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Brine contamination to aquatic resources from oil and gas development in the Williston Basin, United States

The Williston Basin, which includes parts of Montana, North Dakota, and South Dakota in the United States and the provinces of Manitoba and Saskatchewan in Canada, has been a leading domestic oil and gas producing region for more than one-half a century. Currently, there are renewed efforts to develop oil and gas resources from deep geologic formations, spurred by advances in recovery technologies and economic incentives associated with the price of oil. Domestic oil and gas production has many economic benefits and provides a means for the United States to fulfill a part of domestic energy demands; however, environmental hazards can be associated with this type of energy production in the Williston Basin, particularly to aquatic resources (surface water and shallow groundwater) by extremely saline water, or brine, which is produced with oil and gas. The primary source of concern is the migration of brine from buried reserve pits that were used to store produced water during recovery operations; however, there also are considerable risks of brine release from pipeline failures, poor infrastructure construction, and flow-back water from hydraulic fracturing associated with modern oilfield operations. During 2008, a multidisciplinary (biology, geology, water) team of U.S. Geological Survey researchers was assembled to investigate potential energy production effects in the Williston Basin. Researchers from the U.S. Geological Survey participated in field tours and met with representatives from county, State, tribal, and Federal agencies to identify information needs and focus research objectives. Common questions from agency personnel, especially those from the U.S. Fish and Wildlife Service, were “are the brine plumes (plumes of brine-contaminated groundwater) from abandoned oil wells affecting wetlands on Waterfowl Production Areas and National Wildlife Refuges?” and “are newer wells related to Bakken and Three Forks development different than the older, abandoned wells (in terms of potential for affecting aquatic resources)?” Of special concern were the wetland habitats of the ecologically important Prairie Pothole Region, which overlays a part of the Williston Basin and is recognized for the production of a majority of North America’s migratory waterfowl. On the basis of the concerns raised by on-the-ground land managers, as well as findings from previous research, a comprehensive study was developed with the following goals: summarize existing information pertaining to oil and gas production and aquatic resources in the Williston Basin; assess brine plume migration from new and previously studied sites in the Prairie Pothole Region; perform a regional, spatial evaluation of oil and gas production activities and aquatic resources; assess the potential for brine contamination to wetlands and streams; and hold a decision analysis workshop with key stakeholders to discuss issues pertaining to oil and gas production and environmental effects and to identify information gaps and research needs. This report represents an initial, multidisciplinary evaluation of measured and potential environmental effects associated with oil and gas production in the Williston Basin and Prairie Pothole Region. Throughout this report there are reviews of current knowledge, and discussions relating to data gaps and research needs. On the basis of the information presented, future research needs include: regional geophysical and water-quality assessments to establish baselines for current conditions and estimate the extent of previous brine contamination, investigations into the direct effects of brine to biotic communities, and evaluations to identify the most effective techniques to mitigate brine contamination.

Montana, North Dakota↗

Collision and displacement vulnerability among marine birds of the California Current System associated with offshore wind energy infrastructure

With growing climate change concerns and energy constraints, there is an increasing need for renewable energy sources within the United States and globally. Looking forward, offshore wind-energy infrastructure (OWEI) has the potential to produce a significant proportion of the power needed to reach our Nation’s renewable energy goal. Offshore wind-energy sites can capitalize open areas within Federal waters that have persistent, high winds with large energy production potential. Although there are few locations in the California Current System (CCS) where it would be acceptable to build pile-mounted wind turbines in waters less than 50 m deep, the development of technology able to support deep-water OWEI (>200 m depth) could enable wind-energy production in the CCS. As with all human-use of the marine environment, understanding the potential impacts of wind-energy infrastructure on the marine ecosystem is an integral part of offshore wind-energy research and planning. Herein, we present a comprehensive database to quantify marine bird vulnerability to potential OWEI in the CCS (see https://doi.org/10.5066/F79C6VJ0 ). These data were used to quantify marine bird vulnerabilities at the population level. For 81 marine bird species present in the CCS, we created three vulnerability indices: Population Vulnerability, Collision Vulnerability, and Displacement Vulnerability. Population Vulnerability was used as a scaling factor to generate two comprehensive indicies: Population Collision Vulnerability (PCV) and Population Displacement Vulnerability (PDV). Within the CCS, pelicans, terns (Forster’s [ Sterna forsteri ], Caspian [ Hydroprogne caspia ], Elegant [ Thalasseus elegans ], and Least Tern [ Sternula antillarum ]), gulls (Western [ Larus occidentalis ] and Bonaparte’s Gull [ Chroicocephalus philadelphia ]), South Polar Skua ( Stercorarius maccormicki ), and Brandt’s Cormorant ( Phalacrocorax penicillatus ) had the greatest PCV scores. Brown Pelican ( Pelicanus occidentalis ) had the greatest overall PCV score. Some alcids (Scripps’s Murrelet [ Synthliboramphus scrippsi ], Marbled Murrelet [ Brachyramphus marmoratus ], and Tufted Puffin [ Fratercula cirrhata ]), terns (Elegant and Least Lern), and loons (Yellow-billed [ Gavia adamsii ] and Common Loon [ G. immer ]) had the greatest PDV scores. Ashy Storm-Petrel ( Oceanodroma homochroa ) had the greatest overall PDV score. To help inform decisions that will impact seabird conservation, vulnerability assessment results can now be combined with recent marine bird at-sea distribution and abundance data for the CCS to evaluate vulnerability areas where OWEI development is being considered. Lastly, it is important to note that as new information about seabird behavior and populations in the CCS becomes available, this database can be easily updated and modified.

