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At least 757 records · Page 42Linked to original sources

The Holocene sea-level highstand in the equatorial Pacific: Analysis of the insular paleosea-level database

A review of the literature provides 92 estimates of the middle to late Holocene sea-level highstand on Pacific Islands. These data generally support geophysical model calculations that predict a +1 to 3 m relative sea-level highstand on oceanic islands due to the Earth’s rheological response to the melting of the last continental ice sheets and subsequent redistribution of meltwater. Both predictions and observations indicate sea level was higher than present in the equatorial Pacific between 5000 and 1500 y B.P. A non-linear relationship exists between the age and elevation of the highstand peak, suggesting that different rates of isostatic adjustment may occur in the Pacific, with the highest rates of sea-level fall following the highstand near the equator. It is important to resolve detailed sea-level histories from insular sites to test and refine models of climatic, oceanographic, and geophysical processes including hydroisostasy, equatorial ocean siphoning, and lithospheric flexure that are invoked as mechanisms affecting relative sea-level position. We use a select subset of the available database meeting specific criteria to examine model relationships of paleosea-surface topography. This new evaluated database of paleosea-level positions is also validated for testing and constraining geophysical model predictions of past and present sea-level variations.

Coral Reefs↗

On the nature of the dirty ice at the bottom of the GISP2 ice core

We present data on the triple Ar isotope composition in trapped gas from clean, stratigraphically disturbed ice between 2800 and 3040m depth in the GISP2 ice core, and from basal dirty ice from 3040 to 3053m depth. We also present data for the abundance and isotopic composition of O 2 and N 2 , and abundance of Ar, in the basal dirty ice. The Ar/N 2 ratio of dirty basal ice, the heavy isotope enrichment (reflecting gravitational fractionation), and the total gas content all indicate that the gases in basal dirty ice originate from the assimilation of clean ice of the overlying glacier, which comprises most of the ice in the dirty bottom layer. O 2 is partly to completely depleted in basal ice, reflecting active metabolism. The gravitationally corrected ratio of 40 Ar/ 38 Ar, which decreases with age in the global atmosphere, is compatible with an age of 100-250ka for clean disturbed ice. In basal ice, 40 Ar is present in excess due to injection of radiogenic 40Ar produced in the underlying continental crust. The weak depth gradient of 40 Ar in the dirty basal ice, and the distribution of dirt, indicate mixing within the basal ice, while various published lines of evidence indicate mixing within the overlying clean, disturbed ice. Excess CH 4 , which reaches thousands of ppm in basal dirty ice at GRIP, is virtually absent in overlying clean disturbed ice, demonstrating that mixing of dirty basal ice into the overlying clean ice, if it occurs at all, is very slow. Order-of-magnitude estimates indicate that the mixing rate of clean ice into dirty ice is sufficient to maintain a steady thickness of dirty ice against thinning from the mean ice flow. The dirty ice appears to consist of two or more basal components in addition to clean glacial ice. A small amount of soil or permafrost, plus preglacial snow, lake or ground ice could explain the observations.

Earth and Planetary Science Letters↗

Simultaneous observations of geoelectric and geomagnetic fields produced by magnetospheric ULF waves

Geomagnetic perturbations ( B G E O ) related to magnetospheric ultralow frequency (ULF) waves induce electric fields within the conductive Earth—geoelectric fields ( E G E O )—that in turn drive geomagnetically induced currents. Though numerous past studies have examined ULF wave B G E O from a space weather perspective, few studies have linked ULF waves with E G E O . Using recently available magnetotelluric impedance and E G E O measurements in the contiguous United States, we explore the relationship between ULF waves and E G E O . We use satellite, ground‐based radar, B G E O , and E G E O measurements in a case study of a plasmaspheric virtual resonance (PVR), demonstrating that the PVR E G E O has significant spatial variation in contrast to a relatively uniform B G E O , consistent with spatially varying Earth conductivity. We further show ULF wave E G E O measurements during two moderate storms of ∼ 1 V/km. We use both results to highlight the need for more research characterizing ULF wave E G E O .

