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Permit application and approval chronology for a small airgun survey offshore southern California, June 1999

Offshore geophysical surveys are subject to increased restrictions resulting from new or revised Federal legislation and increased authority of State agencies that deal with environmental issues. This report reviews the process followed by the U.S. Geological Survey to obtain necessary approvals for a marine geophysical survey conducted in June, 1999, offshore Southern California. Discussions and negotiations between the USGS, National Marine Fisheries Service, the California Coastal Commission, the California State Lands Commission, and various other interested parties during six months prior to the survey are documented. A suggested timeframe that should be followed for obtaining the approvals and permits for future work offshore California is based on the outcome of the permitting process for the 1999 cruise, as well as continuing dialog with representatives of the Federal and State entities involved.

California

Delineating draft inventory analysis units for National Scenic and Historic Trails inventory, assessment, and monitoring programs

As of 2024, there are 32 National Scenic and Historic Trails (NSHTs) in the system administered by the Bureau of Land Management (BLM), National Park Service, and U.S. Department of Agriculture Forest Service. The BLM administers, manages, and protects 19 of these trails as part of its system of national conservation lands. Various laws, regulations, and policies require that the BLM conduct and maintain an inventory to protect trail-related resources, qualities, values, associated settings, and primary use or uses. There are set procedures for conducting inventory, assessment, and monitoring (IAM) of NSHTs, as outlined in volumes 1 and 2 of BLM Technical Reference 6280-1. One of the first steps in the IAM process is deciding the area along a trail to inventory. However, volumes 1 and 2 of BLM Technical Reference 6280-1 do not specify how the land area to be inventoried should be delineated. The BLM calls these focus areas for IAM efforts “inventory analysis units” (IAUs), which are defined as the geospatial boundary for the location of an inventory along a trail. This report reviews the approach used to delineate the IAUs for an inventory effort and identifies best practices for creating initial IAUs, termed “draft IAUs.” Draft IAUs would provide standardization across multiple management jurisdictions by applying the same parameters for their delineation. These draft IAUs would provide trail managers with an area surrounding NSHTs that would trigger the need for an inventory if a project were proposed within it and are meant to be refined during localized inventory efforts. The best practices herein are for creating draft IAUs using standard parameters for performing a viewshed analysis to identify a proxy of land to include in an initial inventory effort.

New Mexico

Science needs of southeastern grassland species of conservation concern: A framework for species status assessments

The unglaciated southeastern United States is a biodiversity hotspot, with a disproportionate amount of this biodiversity concentrated in grasslands. Like most hotspots, the Southeast is also threatened by human activities, with the total reduction of southeastern grasslands estimated as 90 percent (upwards to 100 percent for some types) and with many threats escalating today. This report summarizes the results of a multistakeholder workshop organized by the Southeastern Grasslands Initiative and the U.S. Geological Survey, held in January 2020 to provide a scientific needs assessment to help inform the Species Status Assessment (SSA) process under the U.S. Endangered Species Act, with a focus on grassland species and communities of conservation concern in the southeastern United States. This report reviews the ecology of southeastern grasslands, including influences on their origin, maintenance, and high species richness and endemism; presents findings from the workshop; and discusses science questions, hypotheses, and possibilities for future research projects to help fill key knowledge gaps. Participants in the January 2020 workshop, representing diverse expertise in various topics in southeastern grassland ecology, were tasked with identifying major threats to grassland species in the Southeast as well as potential ways to make the SSA process more efficient and effective. An underlying assumption and starting place for workshop discussion was that an ecosystem-based approach to the SSA process is more cost-efficient than a species-by-species approach, in large part because many species with similar biological requirements can be addressed by the same actions. Nevertheless, one partner in this effort, the U.S. Fish and Wildlife Service, does require specific attention be given to taxa that have been petitioned for Federal listing, though as often as possible these taxa are considered alongside a larger group of priority taxa with an ecosystem approach. For group discussions, workshop participants followed a modified “World Café” method, a structured conversational approach for knowledge sharing. Group discussions focused on five categories of threats to grassland communities and species: (1) habitat loss, fragmentation, and disruption of functional population connectivity; (2) climate change, especially changes in temperature and precipitation, including intensity and seasonality, and impacts on soil moisture, groundwater levels, and other ecosystem parameters; (3) changes to disturbance regimes, as influenced by climate and land-use change, extinctions, and human attitudes and behaviors; (4) invasive species (not limited to nonnative species); and (5) localized or subregional impacts such as sea-level rise. In addition to group discussions, workshop participants—as well as other grassland experts who were unable to attend the workshop—completed a preworkshop survey concerning challenges and opportunities for grassland conservation. Findings reported here under each of these topics represent ideas, problems, hypotheses, and questions identified by a diverse community of grassland managers and researchers which may be addressed by future research and monitoring in southeastern grassland ecosystems to help guide science-based conservation of grassland-dependent species.