Open-File Report↗

World minerals outlook—Cobalt, gallium, helium, lithium, magnesium, palladium, platinum, and titanium through 2029

Given the rapid expansion in the demand for mineral commodities that underpin worldwide economic growth and technological advancement, information regarding expected country-level mine production and production capacity is becoming increasingly important to industry stakeholders, end users, and policymakers. Production capacity can limit future supply, depending on how rapidly that capacity is able to expand. Current capacity can be evaluated on the basis of past production. Decreases to future capacity can be taken into account from announcements of planned shutdowns of mines or processing facilities, which are frequently publicized well in advance of such closures. Likewise, capacity expansions, which usually involve multiple stages—such as permitting, financing, and construction (all of which take time)—can also be estimated. As such, it is possible to evaluate midterm future capacity based on estimates of today’s capacities along with consideration of future investment plans. This World Minerals Outlook provides estimated capacities for cobalt, gallium, helium, lithium, magnesium, palladium, platinum, and titanium for 2025 through 2029. The results of this analysis indicate that two mineral commodities important to the manufacture of lithium-ion batteries—cobalt and lithium—are expected to have large capacity growth in the next few years, likely owing to expectations for increased demand for these batteries. For gallium, helium, palladium, and platinum, capacity is expected to remain stable or exhibit moderate growth. Still, these expected capacity levels are higher than current production, allowing for future production growth. The production capacity outlook is opaque for magnesium and titanium metal, which have a significant fraction of current production in nonmarket economies, such as China and Russia. Ultimately, though, where free market conditions prevail, full utilization of capacity potential for those commodities is likely to depend on supply deficits and prices that are above production costs.

Scientific Investigations Report↗

Distribution of yellow crazy ants (Anoplolepis gracilipes) and notes on other ant species at Wake Atoll, 6-21 October, 2023

Wake Atoll, located in the central Pacific Ocean, is a tropical coral atoll comprised of three islands totaling 696 ha of emergent land. Wake Atoll supports at least 17 species of non-native ants, but one species, the yellow crazy ant ( Anoplolepis gracilipes ), is especially harmful to ecosystems, including seabirds, which are federally protected species and nest throughout Wake Atoll. Our objective was to map the distribution of yellow crazy ants (YCA) across Wake Atoll to provide U.S. Air Force managers with information that could inform an eradication strategy for this species. In addition, we documented the presence of other ant species identified during our survey. We used a 50 x 50-m cell-based sampling grid to survey for YCA and other ant species. YCA were widespread across the atoll, occupying all three islands and were detected in 566 of the 3,675 (15.4%) cells surveyed, covering an area of about 142 ha. The highest proportion of cells containing YCA was on Wilkes Island (99 of 400 cells or 24.8%), followed by Wake Island (395 of 2,760 cells or 14.3%) and Peale Island (72 of 518 cells or 14.0%). YCA detections on Wilkes Island were restricted to Wilkes South (99 of 202 cells or 49.0%); no YCA were found on Wilkes North, an important area that supports the most diverse assemblage of nesting seabirds on Wake Atoll. Based on technologies developed to eradicate YCA from Johnston Atoll and elsewhere, eradicating YCA from Wake Atoll appears technically feasible. The occurrence of discrete populations (i.e., clusters of occupied cells separated from other clusters of occupied cells) within and among islands could allow a stepwise strategy where the short-term outcome of the treatment of one population is independent of the outcome of another treatment. Without action, the high-density YCA population on Wilkes South could breach the narrow (~50 m), sometimes dry, channel separating Wilkes North and South, posing a serious threat to nesting seabirds present on Wilkes North. Eradicating YCA from Wilkes South would create a buffer from YCA and reduce the threat of northward movement of YCA. We also detected 12 ant species other than YCA during our survey, including Lepisiota frauenfeldi , a new record for the atoll.

Hawaii Cooperative Studies Unit Technical Report↗

Development of industrial minerals in Colorado

Technology and engineering have helped make mining safer and cleaner for both humans and the environment. Inevitably, mineral development entails costs as well as benefits. Developing a mine is an environmental, engineering, and planning challenge that must conform to many Federal, State, and local regulations. Community collaboration, creative design, and best management practices of sustainability and biodiversity can be positive indicators for the mining industry. A better understanding of aesthetics, culture, economics, geology, climate, vegetation and wildlife, topography, historical significance, and regional land planning is important in resolving land-use issues and managing mineral resources wisely. Ultimately, the consuming public makes choices about product use (including water, food, highways, housing, and thousands of other items) that influence operations of the mineral industry. Land planners, resource managers, earth scientists, designers, and public groups have a responsibility to consider sound scientific information, society's needs, and community appeals in making smart decisions concerning resource use and how complex landscapes should change. An effort to provide comprehensive geosciences data for land management agencies in central Colorado was undertaken in 2003 by scientists of the U.S. Geological Survey and the Colorado Geological Survey. This effort, the Central Colorado Assessment Project, addressed a variety of land-use issues: an understanding of the availability of industrial and metallic rocks and minerals, the geochemical and environmental effects of historic mining activity on surface water and groundwater, and the geologic controls on the availability and quality of groundwater. The USDA Forest Service and other land management agencies have the opportunity to contribute to the sustainable management of natural aggregate and other mineral resources through the identification and selective development of mineral resources and the reclamation of mines on lands that they administer. The information in this Circular will help them carry out that task.