Geophysical Research Letters↗

Post seismic deformation associated with the 1992 Mω = 7.3 Landers earthquake, southern California

Following the 1992 M ω =7.3 Landers earthquake, a linear array of 10 geodetic monuments at roughly 5‐km spacing was established across the Emerson fault segment of the Landers rupture. The array trends perpendicular to the local strike of the fault segment and extends about 30 km on either side of it. The array was surveyed by Global Positioning System 0.034, 0.048, 0.381, 1.27, 1.88, 2.60, and 3.42 years after the Landers earthquake to measure both the spatial and temporal character of the postearthquake relaxation. The temporal behavior is described roughly by a short‐term (decay time 84±23 days) exponential relaxation superimposed upon an apparently linear trend. Because the linear trend represents motions much more rapid than the observed preseismic motions, we attribute that trend to a slower (decay time greater than 5 years) postseismic relaxation, the curvature of which cannot be resolved in the short run (3.4 years) of postseismic data. About 100 mm of right‐lateral displacement and 50 mm of fault‐normal displacement accumulated across the geodetic array in the 3.4‐year interval covered by the postseismic surveys. Those displacements are attributed to postseismic, right‐lateral slip in the depth interval 10 to 30 km on the downward extension of the rupture trace. The right‐lateral slip amounted to about 1 m directly beneath the geodetic array, and the fault‐normal displacement is apparently primarily a consequence of the curvature of the rupture. These conclusions are based upon dislocation models fit to the observed deformation. However, no dislocation model was found with rms residuals as small as the expected observational error.

California↗

Intrinsic Nd, Pb, and Sr isotopic heterogeneities exhibited by the Lherz Alpine Peridotite Massif, French Pyrenees

Optically clear, acid-leached Cr-diopside, Al-augite, pargasitic amphibole, and phlogopite from peridotite and ultramafic dikes of the Lherz massif (French Pyrenees) exhibit chemical and isotopic heterogeneities indicative of a complex history. The data cover a wide range on the 143 Nd/ 144 Nd vs. 87 Sr/ 86 Sr covariation diagram, encompassing much of the mantle array and a large area below the array. Pb-isotopic signatures cover a wide range on Pb-Pb correlation diagrams, with several samples falling in the mid-ocean ridge basalt (MORB) field, but with others defining trends towards the enriched mantle II (EM II) and high-mu (HIMU) endmembers of Zindler & Hart (1986). Peridotites display the largest range in isotopic compositions, which formed in response to variable degrees of partial melting and subsequent enrichment during the intrusion of the ultramafic dikes. The ultra-mafic dikes represent at least four generations. Dike isotopic compositions range from ‘depleted’ to ‘enriched’, relative to Bulk Earth, reflecting the average composition of their source regions and subsequent melt-wall rock interactions. No simple isochronous relationships are observed on the 143 Nd/ 144 Nd vs. 147 Sm/ 144 Nd diagram for any lithologic group, demonstrating that the rock assemblages were not created by simple mixing of two homogeneous endmembers. Some ultramafic dikes, which represent low-temperature melt fractions, are enriched in the heavy isotopes of Sr, Nd, and Pb; any magmas derived from partial melting of these dikes are likely to have enriched isotopic signatures, particularly when the degrees of partial melting are only a few per cent.

Pyrenees↗

Magma reservoir failure and the onset of caldera collapse at Kīlauea volcano in 2018

Caldera-forming eruptions are among Earths most hazardous natural phenomena, yet the architecture of subcaldera magma reservoirs and the conditions that trigger collapse are poorly understood. Observations from the formation of a 0.8cubic kilometer basaltic caldera at Klauea Volcano in 2018 included the draining of an active lava lake, which provided a window into pressure decrease in the reservoir. We show that failure began after <4% of magma was withdrawn from a shallow reservoir beneath the volcanos summit, reducing its internal pressure by ~17 megapascals. Several cubic kilometers of magma were stored in the reservoir, and only a fraction was withdrawn before the end of the eruption. Thus, caldera formation may begin after withdrawal of only small amounts of magma and may end before source reservoirs are completely evacuated.