Alabama, Arkansas, Florida, Georgia, Kentucky, Lou

The water-energy nexus: An earth science perspective

Water availability and use are closely connected with energy development and use. Water cannot be delivered to homes, businesses, and industries without energy, and most forms of energy development require large amounts of water. The United States faces two significant and sometimes competing challenges: to provide sustainable supplies of freshwater for humans and ecosystems and to ensure adequate sources of energy for future generations. This report reviews the complex ways in which water and energy are interconnected and describes the earth science data collection and research that can help the Nation address these important challenges. The earth sciences have been a cornerstone in developing our current understanding of the water-energy nexus. A full understanding of the nexus, however, is limited by uncertainty in our knowledge of fundamental issues, such as the quantity of freshwater that is available, the amount of water that is used in energy development, the effects that emerging energy development technologies have on water quality and quantity, and the amount of energy required to treat and deliver freshwater. Enhanced data collection and research can improve our understanding of these important issues and thereby lay the groundwork for informed resource management. Relevant earth science issues analyzed and discussed herein include freshwater availability; water use; ecosystems health; assessment of saline water resources; assessment of fossil-fuel, uranium, and geothermal resources; subsurface injection of wastewater and carbon dioxide and related induced seismicity; climate change and its effect on water availability and energy production; byproducts and waste streams of energy development; emerging energy-development technologies; and energy for water treatment and delivery.

Circular

Evaluation of ground-water quality data from Kentucky

The report reviews and summarizes 10,578 chemical analyses, from 2,362 wells and springs in Kentucky. These water-quality data were collected prior to September 30, 1981, and are available in computer files of the U.S. Geological Survey. The principal water-bearing rocks in Kentucky were combined into 10 major groups to aid in data summary preparation and general description of the ground-water quality of the State. Ground water in Kentucky is generally fresh near the outcrop of the rocks comprising the aquifer. Slightly saline to briny water occurs at variable depths beneath the freshwater. Preparation of quadrilinear diagrams revealed three principal geochemical processes in the aquifers of Kentucky: (1) mixing of freshwater and saline water in an interface zone; (2) dedolomitization of the Devonian and Silurian and Lower Mississippian carbonate rocks; (3) sodium for calcium exchange in the freshwater sections of many of the sandstone-shale aquifers. A number of errors and deficiencies were found in the data base. The principal deficiencies were: (1) very few complete analyses which included important field measurements; (2) inadequate definition of the chemistry of the freshwater-saline water interface zone throughout much of the State; (3) no analyses of stable isotopes and dissolved gases; (4) fewer than 10 analyses of most trace metals, radionuclides, and man-made organic chemicals; and (5) no data on bacteria in ground water from any aquifer in the State. (USGS)

Kentucky

A summary report of the regional geology, petroleum potential, environmental geology, and operational considerations in the area of proposed lease sale No. 68, offshore southern California