Colorado↗

An assessment of volcanic threat and monitoring capabilities in the United States: Framework for a National Volcano Early Warning System

Executive Summary NVEWS – a National Volcano Early Warning System – is being formulated by the Consortium of U.S. Volcano Observatories (CUSVO) to establish a proactive, fully integrated, national-scale monitoring effort that ensures the most threatening volcanoes in the United States are properly monitored in advance of the onset of unrest and at levels commensurate with the threats posed. Volcanic threat is the combination of hazards (the destructive natural phenomena produced by a volcano) and exposure (people and property at risk from the hazards). The United States has abundant volcanoes, and over the past 25 years the Nation has experienced a diverse range of the destructive phenomena that volcanoes can produce. Hazardous volcanic activity will continue to occur, and – because of increasing population, increasing development, and expanding national and international air traffic over volcanic regions – the exposure of human life and enterprise to volcano hazards is increasing. Fortunately, volcanoes exhibit precursory unrest that if detected and analyzed in time allows eruptions to be anticipated and communities at risk to be forewarned with reliable information in sufficient time to implement response plans and mitigation measures. In the 25 years since the cataclysmic eruption of Mount St. Helens, scientific and technological advances in volcanology have been used to develop and test models of volcanic behavior and to make reliable forecasts of expected activity a reality. Until now, these technologies and methods have been applied on an ad hoc basis to volcanoes showing signs of activity. However, waiting to deploy a robust, modern monitoring effort until a hazardous volcano awakens and an unrest crisis begins is socially and scientifically unsatisfactory because it forces scientists, civil authorities, citizens, and businesses into “playing catch up” with the volcano, trying to get instruments and civil-defense measures in place before the unrest escalates and the situation worsens. Inevitably, this manner of response results in our missing crucial early stages of the volcanic unrest and hampers our ability to accurately forecast events. Restless volcanoes do not always progress to eruption; nevertheless, monitoring is necessary in such cases to minimize either over-reacting, which costs money, or under-reacting, which may cost lives. Volcano monitoring in the U.S. is conducted by five volcano observatories, supported primarily by the USGS Volcano Hazards Program. Under the Stafford Act, the USGS is responsible for issuing timely warnings of potential volcanic disasters to the affected populace and civil authorities. To make maximum use of the Nation’s scientific resources, the USGS operates the observatories with the help of universities and other governmental agencies, through formal partnerships. At present, about half of the most threatening U.S. volcanoes are monitored at a basic level with real-time sensors (primarily seismic arrays), and a few are well monitored with a suite of modern instrument types and methods. However, monitoring capabilities at many hazardous volcanoes are known to be sparse or antiquated, and some hazardous volcanoes have no ground-based monitoring whatsoever.

Marianas Islands↗

Preliminary assessment of channel stability and bed-material transport along Hunter Creek, southwestern Oregon

This preliminary assessment of (1) bed-material transport in the Hunter Creek basin, (2) historical changes in channel condition, and (3) supplementary data needed to inform permitting decisions regarding instream gravel extraction revealed the following: Along the lower 12.4 km (kilometers) of Hunter Creek from its confluence with the Little South Fork Hunter Creek to its mouth, the river has confined and unconfined segments and is predominately alluvial in its lowermost 11 km. This 12.4-km stretch of river can be divided into two geomorphically distinct study reaches based primarily on valley physiography. In the Upper Study Reach (river kilometer [RKM] 12.4-6), the active channel comprises a mixed bed of bedrock, boulders, and smaller grains. The stream is confined in the upper 1.4 km of the reach by a bedrock canyon and in the lower 2.4 km by its valley. In the Lower Study Reach (RKM 6-0), where the area of gravel bars historically was largest, the stream flows over bed material that is predominately alluvial sediments. The channel alternates between confined and unconfined segments. The primary human activities that likely have affected bed-material transport and the extent and area of gravel bars are (1) historical and ongoing aggregate extraction from gravel bars in the study area and (2) timber harvest and associated road construction throughout the basin. These anthropogenic activities likely have varying effects on sediment transport and deposition throughout the study area and over time. Although assessing the relative effects of these anthropogenic activities on sediment dynamics would be challenging, the Hunter Creek basin may serve as a case study for such an assessment because it is mostly free of other alterations to hydrologic and geomorphic processes such as flow regulation, dredging, and other navigation improvements that are common in many Oregon coastal basins. Several datasets are available that may support a more detailed physical assessment of Hunter Creek. The entire study area has been captured in aerial photographs at least once per decade since the 1940s. This temporally rich photograph dataset would support quantitative analyses of changes in channel planform as well as vegetation cover. Light Detection And Ranging (LiDAR) data collected in 2008 would facilitate hydraulic and sediment-transport modeling and characterization of bar elevations throughout most of the study area. Few studies describing channel morphology and sediment transport exist for the Hunter Creek basin. The most detailed study reported channel incision and bank instability as well as the loss of point bars and pools in the lower 3.9 km of Hunter Creek from slightly downstream of its confluence with Yorke Creek to its mouth (EA Engineering, Sci-ence, and Technology, 1998). Repeat channel cross-sections collected from 1994 to 2010 at four bridges indicate that Hunter Creek is dynamic and subject to channel shifting, aggradation, and incision. Despite this dynamism, the channel at three bridge crossings showed little net change in thalweg elevation during this period. However, the channel thalweg aggraded 0.55 m from 2004 to 2008 near the bridge at RKM 3.5. Systematic delineation of gravel bars from aerial photographs collected in 1940, 1965, 2005, and 2009 indicates a 52-percent reduction in the area of bed-material sediment throughout the study area from 1940 to 2009. Net bar loss was greatest in the Lower Study Reach from RKM 1-4 and mainly is associ-ated with the encroachment of vegetation onto upper-bar surfaces lacking apparent vegetation in 1940. Bar-surface material was approximately equal in size to bar-subsurface material at Conn Creek Bar, whereas it was distinctly coarser than the subsurface material at Menasha Bar. Armoring ratios, which indicate the coarseness of the bar surface relative to the bar subsurface, were calculated as 0.97 for Conn Creek Bar and 1.5 for Menasha Bar. These ratios tentatively show that

Oregon↗

Locations and attributes of utility-scale solar power facilities in Colorado and New Mexico, 2011

