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At least 757 records · Page 42Linked to original sources

Summary appraisals of the nation's ground-water resources – California region

Most people in the California Region live in a semiarid or arid climate, with precipitation less than the potential evapotranspiration- environments of perennial water deficiency. The deficiency becomes most onerous during the characteristically rainless summers and during recurrent droughts that may continue for 10--20 years. However, water from winter rain and snow can be stored for use during the dry summer months, and water stored during a wet climatic period can be used in a succeeding dry period; moreover, perennial deficiency can be overcome by bringing water from areas of perennial surplus. Ground-water reservoirs have especial significance in arid and semiarid regions as repositories where water is stored or can be stored with minimum loss by evaporation. Nearly all the ground-water reservoirs of the California Region are in alluvial sediments of valleys and plains that flank the mountain ranges. The largest, underlying the vast Central Valley, occupies 10 percent of the area of the region, has an estimated usable capacity exceeding 100 million acre-feet (125 cubic kilometres), and has an annual pumpage from wells of about 13 million acre-feet (16 cubic kilometres). Another 10 percent of the region is occupied by 55 developed ground-water reservoirs that are widely distributed; aggregate annual pumpage from them is about 3 1/2 million acre-feet (4 cubic kilometres). In the southeastern desert about 60 ground-water reservoirs occupy still another 10 percent of the region; these have been explored only enough to show that most have some usable water, but current use is negligible. In northeastern California and adjacent Oregon and Nevada, ground-water reservoirs are identified only in valleys and lowlands where wells are feasible, but basaltic rocks of the Cascade Range and Modoc Plateau are excellent aquifers distributed over an area constituting about 15 percent of the region. In sum, slightly less than half the California Region is underlain by ground-water reservoirs, either in valley fill or in volcanic rocks, which can yield significant quantities of water to wells. The rest of the California Region includes the mountains, canyons, slopes, and foothills of the Sierra Nevada, Coast Ranges, and Basin Ranges, whose consolidated rocks and products of their weathering may be permeable locally but are not generally so. Here, the prevailing method of ground-water development is still mostly trial and error, and while in many places a well can yield enough water for a family, some families might have to do without amenities such as flush toilets and automatic washers. For more than half a century the California Region has led all others in North America in pumping of ground water as well as in the area, variety, yield, and export of crops irrigated by water from wells. It has led in the development and use of deep-well turbine pumps for large yield and in the drilling of water wells to great depths. At the same time, such developments have resulted in the elimination of artesian pressures that produced thousands of flowing wells in the 19th century and led to the wide distribution of "falling water tables." Also, California was first to induce encroachment of seawater into wells (in 1906); first to recognize subsidence of land caused by pumping from wells (in 1933), generating news about land sinking in San Jose, Long Beach, and along the Delta-Mendota and Friant-Kern Canals; and first to experience pollution of ground-water reservoirs by brines, chemicals, industrial wastes, and petroleum byproducts including gasoline. The region has led in research in several fields leading to solution of many of these problems. Ground-water problems developed rapidly after World War II with booming population, agriculture, industry, and water demand during several years of regionwide drought. Water levels in wells trended downward almost everywhere as a natural effect of the drought and at accelerated rates in areas of pumping for new enterprises or to supplement subnormal surface-water supplies. The declines in many pumping areas exceeded 100 feet (30 metres), and in some confined aquifers the potentiometric surface was drawn down more than 330 feet (100 metres). The depletion of ground-water storage has had "permanent" side effects, including subsidence of the land exceeding 10 feet (3 metres) in extensive areas, and seawater intrusion that ended the useful lives of many wells along the coast and as much as 6 miles (10 kilometres) inland. Some problems have been