Hawaii↗

Fault orientations in extensional and conjugate strike-slip environments and their implications

Seismically active conjugate strike-slip faults in California and Japan typically have mutually orthogonal right- and left-lateral fault planes. Normal- fault dips at earthquake nucleation depths are concentrated between 40° and 50°. The observed orientations and their strong clustering are surprising, because conventional faulting theory suggests fault initiation with conjugate 60° and 120° intersecting planes and 60° normal-fault dip or fault reactivation with a broad range of permitted orientations. The observations place new constraints on the mechanics of fault initiation, rotation, and evolutionary development. We speculate that the data could be explained by fault rotation into the observed orientations and deactivation for greater rotation or by formation of localized shear zones beneath the brittle-ductile transition in Earth's crust. Initiation as weak frictional faults seems unlikely.

Geology↗

Time-causal decomposition of geomagnetic time series into secular variation, solar quiet, and disturbance signals

A theoretical basis and prototype numerical algorithm are provided that decompose regular time series of geomagnetic observations into three components: secular variation; solar quiet, and disturbance. Respectively, these three components correspond roughly to slow changes in the Earth’s internal magnetic field, periodic daily variations caused by quasi-stationary (with respect to the sun) electrical current systems in the Earth’s magnetosphere, and episodic perturbations to the geomagnetic baseline that are typically driven by fluctuations in a solar wind that interacts electromagnetically with the Earth’s magnetosphere. In contrast to similar algorithms applied to geomagnetic data in the past, this one addresses the issue of real time data acquisition directly by applying a time-causal, exponential smoother with “seasonal corrections” to the data as soon as they become available.

Open-File Report↗

Predicting the occurrence of cave-inhabiting fauna based on features of the earth surface environment

One of the most challenging fauna to study in situ is the obligate cave fauna because of the difficulty of sampling. Cave-limited species display patchy and restricted distributions, but it is often unclear whether the observed distribution is a sampling artifact or a true restriction in range. Further, the drivers of the distribution could be local environmental conditions, such as cave humidity, or they could be associated with surface features that are surrogates for cave conditions. If surface features can be used to predict the distribution of important cave taxa, then conservation management is more easily obtained. We examined the hypothesis that the presence of major faunal groups of cave obligate species could be predicted based on features of the earth surface. Georeferenced records of cave obligate amphipods, crayfish, fish, isopods, beetles, millipedes, pseudoscorpions, spiders, and springtails within the area of Appalachian Landscape Conservation Cooperative in the eastern United States (Illinois to Virginia and New York to Alabama) were assigned to 20 x 20 km grid cells. Habitat suitability for these faunal groups was modeled using logistic regression with twenty predictor variables within each grid cell, such as percent karst, soil features, temperature, precipitation, and elevation. Models successfully predicted the presence of a group greater than 65% of the time (mean = 88%) for the presence of single grid cell endemics, and for all faunal groups except pseudoscorpions. The most common predictor variables were latitude, percent karst, and the standard deviation of the Topographic Position Index (TPI), a measure of landscape rugosity within each grid cell. The overall success of these models points to a number of important connections between the surface and cave environments, and some of these, especially soil features and topographic variability, suggest new research directions. These models should prove to be useful tools in predicting the presence of species in understudied areas.