The data series consists of polygonal boundaries for utility-scale solar power facilities (both photovoltaic and concentrating solar power) located within Colorado and New Mexico as of December 2011. Attributes captured for each facility include the following: facility name, size/production capacity (in MW), type of solar technology employed, location, state, operational status, year the facility came online, and source identification information. Facility locations and perimeters were derived from 1-meter true-color aerial photographs (2011) produced by the National Agriculture Imagery Program (NAIP); the photographs have a positional accuracy of about ±5 meters (accessed from the NAIP GIS service: http://gis.apfo.usda.gov/arcgis/services). Solar facility perimeters represent the full extent of each solar facility site, unless otherwise noted. When visible, linear features such as fences or road lines were used to delineate the full extent of the solar facility. All related equipment including buildings, power substations, and other associated infrastructure were included within the solar facility. If solar infrastructure was indistinguishable from adjacent infrastructure, or if solar panels were installed on existing building tops, only the solar collecting equipment was digitized. The "Polygon" field indicates whether the "equipment footprint" or the full "site outline" was digitized. The spatial accuracy of features that represent site perimeters or an equipment footprint is estimated at +/- 10 meters. Facilities under construction or not fully visible in the NAIP imagery at the time of digitization (December 2011) are represented by an approximate site outline based on the best available information and documenting materials. The spatial accuracy of these facilities cannot be estimated without more up-to-date imagery – users are advised to consult more recent imagery as it becomes available. The "Status" field provides information about the operational status of each facility as of December 2011. This data series contributes to an Online Interactive Energy Atlas currently in development by the U.S. Geological Survey. The Energy Atlas will synthesize data on existing and potential energy development in Colorado and New Mexico and will include additional natural resource data layers. This information may be used by decision makers to evaluate and compare the potential benefits and tradeoffs associated with different energy development strategies or scenarios. Interactive maps, downloadable data layers, metadata, and decision support tools will be included in the Energy Atlas. The format of the Energy Atlas will facilitate the integration of information about energy with key terrestrial and aquatic resources for evaluating resource values and minimizing risks from energy development activities.

Colorado;New Mexico↗

Comparing polychlorinated biphenyl concentrations and patterns in the Saginaw River using sediment, caged fish, and semipermeable membrane devices

Three techniques of assessing bioavailable polychlorinated biphenyls (PCBs) in the Saginaw River, MI, were compared: sediments, caged fish, and semipermeable membrane devices (SPMDs). SPMDs and caged fish were placed in the river for 28 days at five sites where sediments were also sampled. The samples were analyzed for PCB congeners to determine concentrations and patterns. Total PCB concentrations ranged from 33 to 280 ng/g (dry weight) in sediments, 46 to 290 ng/g (wet weight) in caged fish, and 77 to 790 ng/g in SPMDs. Previously reported rates of PCB accumulation by SPMDs were used to estimate aqueous concentrations from the PCB concentrations detected in the SPMDs. Sediment-water partition coefficients were used to estimate aqueous PCB concentrations from sediment. Steady-state bioconcentration factors and depuration rate constants were used to estimate dissolved PCB concentrations from caged channel catfish. Relative PCB patterns from the SPMDs, caged fish, and sediment were compared using principal components analysis. SPMD and sediment samples provide complementary information. Sediments reflect long-term accumulation and weathering, while SPMDs integrate water concentrations only during the sampling period. Because of higher water solubilities of lower-chlorinated PCBs these predominate in the SPMDs as compared to in the fish and sediments. Contaminant profile differences between caged fish and SPMDs are likely due to metabolism and depuration of certain PCB congeners by fish.Three techniques of assessing bioavailable polychlorinated biphenyls (PCBs) in the Saginaw River, Ml, were compared: sediments, caged fish, and semipermeable membrane devices (SPMDs). SPMDs and caged fish were placed in the river for 28 days at five sites where sediments were also sampled. The samples were analyzed for PCB congeners to determine concentrations and patterns. Total PCB concentrations ranged from 33 to 280 ng/g (dry weight) in sediments, 46 to 290 ng/g (wet weight) in caged fish, and 77 to 790 ng/g in SPMDs. Previously reported rates of PCB accumulation by SPMDs were used to estimate aqueous concentrations from the PCB concentrations detected in the SPMDs. Sediment-water partition coefficients were used to estimate aqueous PCB concentrations from sediment. Steady-state bioconcentration factors and depuration rate constants were used to estimate dissolved PCB concentrations from caged channel catfish. Relative PCB patterns from the SPMDs, caged fish, and sediment were compared using principal components analysis. SPMD and sediment samples provide complementary information. Sediments reflect long-term accumulation and weathering, while SPMDs integrate water concentrations only during the sampling period. Because of higher water solubilities of lower-chlorinated PCBs these predominate in the SPMDs as compared to in the fish and sediments. Contaminant profile differences between caged fish and SPMDs are likely due to metabolism and depuration of certain PCB congeners by fish.At five sites in the Saginaw River, MI, PCB concentrations were determined in the summer of 1993 using three methods: sediment analysis, concentrations in caged fish, and concentrations in semipermeable membrane devices (SPMDs). On average, total PCB concentrations in the SPMDs were twice those found in caged fish, and the SPMD-to-fish concentration ratios of di-, tri-, tetra-, and pentaCB homologues were 10.0, 3.0, 2.5, and 1.4, respectively. Average concentrations in the sediments were approximately half those in the SPMDs, and the caged fish showed a greater preponderance of higher log octanol-water partition coefficient PCBs similar to the sediment pattern. On average, the water PCB concentrations estimated from sediment concentrations were five times higher than those calculated from SPMDs and three times higher than those estimated from caged fish. The total PCB concentrations in sediment, caged fish, and SPMDs ranged 33-280, 46-290, and 77-790 ng/g, respectiv

Environmental Science & Technology↗

Comparison of U.S. net import reliance for nonfuel mineral commodities—A 60-year retrospective (1954–1984–2014)