This report reviews geological, geophysical and technological data that are pertinent to proposed OCS Lease Sale 68. Under consideration are 26,000 mi 2 (67,400 km 2 ) of the California Continental Borderland north of the U.S.-Mexico boundary. The area includes both leased and unleased tracts and lies adjacent to the highly productive coastal basins of southern California. Factors that have contributed to petroleum generation in the onshore basins, such as thickness, burial depth and hydrocarbon content, are less favorable in parts of the offshore region. Nevertheless, regional geologic and geophysical mapping together with data from stratigraphic test wells and bottom samples suggest that source beds, reservoir rocks and traps are present beneath the borderland. Strata of Miocene age are widespread within the area of proposed OCS Lease Sale 68 and contain fair to excellent potential source rocks. Eocene and early Miocene sandstone beds in the Cortes Bank test well and late Miocene and Pliocene rocks in the Point Conception test well have porosities that are within the range of good reservoir rocks. Late middle Miocene through Pliocene sandy turbidites of reservoir quality possibly occur in some outer borderland basins. Additional prospective targets are fractured Miocene shale beds that may be present in the deeper basins and on the down-flank margins of major uplifts. Numerous structural and stratigraphic traps, which formed in response to late Cenozoic wrench tectonics, are distributed throughout the borderland.

California

Seismic constraints and Coulomb stress changes of a blind thrust fault system, 1: Coalinga and Kettleman Hills, California

This report reviews the seismicity and surface ruptures associated with the 1982-1985 earthquake sequence in the Coalinga region in California, and the role of Coulomb stress in triggering the mainshock sequence and aftershocks. The 1982-1985 New Idria, Coalinga, and Kettleman Hills earthquakes struck on a series of west-dipping, en echelon blind thrust faults. Each earthquake was accompanied by uplift of a Quaternary anticline atop the fault, and each was accompanied by a vigorous aftershock sequence. Aftershocks were widely dispersed, and are seen above and below the thrust fault, as well as along the up-dip and down-dip projection of the main thrust fault. For the Coalinga and Kettleman Hills earthquakes, high-angle reverse faults in the core of the anticlines are evident in seismic reflection profiles, and many of these faults are associated with small aftershocks. The shallowest aftershocks extended to within 3-4 km of the ground surface. There is no compelling evidence for aftershocks associated with flexural slip faulting. No secondary surface rupture was found on any of the anticlines. In contrast, the 1983 Nuñez rupture struck on a high-angle reverse fault 10 km west of the Coalinga epicenter, and over a 40-80-day period, up to 1 m of oblique surface slip occurred. The slip on this Holocene fault likely extended from the ground surface to a depth of 8-10 km. We argue that both the Nuñez and Kettleman earthquakes were triggered by stresses imparted by the Coalinga mainshock, which was the largest of the four events in the sequence.

California

Evaluation of airborne thermal-infrared image data for monitoring aquatic habitats and cultural resources within the Grand Canyon

This study examined thermal-infrared (TIR) image data acquired using the airborne Advanced Thematic Mapper (ATM) sensor in the afternoon of July 25th, 2000 over a portion of the Colorado River corridor to determine the capability of these 100-cm resolution data to address some biologic and cultural resource requirements for GCMRC. The requirements investigated included the mapping of warm backwaters that may serve as fish habitats and the detection (and monitoring) of archaeological structures and natural springs that occur on land. This report reviews the procedure for calibration of the airborne TIR data to obtain surface water temperatures and shows the results for various river reaches within the acquired river corridor. With respect to mapping warm backwater areas, our results show that TIR data need to be acquired with a gain setting that optimizes the range of temperatures found within the water to increase sensitivity of the resulting data to a level of 0.1 °C and to reduce scan-line noise. Data acquired within a two-hour window around maximum solar heating (1:30 PM) is recommended to provide maximum solar heating of the water and to minimize cooling effects of late-afternoon shadows. Ground-truth data within the temperature range of the warm backwaters are necessary for calibration of the TIR data. The ground-truth data need to be collected with good locational accuracy. The derived water-temperature data provide the capability for rapid, wide-area mapping of warm-water fish habitats using a threshold temperature for such habitats. The collected daytime TIR data were ineffective in mapping (detecting) both archaeological structures and natural springs (seeps). The inability of the daytime TIR data to detect archaeological structures is attributed to the low thermal sensitivity (0.3 °C) of the collected data. The detection of subtle thermal differences between geologic materials requires sensitivities of at least 0.1 °C, which can be obtained by most TIR sensors using an appropriate gain setting. Simultaneous data collection for both land and water purposes can be achieved using sensors that collect TIR data in two separate channels, each channel using a gain setting most appropriate for land or water. The detection of archaeological structures and natural water seeps would also be improved by collection of data after sunset, which would require a separate data acquisition from that providing surface water temperature data and therefore additional cost. At this point, the cost for acquiring TIR data is quite high ($620/river-km) compared to the potential benefits of the data, unless reflected-wavelength data are also collected that can satisfy other GCMRC protocol requirements (such as mapping riparian vegetation). This is especially true if multiple data acquisitions are required during the year for temporal analyses of backwater areas. The cost for these data cannot be totally mitigated by its ability to partly replace the need for ground surveys of backwaters because calibration of the TIR data will require some ground-truth data from warm backwater areas (in addition to low-temperature main-stem data). However, the airborne data can provide a product that cannot be approached by ground surveys, that being an instantaneous (2 hour) map of surface water temperature over a 160-km stretch of the Grand Canyon.