solved, but these solutions have at times created other problems. Many ground-water reservoirs have gone through one or more stages - exploration for productive aquifers, exploitation and development for use of the water, restriction to the perennial supply or "safe" yield, importation of surface water, artificial recharge of ground water, conjunctive use of surface and ground water, protection of water quality, and integrated management of use and disposal of water. This evolutionary sequence is unique for each reservoir, and so generalizations become difficult in a regional appraisal; also, the changes with time are significant and varied, and knowledge of prior events is a prerequisite in an appraisal of the resource in a specific year. As of 1970, water levels in many wells had risen significantly from the minimum levels of record reached during the 1960's or earlier; only in areas of new development and in desert areas of long-continued "mining" of nonreplenished water was ground-water storage still being depleted. Land subsidence has continued at diminishing rates and practically has come to a halt in some areas; invading seawater has been stopped or nudged back in most places where problems were significant. The current, favorable situation has been helped by climatic variations, from drought in 1945-52 and exceedingly dry years in 1959 and 1961 to above-normal precipitation in 1969 and 1970; but most of the serious problems have been solved by human efforts, including especially the implementation of the California Water Plan, transporting water from areas of perennial surplus to areas where it is used in lieu of ground water or for ground-water replenishment. All major urban areas now import water to supplement or replace the water pumped from wells. Extensive agricultural areas that formerly were irrigated solely by ground water now obtain some of their water from surface reservoirs and canals, especially in the Central Valley. With surface water available as an alternative supply, well owners can view their ground water with complacency. But complacency can lead to neglect and carelessness and consequent deterioration of the ground-water resource by pollution. Claiming heritage from the English Common Law, the existing California law grants to the landowner (riparian) and private enterprise (appropriator) rights to the water stored in ground-water reservoirs or discharged from them, including the base flow of streams. Ground-water development has been by private and local enterprise, and the California legislature has protected and encouraged local responsibility, control, and management of ground water. As to surface water, a constitutional amendment in 1928 limited riparian rights to the quantities of water that were "reasonably required for the beneficial use to be served." The surpluses have become public waters which are collected, stored, transported, and delivered under various contracts by Federal, State, and other agencies. The agencies have not stored water underground because of uncertainty as to their rights, but some local agencies have been encouraged with favorable pricing schedules to undertake the artificial recharge and management of ground-water reservoirs. Thus, conjunctive use of surface and ground water has become a matter of interagency negotiation. Of all the constraints on effective use of ground-water reservoirs, the most formidable may be the attitudes of people. Assurance of water supply is vital in areas of water deficiency, and Government has assumed increasing responsibility for the welfare of people in these areas. Unfortunately, when Government provides this assurance, most beneficiaries demand continued subsidy to the exclusion of perhaps cheaper private development. Indeed, as the water resources are presently segregated-with private rights predominant in ground water and public interest dominant in surface water-ground-water development has suffered for lack of public concern. The region has the scientific and technologic capability for effective use of groundwater reservoirs, as shown by the achievements and programs of several districts, but many districts are not organized or staffed for such comprehensive management and will need assistance and scientific expertise available from State and Federal agencies. Those agencies, in turn, may not have the scientific data that are essential to prevent haphazard activities and to enable programs to be organized for the most effective and attractive utilization of the water resources. In these days of increasing concern over pollution, existing data are generally inadequate to assess the natural deterioration of ground waters as a basis for defining pollution.