Introduction The economic vitality and national security of the United States depend on the reliable supply of numerous nonfuel mineral commodities. Over the past six decades, many of these commodities have been sourced increasingly from outside the United States. The mix of commodities for which the United States is import dependent has changed as technologies have advanced, as substitute materials have been developed, and as world economies have changed. Although reliance on imports is only one of the many factors that determine supply risk, a clear, long-term trend has emerged from the data compiled and published by the U.S. Geological Survey, National Minerals Information Center (USGS–NMIC), and its predecessor organizations. Because the global distribution of mineral resources and reserves is not uniform, the United States has always been import reliant for some mineral commodities. Essentially, the type of commodities and the countries from which they are sourced determine risk related to import dependence. In light of projections that 2.5 billion to 3 billion people globally could move into the middle class by 2030, the demand for many types of mineral commodities is likely to continue to increase. Recent concerns regarding so-called “critical minerals” have been driven by market dislocations in the rare-earth-element supply chain in 2010 that resulted from a short-term policy decision by the Government of the People’s Republic of China to limit exports. That policy has since been changed as a result of actions by the World Trade Organization, but the events that followed, such as higher prices and intensive efforts to diversify sources of supply, illustrate the underlying issues of supply risk and the influence that disruptions can have on supply. These factors are often used in the classification of a mineral commodity as “critical.” The USGS–NMIC collects, analyzes, and disseminates information on a monthly, quarterly, or annual basis for more than 90 nonfuel mineral commodities from more than 180 countries. These data indicate that from 1954 through 2014 there was (1) a clear increase in the number and type of nonfuel mineral commodities for which the United States was net import reliant, (2) an increase in the percentage of import reliance for individual nonfuel mineral commodities, and (3) a shift in the geographic distribution of the source countries.

Fact Sheet↗

Hydraulic, geochemical, and thermal monitoring of an aquifer system in the vicinity of Mammoth Lakes, Mono County, California, 2015–17

Since 2014, the U.S. Geological Survey has been working in cooperation with the Bureau of Land Management, Mono County, Ormat Technologies, Inc., and the Mammoth Community Water District to design and implement a groundwater-monitoring program for the proposed Casa Diablo IV Geothermal Power Project in Long Valley Caldera, California, to characterize baseline groundwater-level, water-temperature, and water-chemistry conditions at dedicated monitoring wells and municipal supply wells. The publicly available data and the analyses provided here represent quality-assured and peer-reviewed information to help with the management of the thermal and non-thermal water resources beneath and in the vicinity of the town of Mammoth Lakes, California. The methods of data collection for continuous water levels and quarterly water-temperature profiles for two 600-foot-deep monitoring wells during 2016 through 2017 are discussed. Also discussed are the methods of water-sample collection and characterizations of the water chemistry in numerous wells in the multilayered aquifer system beneath Mammoth Lakes. Additionally, the methodology used to develop digital (mathematical) filters to remove or reduce the effects of barometric pressure and solid Earth tides on the continuous water-level records is discussed. Digitally filtered water levels for a 2017 flow test of a deep geothermal production well are described, and various aquifer responses observed during the flow test are discussed. These are further considered in a companion evaluation of potential physical and chemical influences on the water-level data collected during the flow test. The digitally filtered water-level data indicated that some hydraulic communication exists between the deep geothermal aquifer and shallow groundwater aquifer at the location of the flow test, northeast of Mammoth Lakes. Groundwater-chemistry data from three wells indicated that shallow groundwater naturally mixes with a small component of geothermal water along the northern periphery of the shallow aquifer system at Mammoth Lakes.

California↗

Comparison of streamflow and water-quality data collection techniques for the Saginaw River, Michigan

In 2009, the Michigan Department of Environmental Quality and the U.S. Geological Survey developed a plan to compare the effect of various streamgaging and water-quality collection techniques on streamflow and stream water-quality data for the Saginaw River, Michigan. The Saginaw River is the primary contributor of surface runoff to Saginaw Bay, Lake Huron, draining approximately 70 percent of the Saginaw Bay watershed. The U.S. Environmental Protection Agency has listed the Saginaw Bay system as an "Area of Concern" due to many factors, including excessive sediment and nutrient concentrations in the water. Current efforts to estimate loading of sediment and nutrients to Saginaw Bay utilize water-quality samples collected using a surface-grab technique and flow data that are uncertain during specific conditions. Comparisons of current flow and water-quality sampling techniques to alternative techniques were assessed between April 2009 and September 2009 at two locations in the Saginaw River. Streamflow estimated using acoustic Doppler current profiling technology was compared to a traditional stage-discharge technique. Complex conditions resulting from the influence of Saginaw Bay on the Saginaw River were able to be captured using the acoustic technology, while the traditional stage-discharge technique failed to quantify these effects. Water-quality samples were collected at two locations and on eight different dates, utilizing both surface-grab and depth-integrating multiple-vertical techniques. Sixteen paired samples were collected and analyzed for suspended sediment, turbidity, total phosphorus, total nitrogen, orthophosphate, nitrite, nitrate, and ammonia. Results indicate that concentrations of constituents associated with suspended material, such as suspended sediment, turbidity, and total phosphorus, are underestimated when samples are collected using the surface-grab technique. The median magnitude of the relative percent difference in concentration based on sampling technique was 37 percent for suspended sediment, 26 percent for turbidity, and 9.7 percent for total phosphorus samples collected at both. Acoustic techniques were also used to assist in the determination of the effectiveness of using acoustic-backscatter information for estimating the suspended-sediment concentration of the river water. Backscatter data was collected by use of an acoustic Doppler current profiler, and a Van Dorn manual sampler was simultaneously used to collect discrete water samples at 10 depths (3.5, 7.5, 11, 14, 15.5, 17.5, 19.5, 20.5, 22, and 24.5 ft below the water surface) along two vertical profiles near the center of the Saginaw River near Bay City. The Van Dorn samples were analyzed for suspended-sediment concentrations, and these data were then used to develop a relationship between acoustic-backscatter data. Acoustic-backscatter data was strongly correlated to sediment concentrations and, by using a linear regression, was able to explain 89 percent of the variability. Although this regression technique showed promise for using acoustic backscatter to estimate suspended-sediment concentration, attempts to compare suspended-sediment concentrations to the acoustic signal-to-noise ratio estimates, recorded at the fixed acoustic streamflow-gaging station near Bay City (04157061), resulted in a poor correlation.