Arizona

A monitoring framework to assess forest bird population response to landscape scale mosquito suppression using the Incompatible Insect Technique

The Birds, Not Mosquitoes Monitoring and Support Science Working Group detailed methods for monitoring the population response of Hawaiian forest birds during implementation of the Incompatible Insect Technique (IIT) on the islands of Maui and Kauaʻi. The group prioritized methods for measuring the influence of mosquito suppression on populations within IIT treatment and control areas and identified focal species for IIT efficacy monitoring in birds. Three primary metrics were established to assess the impact of IIT on vulnerable species: population demography, density, and geographic range. Each metric can be evaluated using multiple methods. This report reviews those methods, with emphasis on approaches supported by pre-IIT baseline data and compatible with a before-after control-impact (BACI) study design for evaluating population responses over time. Focal avian species were selected based on population size estimates, fecundity, and disease susceptibility. We identified ʻākohekohe (Palmeria dolei), ʻiʻiwi (Drepanis coccinea), Maui ʻalauahio (Paroreomyza montana), Hawaiʻi ʻamakihi (Chlorodrepanis virens), Kauaʻi ʻamakihi (Chlorodrepanis stejnegeri), Kauaʻi ʻelepaio (Chasiempis sclateri), and ʻanianiau (Magumma parva) as focal species for monitoring population level response to disease suppression. Populations of kiwikiu (Pseudonestor xanthophrys), ʻakikiki (Oreomystis bairdi), akekeʻe (Loxops caeruleirostris), and the ʻiʻiwi population on Kauaʻi may be too small (e.g., <100 individuals) to effectively monitor, and it is unlikely that sufficient data can be collected from these birds to show IIT efficacy in a relatively short time frame (i.e., 5–10 years). Despite the logistical challenges to IIT implementation, there is potential to maintain disease-free status in individual populations of birds. Indeed, the continued existence of these critically endangered species in the wild within or near IIT treatment areas could be considered an accomplishment of IIT, given the current predictions for their extinction in the wild within 5–10 years. Demographic monitoring methods, including territory mapping, nest monitoring, mist-netting, and mark-recapture studies, provide direct evidence of survivorship and reproductive output. When combined with disease surveillance, these approaches could provide the most robust evidence of increased survivorship and productivity resulting from avian malaria suppression via IIT. However, demographic studies require several years of monitoring to achieve statistically robust BACI comparisons of survivorship and are more difficult to implement relative to other approaches. Given that these field efforts are labor-intensive and heavily reliant on personnel availability and funding, demographic monitoring could be conducted when adequate resources permit. On both Maui and Kauaʻi, passive acoustic monitoring (PAM) was identified as a priority method for monitoring the range, occupancy, and relative abundance of focal species. Autonomous recording units (ARUs) can record bird vocalizations in remote areas for several months. Innovative machine learning techniques permit rapid and semi-autonomous identification of most endemic honeycreepers on each island, maximizing sampling efficiencies and minimizing data processing costs. We predict mosquito suppression could support expansion of focal species into areas where disease transmission is currently excluding these species and expect acoustic monitoring data of focal species to reflect these spatial patterns. Additionally, the relative occupancy and call densities can be monitored temporally and spatially to assess the efficacy of IIT for supporting positive growth in vulnerable bird species. It is not yet clear if PAM is more effective than other methods, such as distance sampling, for detecting trends in the densities of rare species. However, the increased detections resulting from the larger sample size per observation point using ARUs will likely improve accuracy in detecting changes in species’ ranges. Collection of during and after treatment data within the BACI design could help to provide critical information to track avian population response, recovery, and potential range expansion related to IIT efforts. Point-transect distance sampling (point-counts) was prioritized as a method for monitoring population densities of focal species. Extensive historical sampling across focal species’ ranges provides a robust baseline for detecting change. These counts provide updated population densities and can be used to assess the distribution of focal species within IIT treatment areas. However, detecting subtle population changes with traditional distance sampling requires intensive spatial and temporal effort and may be less effective for rare species. To improve resolution, density surface modeling can integrate multiple data sources (e.g., point-counts, PAM, spot-mapping, and resightings) to estimate species-specific densities at finer spatial scales, including within and outside IIT treatment areas. This integrated modeling approach allows for detailed comparisons and may reveal early signs of recovery, including recolonization of formerly occupied sites. A coordinated monitoring strategy can allow managers to evaluate the success of mosquito suppression as a conservation intervention and support adaptive management in the face of emerging challenges.