Appalachian Landscape Conservation Cooperative↗

Global irrigated area map (GIAM), derived from remote sensing, for the end of the last millennium

A Global Irrigated Area Map (GIAM) has been produced for the end of the last millennium using multiple satellite sensor, secondary, Google Earth and groundtruth data. The data included: (a) Advanced Very High Resolution Radiometer (AVHRR) 3-band and Normalized Difference Vegetation Index (NDVI) 10 km monthly time-series for 1997-1999, (b) Syste me pour l'Observation de la Terre Vegetation (SPOT VGT) NDVI 1 km monthly time series for 1999, (c) East Anglia University Climate Research Unit (CRU) rainfall 50km monthly time series for 1961-2000, (d) Global 30 Arc-Second Elevation Data Set (GTOPO30) 1 km digital elevation data of the World, (e) Japanese Earth Resources Satellite-1 Synthetic Aperture Radar (JERS-1 SAR) data for the rain forests during two seasons in 1996 and (f) University of Maryland Global Tree Cover 1 km data for 1992-1993. A single mega-file data-cube (MFDC) of the World with 159 layers, akin to hyperspectral data, was composed by re-sampling different data types into a common 1 km resolution. The MFDC was segmented based on elevation, temperature and precipitation zones. Classification was performed on the segments. Quantitative spectral matching techniques (SMTs) used in hyperspectral data analysis were adopted to group class spectra derived from unsupervised classification and match them with ideal or target spectra. A rigorous class identification and labelling process involved the use of: (a) space-time spiral curve (ST-SC) plots, (b) brightness-greenness-wetness (BGW) plots, (c) time series NDVI plots, (d) Google Earth very-high-resolution imagery (VHRI) 'zoom-in views' in over 11 000 locations, (e) groundtruth data broadly sourced from the degree confluence project (3 864 sample locations) and from the GIAM project (1 790 sample locations), (f) high-resolution Landsat-ETM+ Geocover 150m mosaic of the World and (g) secondary data (e.g. national and global land use and land cover data). Mixed classes were resolved based on decision tree algorithms and spatial modelling, and when that did not work, the problem class was used to mask and re-classify the MDFC, and the class identification and labelling protocol repeated. The sub-pixel area (SPA) calculations were performed by multiplying full-pixel areas (FPAs) with irrigated area fractions (IAFs) for every class. A 28 class GIAM was produced and the area statistics reported as: (a) annualized irrigated areas (AIAs), which consider intensity of irrigation (i.e. sum of irrigated areas from different seasons in a year plus continuous year-round irrigation or gross irrigated areas), and (b) total area available for irrigation (TAAI), which does not consider intensity of irrigation (i.e. irrigated areas at any given point of time plus the areas left fallow but 'equipped for irrigation' at the same point of time or net irrigated areas). The AIA of the World at the end of the last millennium was 467 million hectares (Mha), which is sum of the non-overlapping areas of: (a) 252 Mha from season one, (b) 174 Mha from season two and (c) 41 Mha from continuous year-round crops. The TAAI at the end of the last millennium was 399 Mha. The distribution of irrigated areas is highly skewed amongst continents and countries. Asia accounts for 79% (370 Mha) of all AIAs, followed by Europe (7%) and North America (7%). Three continents, South America (4%), Africa (2%) and Australia (1%), have a very low proportion of the global irrigation. The GIAM had an accuracy of 79-91%, with errors of omission not exceeding 21%, and the errors of commission not exceeding 23%. The GIAM statistics were also compared with: (a) the United Nations Food and Agricultural Organization (FAO) and University of Frankfurt (UF) derived irrigated areas and (b) national census data for India. The relationships and causes of differences are discussed in detail. The GIAM products are made available through a web portal (http://www.iwmigiam.org). ?? 2009 Taylor & Francis.