Michigan↗

Reducing risk where tectonic plates collide—U.S. Geological Survey subduction zone science plan

The U.S. Geological Survey (USGS) serves the Nation by providing reliable scientific information and tools to build resilience in communities exposed to subduction zone earthquakes, tsunamis, landslides, and volcanic eruptions. Improving the application of USGS science to successfully reduce risk from these events relies on whole community efforts, with continuing partnerships among scientists and stakeholders, including researchers from universities, other government labs and private industry, land-use planners, engineers, policy-makers, emergency managers and responders, business owners, insurance providers, the media, and the general public. Motivated by recent technological advances and increased awareness of our growing vulnerability to subduction-zone hazards, the USGS is uniquely positioned to take a major step forward in the science it conducts and products it provides, building on its tradition of using long-term monitoring and research to develop effective products for hazard mitigation. This science plan provides a blueprint both for prioritizing USGS science activities and for delineating USGS interests and potential participation in subduction zone science supported by its partners. The activities in this plan address many USGS stakeholder needs: High-fidelity tools and user-tailored information that facilitate increasingly more targeted, neighborhood-scale decisions to mitigate risks more cost-effectively and ensure post-event operability. Such tools may include maps, tables, and simulated earthquake ground-motion records conveying shaking intensity and frequency. These facilitate the prioritization of retrofitting of vulnerable infrastructure; Information to guide local land-use and response planning to minimize development in likely hazardous zones (for example, databases, maps, and scenario documents to guide evacuation route planning in communities near volcanoes, along coastlines vulnerable to tsunamis, and built on landslide-prone terrain); New tools to assess the potential for cascading hazards, such as landslides, tsunamis, coastal changes, and flooding caused by earthquakes or volcanic eruptions; Geospatial models of permanent, widespread land- and sea-level changes that may occur in the immediate aftermath of great ( M ≥8.0) subduction zone earthquakes; Strong partnerships between scientists and public safety providers for effective decision making during periods of elevated hazard and risk; Accurate forecasts of far-reaching hazards (for example, ash clouds, tsunamis) to avert catastrophes and unnecessary disruptions in air and sea transportation; Aftershock forecasts to guide decisions about when and where to re-enter, repair, or rebuild buildings and infrastructure, for all types of subduction zone earthquakes.

Circular↗

Platinum-group elements in southern Africa: mineral inventory and an assessment of undiscovered mineral resources

The platinum-group elements, platinum, palladium, rhodium, ruthenium, iridium, and osmium, possess unique physical and chemical characteristics that make them indispensable to modern technology and industry. However, mineral deposits that are the main sources of these elements occur only in three countries in the world, raising concerns about potential disruption in mineral supply. Using information in the public domain, mineral resource and reserve information has been compiled for mafic and ultramafic rocks in South Africa and Zimbabwe that host most of the world’s platinum-group element resources. As of 2012, exploration and mining companies have delineated more than 20 billion metric tons of mineralized rock containing 42,000 metric tons of platinum, 29,000 metric tons of palladium, and 5,200 metric tons of rhodium, primarily in mafic and ultramafic intrusions of the Bushveld Complex and the Great Dyke, in southern Africa. Additional mineralized rock is likely to occur in extensions to the well-explored and characterized volumes of mineralized rock. Underexplored extensions of stratabound platinum-group element (PGE) deposits in the Bushveld Complex in South Africa may contain 65,000 metric tons of platinum, palladium, and rhodium to a depth of 3 km. Rocks enriched in PGE, which occur near the contact of the Bushveld Complex with older Transvaal Supergroup sedimentary rocks, may contain 1,100 metric tons of platinum and 1,370 metric tons of palladium (mean estimate to a depth of 1 km). A stratabound platinum-group element deposit in the Great Dyke in Zimbabwe may contain 6,900 metric tons of undiscovered platinum, palladium, and rhodium. By comparison, the global net demand for PGE in 2012 was approximately 460 metric tons. Since the 1920s, mining has recovered 7,200 and 107 metric tons of platinum-group elements from the Bushveld Complex and the Great Dyke, respectively. The large layered intrusions in southern Africa—the Bushveld Complex and the Great Dyke—are now and will continue to be a major source of the world’s supply of PGE. Mining will not deplete the identified mineral resources and reserves or potential undiscovered mineral resources for many decades; however, in the near-term, PGE supply could be affected by social, environmental, political, and economic factors.