Hawaii

Natural occurrence of silicon carbide in a diamondiferous kimberlite from Fuxian

Considerable debate surrounds the existence of silicon carbide in nature, mostly owing to the problem of possible contamination by man-made SiC. Recently, Gurney 1 reviewed reports of rare SiC inclusions in diamonds, and noted that SiC can only be regarded as a probable rather than proven cogenetic mineral. Here we report our observation of clusters of SiC coexisting with diamond in a kimberlite from Fuxian, China. Macrocrysts of α-SiC are overgrown epitaxially by β-SiC, and both polymorphs are structurally well ordered. We have also measured the carbon isotope compositions of SiC and diamonds from Fuxian. We find that SiC is more enriched in 12 C than diamond by 20‰, relative to the PDB standard. Isotope fractionation might have occurred through an isotope exchange reaction in a common carbon reservoir. Silicon carbide may thus ultimately provide information on carbon cycling in the Earth's mantle.

Nature

Cooperative Fish and Wildlife Research Units Program—2015 Year In Review

Summary The Cooperative Fish and Wildlife Research Unit (CRU) Program had its 80th anniversary in 2015. We did not have a party, but those of us who work directly for the Unit program on a daily basis celebrate the privilege we feel in being part of one of the greatest conservation institutions in history. Our mission is our hallmark: meeting the actionable science needs of our cooperators, providing them technical guidance and assistance in interpreting and applying new advances in science, and developing the future workforce through graduate education and mentoring. Our success in accomplishing our mission is due principally to the caliber of the scientists and students they recruit, and the tremendous support from our cooperators. The National Cooperators Coalition has been active in fostering support and I am very excited about their energy. A Special Session at the 2015 North American Wildlife and Natural Resources Conference was dedicated to the Unit program, and a vision for our future was presented at this most prestigious conservation policy forum. We compiled a directory of expertise within the Unit program organized within thematic science areas as identified by our cooperators. We intend for this directory to facilitate our transboundary initiatives where two or more Units in collaboration will be the catalyst that binds agencies and organizations together on landscape scale conservation science. We are co-sponsoring a workshop at the 2016 North American conference, along with the Association of Fish and Wildlife Agencies, the American Fisheries Society, and The Wildlife Society to jump-start a dialogue on and identify issues associated with the widening gap between science and management. The CRU is viewed by our cooperators as being the standard for delivering actionable science in conservation, and the exception to the emerging trend. This is testament to the legacy of the Unit Program and the foundation it is built upon. In this Year in Review report, you will find details on staffing, vacancies, research funding, and other pertinent information. You will also see snapshots of Unit projects with information on how results have been or are being applied by cooperators. That is the essence of what we do: science that matter.

