthropologists and modelers collaborated to develop a socio-environmental geodatabase. This geodatabase is a first step in modeling the social components of decision making and their connectivity to environmental processes across the Basin. The geodatabase is available in an open-access domain and contains geospatial data related to water and land governance, hydrology, water use and hydraulic infrastructure, socioeconomics, and the biophysical environment necessary to advance the understanding of basin dynamics. Having these data documented and compiled in a central location serves as a resource to help decision makers better understand upstream and downstream social-environmental characteristics. This knowledge is useful for developing sustainable water management policies in a region where water resources are increasingly under pressure from climatic, environmental, and human-related changes.

Chihuahua, New Mexico, Texas

Design and implementation of the National Water-Quality Assessment Program: a United States example: understanding the limitations of using compliance-monitoring data to assess the water quality of a large river basin

In the 1980s it was determined that existing ambient and compliance-monitoring data could not satisfactorily evaluate the results of hundreds of billions of dollars spent for water-pollution abatement in the United States. At the request of the US Congress, a new programme, the National Water-Quality Assessment, was designed and implemented by government agency, the US Geological Survey (USGS). The Assessment has reported status and trends in surface- and ground-water quality at national, regional, and local scales since 1991. The legislative basis for US monitoring and data-sharing policies are identified as well as the successive phases of the design and implementation of the USGS Assessment. Application to the Danube Basin is suggested. Much of the water-quality monitoring conducted in the United States is designed to comply with Federal and State laws mandated primarily by the Clean Water Act of 1987 and the Safe Drinking Water Act of 1986. Monitoring programs generally focus on rivers upstream and downstream of point-source discharges and at water-supply intakes. Few data are available for aquifer systems, and chemical analyses are often limited to those constituents required by law. In most cases, the majority of the available chemical and streamflow data have provided the information necessary to meet the objectives of the compliance-monitoring programs, but do not necessarily provide the information requires for basin-wide assessments of the water quality at the local, regional, or national scale.

Book chapter