Southern Africa↗

US Topo Product Standard

This document defines a U.S. Geological Survey (USGS) digital topographic map. This map product series, named “US Topo,” is modeled on the now historical USGS 7.5-minute (1:24,000 scale) topographic map series produced and printed by the USGS from 1947 to 2006. US Topo maps have the same extent, scale, and general layout as the historical topographic maps. US Topo maps incorporate an orthorectified image (hereinafter referred to as “orthoimage”) and shaded relief image along with a selection of data that were included in the historical 7.5-minute topographic maps. Between June and September of 2017, the USGS transitioned the format of US Topo maps to be published, by using a geospatial extension, in an International Organization for Standardization (ISO) 32000-compliant Adobe® portable document format (PDF) that is called a “geospatial PDF.” Previously, US Topo maps were published, by using geospatial extensions patented by TerraGo® Technologies, in PDF in a format called a “GeoPDF®.” The geospatial PDF design allows a user to zoom in and out in a georeferenced environment, turn layers on and off, view or print any combination of layers, and print any portion of the map at the published scale. US Topo maps are intended to serve conventional map users by providing geographic information system (GIS) information in symbolized form in the customary topographic map layout. The maps are not intended for advanced GIS analysis applications. These products are built on standard coordinate systems and include full U.S. National Grid (USNG) lines, making US Topo maps particularly useful for emergency first-response operations. These maps are also used by traditional topographic map users, such as resource managers, planners, and recreational users who continue to have a need for the symbolized feature data contained in the 7.5-minute quadrangle maps. Full-size style sheet templates in PDF defining the placement of map elements, marginalia, and font sizes and styles accompany this standard. US Topo maps published as geospatial PDFs are fashioned to conform to these style sheets so that a user can print out a map at the 1:24,000, 1:25,000, or 1:20,000 scale using the dimensions of the traditional standard 7.5-minute quadrangle. Symbology and type specifications for feature content and detailed requirements for geospatial content will be published separately. This document is an update of the US Topo Product Standard published in 2011 (Cooley and others, 2011). It is applicable to all US Topo maps. Updates in this version include the introduction of an ISO 32000-compliant geospatial PDF as a new file format for published maps; new style sheet templates for 1:24,000-scale maps (conterminous United States and Hawaii), 1:25,000-scale maps (Alaska), and 1:20,000-scale maps (Puerto Rico and U.S. Virgin Islands); an updated US Topo Map Symbol attachment; minor updates to text, including changes to the features and layers included in the US Topo product and the sheet size of the US Topo maps; updated figures demonstrating the US Topo product; an updated metadata file containing map-specific information.

Techniques and Methods↗

The story of the Hawaiian Volcano Observatory -- A remarkable first 100 years of tracking eruptions and earthquakes

The year 2012 marks the centennial of the Hawaiian Volcano Observatory (HVO). With the support and cooperation of visionaries, financiers, scientists, and other individuals and organizations, HVO has successfully achieved 100 years of continuous monitoring of Hawaiian volcanoes. As we celebrate this milestone anniversary, we express our sincere mahalo—thanks—to the people who have contributed to and participated in HVO’s mission during this past century. First and foremost, we owe a debt of gratitude to the late Thomas A. Jaggar, Jr., the geologist whose vision and efforts led to the founding of HVO. We also acknowledge the pioneering contributions of the late Frank A. Perret, who began the continuous monitoring of Kīlauea in 1911, setting the stage for Jaggar, who took over the work in 1912. Initial support for HVO was provided by the Massachusetts Institute of Technology (MIT) and the Carnegie Geophysical Laboratory, which financed the initial cache of volcano monitoring instruments and Perret’s work in 1911. The Hawaiian Volcano Research Association, a group of Honolulu businessmen organized by Lorrin A. Thurston, also provided essential funding for HVO’s daily operations starting in mid-1912 and continuing for several decades. Since HVO’s beginning, the University of Hawaiʻi (UH), called the College of Hawaii until 1920, has been an advocate of HVO’s scientific studies. We have benefited from collaborations with UH scientists at both the Hilo and Mänoa campuses and look forward to future cooperative efforts to better understand how Hawaiian volcanoes work. The U.S. Geological Survey (USGS) has operated HVO continuously since 1947. Before then, HVO was under the administration of various Federal agencies—the U.S. Weather Bureau, at the time part of the Department of Agriculture, from 1919 to 1924; the USGS, which first managed HVO from 1924 to 1935; and the National Park Service from 1935 to 1947. For 76 of its first 100 years, HVO has been part of the USGS, the Nation’s premier Earth science agency. It currently operates under the direction of the USGS Volcano Science Center, which now supports five volcano observatories covering six U.S. areas—Hawaiʻi (HVO), Alaska and the Northern Mariana Islands (Alaska Volcano Observatory), Washington and Oregon (Cascades Volcano Observatory), California (California Volcano Observatory), and the Yellowstone region (Yellowstone Volcano Observatory). Although the National Park Service (NPS) managed HVO for only 12 years, HVO has enjoyed a close working relationship with Hawaiʻi Volcanoes National Park (named Hawaii National Park until 1961) since the park’s founding in 1916. Today, as in past years, the USGS and NPS work together to ensure the safety and education of park visitors. We are grateful to all park employees, particularly Superintendent Cindy Orlando and Chief Ranger Talmadge Magno and their predecessors, for their continuing support of HVO’s mission. HVO also works closely with the Hawaiʻi County Civil Defense. During volcanic and earthquake crises, we have appreciated the support of civil defense staff, especially that of Harry Kim and Quince Mento, who administered the agency during highly stressful episodes of Kīlauea's ongoing eruption. Our work in remote areas on Hawaiʻi’s active volcanoes is possible only with the able assistance of Hawaiʻi County and private pilots who have safely flown HVO staff to eruption sites through the decades. A special mahalo goes to David Okita, who has been HVO’s principal helicopter pilot for more than two decades. Many commercial and Civil Air Patrol pilots have also assisted HVO by reporting their observations during various eruptive events. Hawaiʻi’s news media—print, television, radio, and online sources—do an excellent job of distributing volcano and earthquake information to the public. Their assistance is invaluable to HVO, especially during times of crisis. HVO’s efforts to provide timely and accurate scientific information about Hawaiian volcanoes and earthquakes succeed only because of you, our receptive and keenly aware public. By following the activity of Hawaiʻi’s active volcanoes through our daily eruption updates posted on the HVO website, viewing HVO webcam images, reading our weekly “Volcano Watch” articles, and attending our public lectures, you help us to ensure that you can live safely with Hawaiʻi’s dynamic volcanoes. To everyone who has shared in HVO’s reaching this milestone—100 years of continuous volcano monitoring—we extend our deepest gratitude. Mahalo nui loa!