Circular

Cooperative Fish and Wildlife Research Units Program—2016 year in review

Summary The Cooperative Fish and Wildlife Research Units (CRU) Program had a productive year in 2016. Despite vacancies in our scientist ranks exceeding 20 percent, our research, training, and teaching portfolio was full and we graduated 93 students and published 398 manuscripts primarily focused on addressing the real conservation challenges of our cooperators. As I’ve stated before, our mission is our legacy: meeting the actionable science needs of our cooperators, providing them technical guidance and assistance in interpreting and applying new advances in science, and developing the future workforce through graduate education and mentoring. Our scientists and the manner in which they approach our mission continue to inspire me. The most rewarding part of my job is meeting and engaging with the students they recruit—the conservation professionals of the future. I cannot help but feel uplifted after discussions with and presentations by these young men and women. Personally, I owe my place in the profession today to the mentoring I received as a CRU student, and today’s CRU scientists have raised the bar. It gives me hope for the future of conservation, and added motivation to see our vacancies filled so that we can expand our portfolio. The National Cooperators’ Coalition has been active and is strategically working to build support on our behalf. Sincere thanks to the American Fisheries Society, the Association of Fish and Wildlife Agencies, the Boone and Crockett Club, the National Association of University Fish and Wildlife Programs, the Wildlife Management Institute, and The Wildlife Society for their efforts and those of their affiliated members. We co-sponsored a workshop at the 2016 North American Wildlife and Natural Resources Conference along with the American Fisheries Society, the Association of Fish and Wildlife Agencies, the Wildlife Management Institute, and The Wildlife Society, titled “Barriers and Bridges in Reconnecting Natural Resources Science and Management.” The workshop was well received and we have been asked to continue the dialogue with a second workshop in 2017. It was evident during the workshop that the CRU is viewed by our cooperators as an important and essential linkage between academia and practitioners. This is testament to the legacy of the CRU Program and the foundation it is built upon. In this Year in Review report, you will find details on staffing, vacancies, research funding, and other pertinent information. You will also see snapshots of CRU projects with information on how results have been or are being applied by cooperators. That is the essence of what we do: science that matters.

Circular

Cooperative Fish and Wildlife Research Units program—2019 year in review

Acting Chief’s Message Dear Cooperators: Members of the Cooperative Research Units are pleased to provide you with the “2019 Year in Review” report for the Cooperative Fish and Wildlife Research Units (CRUs). You will first note that this report looks a little different than those published in the past few years, as we opted for a shorter, more concise format this year. Inside you will find brief descriptions of just a few highlighted activities of unit scientists, students, and cooperators in support of our joint mission. Because of the shorter format, we are not able to include activities from every unit or State, but rest assured that we continue to value the great work that all of you do across the country and around the world. In fiscal year 2019, the CRU program was very productive despite challenging conditions, including budget uncertainty, a month-long furlough, and hiring delays. John Organ, Chief of the CRU program, retired in January 2019. The process to replace John was delayed several times, but as I write this, the position has been announced on the Federal Government recruitment site. I am hopeful that by the time you read this, we will have a new permanent chief. Congress provided an increase of $1 million in our allocation for the express purpose of filling some of the vacancies in our scientific workforce. Since receiving that increase, the management team has been working to fill vacancies. The program is fortunate to have excellent research scientists, dedicated leadership, and an outstanding administrative staff. However, our accomplishments depend on the tremendous support from all of you. We look forward to a productive 2020. John D. Thompson

Circular

Structured science syntheses to inform decision making on Federal public lands

The U.S. Geological Survey, Bureau of Land Management, and U.S. Fish and Wildlife Service partnered to develop a new type of science product: the structured science synthesis. Structured science syntheses are peer-reviewed reports that synthesize science information about a priority resource management issue on public lands. Structured science syntheses are developed explicitly to facilitate the application of science to decision making. Key characteristics of structured science syntheses include that they are coproduced with resource managers, developed using clear, repeatable methods and designed for ease of use. The syntheses include different types of science information needed for analyses completed under the National Environmental Policy Act.