International Journal of Remote Sensing↗

Tectonic activity as a significant source of crustal tetrafluoromethane emissions to the atmosphere: observations in groundwaters along the San Andreas Fault

Tetrafluoromethane (CF4) concentrations were measured in 14 groundwater samples from the Cuyama Valley, Mil Potrero and Cuddy Valley aquifers along the Big Bend section of the San Andreas Fault System (SAFS) in California to assess whether tectonic activity in this region is a significant source of crustal CF4 to the atmosphere. Dissolved CF4 concentrations in all groundwater samples but one were elevated with respect to estimated recharge concentrations including entrainment of excess air during recharge (CreCre; &sim;30 fmol&thinsp;kg&minus;1 H2O), indicating subsurface addition of CF4 to these groundwaters. Groundwaters in the Cuyama Valley contain small CF4 excesses (0.1&ndash;9 times CreCre), which may be attributed to an in situ release from weathering and a minor addition of deep crustal CF4 introduced to the shallow groundwater through nearby faults. CF4 excesses in groundwaters within 200 m of the SAFS are larger (10&ndash;980 times CreCre) and indicate the presence of a deep crustal flux of CF4 that is likely associated with the physical alteration of silicate minerals in the shear zone of the SAFS. Extrapolating CF4 flux rates observed in this study to the full extent of the SAFS (1300 km &times; 20&ndash;100 km) suggests that the SAFS potentially emits (0.3&ndash;1)&times;10&minus;1 kg(0.3&ndash;1)&times;10&minus;1 kg CF4 yr&minus;1 to the Earth's surface. For comparison, the chemical weathering of &sim;7.5&times;104 km2&sim;7.5&times;104 km2 of granitic rock in California is estimated to release (0.019&ndash;3.2)&times;10&minus;1 kg(0.019&ndash;3.2)&times;10&minus;1 kg CF4 yr&minus;1. Tectonic activity is likely an important, and potentially the dominant, driver of natural emissions of CF4 to the atmosphere. Variations in preindustrial atmospheric CF4 as observed in paleo-archives such as ice cores may therefore represent changes in both continental weathering and tectonic activity, including changes driven by variations in continental ice cover during glacial&ndash;interglacial transitions.

California↗

Revisiting the Earth's sea-level and energy budgets from 1961 to 2008

We review the sea-level and energy budgets together from 1961, using recent and updated estimates of all terms. From 1972 to 2008, the observed sea-level rise (1.8 0.2 mm yr-1 from tide gauges alone and 2.1 0.2 mm yr -1 from a combination of tide gauges and altimeter observations) agrees well with the sum of contributions (1.8 0.4 mm yr-1) in magnitude and with both having similar increases in the rate of rise during the period. The largest contributions come from ocean thermal expansion (0.8 mm yr-1) and the melting of glaciers and ice caps (0.7 mm yr -1), with Greenland and Antarctica contributing about 0.4 mm yr -1. The cryospheric contributions increase through the period (particularly in the 1990s) but the thermosteric contribution increases less rapidly. We include an improved estimate of aquifer depletion (0.3 mm yr -1), partially offsetting the retention of water in dams and giving a total terrestrial storage contribution of-0.1 mm yr-1. Ocean warming (90% of the total of the Earth's energy increase) continues through to the end of the record, in agreement with continued greenhouse gas forcing. The aerosol forcing, inferred as a residual in the atmospheric energy balance, is estimated as-0.8 0.4 W m-2 for the 1980s and early 1990s. It increases in the late 1990s, as is required for consistency with little surface warming over the last decade. This increase is likely at least partially related to substantial increases in aerosol emissions from developing nations and moderate volcanic activity. Copyright 2011 by the American Geophysical Union.