Hawai'i↗

The 3D Elevation Program—Supporting Vermont's economy

Introduction The geographic information system (GIS) community in Vermont has a long history of interdisciplinary and cooperative projects that have facilitated the leveraging of geospatial technology on myriad data acquisitions across the State. High-resolution elevation data are proving to be a resource of great economic value in dealing with many important issues in Vermont. Vermont attained statewide coverage of quality level 2 coverage of topographic light detection and ranging (lidar) data in 2019. Having access to elevation data that are exponentially more accurate than what was previously available is enabling GIS professionals to better support and empower decision makers in economically important efforts such as environmental protection, public safety, watershed management and water quality, geology, transportation planning, forest and wildlife management, local planning, and flood plain management. In addition, developing a consistent and seamless statewide topographic framework supplants the traditionally time consuming and costly approach of extensive field data collection by requiring less time and money, therefore adding economic benefits. Critical applications that meet the State’s management needs depend on lidar data that provide a highly detailed three-dimensional (3D) model of the Earth’s surface and aboveground features. The 3D Elevation Program (3DEP) is managed by the U.S. Geological Survey (USGS) in partnership with Federal, State, Tribal, U.S. territorial, and local agencies to acquire consistent lidar coverage at quality level 2 or better to meet the many needs of the Nation and Vermont. The status of available and in-progress 3DEP baseline lidar data in Vermont is shown in figure 1. 3DEP baseline lidar data include quality level 2 or better, 1-meter or better digital elevation models, and lidar point clouds, and must meet the Lidar Base Specification version 1.2 ( https://www.usgs.gov/3dep/lidarspec ) or newer requirements. The National Enhanced Elevation Assessment identified user requirements and conservatively estimated that availability of lidar data would result in at least $1.64 million in new benefits annually to the State. The top eight Vermont business uses for 3D elevation data, which are based on the estimated annual conservative benefits of 3DEP, are shown in table 2.

Vermont↗

Proceedings of the U.S. Geological Survey Eighth Biennial Geographic Information Science Workshop and first The National Map Users Conference, Denver, Colorado, May 10-13, 2011

The U.S. Geological Survey (USGS) is sponsoring the first The National Map Users Conference in conjunction with the eighth biennial Geographic Information Science (GIS) Workshop on May 10-13, 2011, in Lakewood, Colorado. The GIS Workshop will be held at the USGS National Training Center, located on the Denver Federal Center, Lakewood, Colorado, May 10-11. The National Map Users Conference will be held directly after the GIS Workshop at the Denver Marriott West, a convention hotel in the Lakewood, Colorado area, May 12-13. The National Map is designed to serve the Nation by providing geographic data and knowledge for government, industry, and public uses. The goal of The National Map Users Conference is to enhance communications and collaboration among the communities of users of and contributors to The National Map, including USGS, Department of the Interior, and other government GIS specialists and scientists, as well as the broader geospatial community. The USGS National Geospatial Program intends the conference to serve as a forum to engage users and more fully discover and meet their needs for the products and services of The National Map. The goal of the GIS Workshop is to promote advancement of GIS and related technologies and concepts as well as the sharing of GIS knowledge within the USGS GIS community. This collaborative opportunity for multi-disciplinary GIS and associated professionals will allow attendees to present and discuss a wide variety of geospatial-related topics. The Users Conference and Workshop collaboration will bring together scientists, managers, and data users who, through presentations, posters, seminars, workshops, and informal gatherings, will share accomplishments and progress on a variety of geospatial topics. During this joint event, attendees will have the opportunity to present or demonstrate their work; to develop their knowledge by attending hands-on workshops, seminars, and presentations given by professionals from USGS and other Federal Agencies, GIS related companies, and academia; and to network with other professionals to develop collaborative opportunities. Specific conference topics include scientific and modeling applications using The National Map, opportunities for partnerships, and advances in geospatial technologies. The first part of the week will be the GIS Workshop, offered as a pre-conference seminar. It will focus on hands-on GIS training and seminars concerning current topics of geospatial interest. The focus of the USGS GIS Workshop is to showcase specific techniques and concepts for using GIS in support of science. The presentations will be educational and not a marketing endeavor. To promote awareness of and interaction with selected USGS corporate and local science center data products, as well as promoting collaboration, a “GIS Olympics” event will be held Tuesday evening during the GIS Workshop. The second part of the week will feature interactive briefings and discussions on issues and opportunities of The National Map. The focus of the Users Conference will be on the role of The National Map in supporting science initiatives, emergency response, land and wildlife management, and other activities. All presentations at the Users Conference include use or innovations related to a The National Map data theme or application. On Wednesday evening, a poster session is being held as a combined event for all attendees and as a juncture between the events. On Thursday evening, the Henry Gannett Award will be presented. Additionally, poster awards will be presented. Several prominent speakers are featured at plenary sessions at The National Map Users Conference, including Deanna A. Archuleta, Deputy Assistant Secretary for Water and Science, Department of the Interior; Dr. Barbara P. Buttenfield, Professor of Geography at the University of Colorado in Boulder; best-selling author Frederick Reuss; and Dr. Joel Scheraga, Senior Advisor for Climate Adaptation, U.S. Environmental Protection Agency. Additionally, panel discussions have attracted participation from notable experts from government, academia, and the private sector. This Proceedings volume will serve as an activity reference for workshop attendees, as well as an archive of technical abstracts presented at the workshop. Author, co-author, and presenter names, affiliations, and contact information are listed with presentation titles with the abstracts. Some hands-on sessions are offered twice; in these instances, abstracts submitted for publication are presented in the proceedings on both days on which they are offered.

Scientific Investigations Report↗