Fact Sheet

Glaciers along proposed routes extending the Copper River Highway, Alaska

Three inland highway routes are being considered by the Alaska Department of Transportation and Public Facilities to connect the community of Cordova in southcentral Alaska to a statewide road system. The routes use part of a Copper River and Northwest Railway alignment along the Copper River through mountainous terrain having numerous glaciers. An advance of any of several glaciers could block and destroy the roadway, whereas retreating glaciers expose large quantities of unconsolidated, unvegetated, and commonly ice-rich sediments. The purpose of this study was to map historical locations of glacier termini near these routes and to describe hazards associated with glaciers and seasonal snow. Historical and recent locations of glacier termini along the proposed Copper River Highway routes were determined by reviewing reports and maps and by interpreting aerial photographs. The termini of Childs, Grinnell, Tasnuna, and Woodworth Glaciers were 1 mile or less from a proposed route in the most recently available aerial photography (1978-91); the termini of Allen, Heney, and Schwan Glaciers were 1.5 miles or less from a proposed route. In general, since 1911, most glaciers have slowly retreated, but many glaciers have had occasional advances. Deserted Glacier and one of its tributary glaciers have surge-type medial moraines, indicating potential rapid advances. The terminus of Deserted Glacier was about 2.1 miles from a proposed route in 1978, but showed no evidence of surging. Snow and rock avalanches and snowdrifts are common along the proposed routes and will periodically obstruct the roadway. Floods from ice-dammed lakes also pose a threat. For example, Van Cleve Lake, adjacent to Miles Glacier, is as large as 4.4 square miles and empties about every 6 years. Floods from drainages of Van Cleve Lake have caused the Copper River to rise on the order of 20 feet at Million Dollar Bridge.

Water-Resources Investigations Report

Gas hydrate production testing – Knowledge gained

Since their initial discovery in the 1960’s, gas hydrates have been considered to be an important potential source of unconventional natural gas. Significant progress has been made relative to our understanding of the geologic and engineering controls on the ultimate energy potential of gas hydrate; however, more work is required to realize the promise of gas hydrates as a future energy source. Gas hydrates have been encountered, recovered or inferred to exist in numerous sedimentary basins in Arctic permafrost settings, regions of alpine permafrost, marine sediments of outer continental margins and in deep lakes. Despite the great abundance of potential gas hydrate resources in the world, a large portion of these resources reside in clay-rich sediments and fracture dominated reservoir systems, and are not generally considered producible with existing technology, but may have future potential with the emergence of new technologies. For a large portion of the world, gas hydrate in sand reservoirs have become a viable production target and the focus of the first production testing efforts. Production tests in Arctic Canada (Mackenzie Delta) and Alaska have shown that gas can be produced from highly-concentrated gas hydrate accumulations in coarse-grained (i.e., sand rich) reservoir systems with conventional production technologies. Production can be achieved through the depressurization method and by more complex methods such as molecular substitution (e.g., CO2-CH4 exchange). In 2013, the gas hydrate production test was conducted in a marine setting in the offshore of Japan. An additional test was conducted in Japan in 2017 to further evaluate alternative well completion technologies. Also in 2018, China initiated a 60-day gas hydrate production test in the Shenhu region of the South China Sea. This report reviews the results of gas hydrate engineering and production testing studies associated with the Mallik, Mount Elbert, and Iġnik Sikumi projects in northern Canada and Alaska. The results of the marine gas hydrate producing testing efforts in the Nankai Trough (Japan) and in the South China Sea (China) are also summarized

Conference Paper