Geophysical Research Letters↗

Coral proxy record of decadal-scale reduction in base flow from Moloka'i, Hawaii

Groundwater is a major resource in Hawaii and is the principal source of water for municipal, agricultural, and industrial use. With a growing population, a long-term downward trend in rainfall, and the need for proper groundwater management, a better understanding of the hydroclimatological system is essential. Proxy records from corals can supplement long-term observational networks, offering an accessible source of hydrologic and climate information. To develop a qualitative proxy for historic groundwater discharge to coastal waters, a suite of rare earth elements and yttrium (REYs) were analyzed from coral cores collected along the south shore of Moloka'i, Hawaii. The coral REY to calcium (Ca) ratios were evaluated against hydrological parameters, yielding the strongest relationship to base flow. Dissolution of REYs from labradorite and olivine in the basaltic rock aquifers is likely the primary source of coastal ocean REYs. There was a statistically significant downward trend (&minus;40%) in subannually resolved REY/Ca ratios over the last century. This is consistent with long-term records of stream discharge from Moloka'i, which imply a downward trend in base flow since 1913. A decrease in base flow is observed statewide, consistent with the long-term downward trend in annual rainfall over much of the state. With greater demands on freshwater resources, it is appropriate for withdrawal scenarios to consider long-term trends and short-term climate variability. It is possible that coral paleohydrological records can be used to conduct model-data comparisons in groundwater flow models used to simulate changes in groundwater level and coastal discharge.

Hawai'i↗

Stress-induced, time-dependent fracture closure at hydrothermal conditions

Time-dependent closure of fractures in quartz was measured in situ at 22–530°C temperature and 0.1-150 MPa water pressure. Unlike previous crack healing and rock permeability studies, in this study, fracture aperture is monitored directly and continuously using a windowed pressure vessel, a long-working-distance microscope, and reflected-light interferometry. Thus the fracture volume and geometry can be measured as a function of time, temperature, and water pressure. Relatively uniform closure occurs rapidly at temperatures and pressures where quartz becomes significantly soluble in water. During closure the aperture is reduced by as much as 80% in a few hours. We infer that this closure results from the dissolution of small particles or asperities that prop the fracture open. The driving force for closure via dissolution of the prop is the sum of three chemical potential terms: (1) the dissolution potential, proportional to the logarithm of the degree of undersaturation of the solution; (2) the coarsening potential, proportional to the radius of curvature of the prop; and (3) the pressure solution potential, proportional to the effective normal stress at the contact between propping particles and the fracture wall. Our observations suggest that closure is controlled by a pressure solution-like process. The aperture of dilatant fractures and microcracks in the Earth that are similar to those in our experiments, such as ones generated from thermal stressing or brittle failure during earthquake rupture and slip, will decrease rapidly with time, especially if the macroscopic stress is nonhydrostatic.

Journal of Geophysical Research B: Solid Earth↗

Analysis of surface water trends for the conterminous United States using MODIS satellite data, 2003–2019

Satellite imagery is commonly used to map surface water extents over time, but many approaches yield discontinuous records resulting from cloud obstruction or image archive gaps. We applied the Dynamic Surface Water Extent (DSWE) model to downscaled (250-m) daily Moderate Resolution Imaging Spectroradiometer (MODIS) data in Google Earth Engine to generate monthly surface water maps for the conterminous United States (US) from 2003 through 2019. The aggregation of daily observations to monthly maps of maximum water extent produced records with diminished cloud and cloud shadow effects across most of the country. We used the continuous monthly record to analyze spatiotemporal surface water trends stratified within Environmental Protection Agency Ecoregions. Although not all ecoregion trends were significant ( p < 0.05), results indicate that much of the western and eastern US underwent a decline in surface water over the 17-year period, while many ecoregions in the Great Plains had positive trends. Trends were also generated from monthly streamgage discharge records and compared to surface water trends from the same ecoregion. These approaches agreed on the directionality of trend detected for 54 of 85 ecoregions, particularly across the Great Plains and portions of the western US, whereas trends were not congruent in select western deserts, the Great Lakes region, and the southeastern US. By describing the geographic distribution of surface water over time and comparing these records to instrumented discharge data across the conterminous US, our findings demonstrate the efficacy of using satellite imagery to monitor surface water dynamics and supplement traditional instrumented monitoring.

Water Resources Research↗

Inversion of data from electrical resistivity imaging surveys in water-covered areas

Electrical resistivity imaging surveys widely used in many environmental and engineering studies have also been conducted in water-covered areas. Surveys in water-covered areas include conventional surveys using multi-electrode resistivity systems where part of the survey line crosses a river or stream, and surveys conducted entirely within a water-covered environment. Surveys that are located entirely within a water-covered environment utilise electrodes mounted on a streamer, towed behind a boat. The streamer can be dragged along the water bottom, or float on the water surface. In this paper, the smoothness-constrained least-squares inversion method commonly used to interpret electrical resistivity imaging data from land surveys is adapted for underwater surveys. To accommodate the water bottom topography, a distorted finite-element grid is used to calculate the apparent resistivity values for the inversion model. The first few rows of elements are used to model the water layer, while the lower part of the grid is used for the sub-bottom resistivity distribution. For robust inversion, the water column resistivity and geometry must be known accurately as a large proportion of the current flows through the water layer. The section of the Earth below the bottom surface is subdivided into a large number of rectangular cells. The water column resistivity and geometry in the earth model is fixed, and the inversion program attempts to determine the resistivity of the cells that would most accurately reproduce the observed resistivity measurements. Implementation of water column resistivity and geometric constraints is demonstrated using numerical simulations and field data. Examples of electrical resistivity imaging surveys conducted on and across water bodies including rivers and near-shore marine environments are shown.

Exploration Geophysics↗

Uranium redox transition pathways in acetate-amended sediments

Redox transitions of uranium [from U(VI) to U(IV)] in low-temperature sediments govern the mobility of uranium in the environment and the accumulation of uranium in ore bodies, and inform our understanding of Earth’s geochemical history. The molecular-scale mechanistic pathways of these transitions determine the U(IV) products formed, thus influencing uranium isotope fractionation, reoxidation, and transport in sediments. Studies that improve our understanding of these pathways have the potential to substantially advance process understanding across a number of earth sciences disciplines. Detailed mechanistic information regarding uranium redox transitions in field sediments is largely nonexistent, owing to the difficulty of directly observing molecular-scale processes in the subsurface and the compositional/physical complexity of subsurface systems. Here, we present results from an in situ study of uranium redox transitions occurring in aquifer sediments under sulfate-reducing conditions. Based on molecular-scale spectroscopic, pore-scale geochemical, and macroscale aqueous evidence, we propose a biotic–abiotic transition pathway in which biomass-hosted mackinawite (FeS) is an electron source to reduce U(VI) to U(IV), which subsequently reacts with biomass to produce monomeric U(IV) species. A species resembling nanoscale uraninite is also present, implying the operation of at least two redox transition pathways. The presence of multiple pathways in low-temperature sediments unifies apparently contrasting prior observations and helps to explain sustained uranium reduction under disparate biogeochemical conditions. These findings have direct implications for our understanding of uranium bioremediation, ore formation, and global geochemical processes.

PNAS↗

North Carolina and Landsat

North Carolina’s rich history and importance in the colonial days played a critical role in the Nation’s economic development. It was also the setting for events like the Wright Brothers’ famous first flight of a powered aircraft, called “Wright Flyer,” which took place in Kitty Hawk in 1903. Today, North Carolina license plates proudly proclaim the State as “First in Flight.” The aerospace and defense sectors remain large players in the State’s economy to this day. Boeing, Lockheed Martin, General Electric Aviation, and others maintain a presence in the Tar Heel State, and military installations dot the landscape. It is fitting, then, that North Carolinians rely upon a satellite system to monitor and study the health of their State’s vast and varied terrain: its coastal plain, the sweeping valleys and peaks of the Blue Ridge Mountains, and the fertile rolling plateau of the Piedmont ecoregion that separates the two. The U.S. Geological Survey Landsat satellite program’s unparalleled 54-plus-year record of Earth surface change offers scientists, watershed and land managers, urban planners, and others insight into landscape change, both drastic and mild. Landsat observations document everything from posthurricane floods that push inland to subtle shifts in forest composition and coastal encroachment on urban and military infrastructure.

North Carolina↗