California↗

The impact of sediment supply on the initiation and magnitude of runoff-generated debris flows

Rainfall intensity‐duration (ID) thresholds are commonly used to assess the potential for runoff‐generated debris flows, but the sensitivity of these thresholds to sediment supply, which can change rapidly with time, is relatively unexplored. Furthermore, debris flows often self‐organize into distinct surges, but the factors controlling the magnitude and frequency of these surges, including sediment supply and grain size, are poorly constrained. We use a combination of numerical modeling and debris flow monitoring data from Chalk Cliffs, Colorado, USA, to explore how sediment supply influences rainfall ID thresholds for debris flows and surge properties. Results suggest that rainfall ID thresholds only become sensitive to sediment supply below a sediment thickness threshold. Surge magnitude is a nonmonotonic function of sediment supply (i.e., channel bed sediment thickness and grain size) with the largest surges tending to form at intermediate values of sediment availability with intermediate grain sizes.

Colorado↗

The finicky nature of earthquake shaking-triggered submarine sediment slope failures and sediment gravity flows

Since 2011, seafloor temperatures, pressures, and seismic ground motions have been measured by the seafloor cabled Dense Oceanfloor Network system for Earthquakes and Tsunamis (DONET) on the Nankai margin. These measurements, high-resolution bathymetry, and abundant contextual information make the DONET region seem ideally suited to provide constraints on seismic shaking-triggered sediment slope failures and gravity flows, particularly since numerous published studies have linked paleo- to modern earthquakes to failures and flows within the DONET. The occurrences of the local 2016 M6.0 Mie-ken and regional M7.0 Kumamoto earthquakes within and at regional distances, respectively, from the DONET data set provided an opportunity to explore this potential. We used DONET seismic recordings of the posited triggering shaking and to search for submarine slide signals and continuous temperature and pressure data to detect pulses of warm and densified water indicative of passing flows. We developed and applied a variety of analytical methods to eliminate signals generated by water column processes, while leaving slope failures and sediment gravity flow anomalies as residuals. Our explorations yielded no evidence that earthquake shaking initiated either phenomenon, which we suggest reflects the finicky nature both of the detection of and the physical processes that contribute to slope failures and flows (i.e., both require satisfying precise suites of conditions). Nonetheless, this negative result, our analyses, and the estimates of physical properties we derived for them, provide useful lessons and inputs for future studies.

Journal of Geophysical Research↗

Volcanic air pollution and human health: Recent advances and future directions

Volcanic air pollution from both explosive and effusive activity can affect large populations as far as thousands of kilometers away from the source, for days to decades or even centuries. Here, we summarize key advances and prospects in the assessment of health hazards, effects, risk, and management. Recent advances include standardized ash assessment methods to characterize the multiple physicochemical characteristics that might influence toxicity; the rise of community-based air quality monitoring networks using low-cost gas and particulate sensors; the development of forecasting methods for ground-level concentrations and associated public advisories; the development of risk and impact assessment methods to explore health consequences of future eruptions; and the development of evidence-based, locally specific measures for health protection. However, it remains problematic that the health effects of many major and sometimes long-duration eruptions near large populations have gone completely unmonitored. Similarly, effects of prolonged degassing on exposed populations have received very little attention relative to explosive eruptions. Furthermore, very few studies have longitudinally followed populations chronically exposed to volcanic emissions; thus, knowledge gaps remain about whether chronic exposures can trigger development of potentially fatal diseases. Instigating such studies will be facilitated by continued co-development of standardized protocols, supporting local study teams and procuring equipment, funding, and ethical permissions. Relationship building between visiting researchers and host country academic, observatory, and agency partners is vital and can, in turn, support the effective communication of health impacts of volcanic air pollution to populations, health practitioners, and emergency managers.

Bulletin of Volcanology↗

Modelling the transport and deposition of ash following a magnitude 7 eruption: The distal Mazama tephra

Volcanic ash transport and dispersion models (VATDMs) are necessary for forecasting tephra dispersal during volcanic eruptions and are a useful tool for estimating the eruption source parameters (ESPs) of prehistoric eruptions. Here we use Ash3D, an Eulerian VATDM, to simulate the tephra deposition from the ~ 7.7 ka climactic eruption of Mount Mazama. We investigate how best to apply a VATDM using the ESPs characteristic of a large magnitude eruption (M ≥ 7). We simplify the approach to focus on the distal deposit as if it were formed by a single phase of Plinian activity. Our results demonstrate that it is possible to use modern wind profiles to simulate the tephra dispersal from a prehistoric eruption; however, this introduces an inherent uncertainty to the subsequent simulations where we explore different ESPs. We show, using the well-documented distal Mazama tephra, that lateral umbrella cloud spreading, rather than advection–diffusion alone, must be included in the VATDM to reproduce the width of the isopachs. In addition, the Ash3D particle size distribution must be modified to simulate the transport and deposition of distal fine-grained (< 125 µm) Mazama ash. With these modifications, the Ash3D simulations reproduce the thickness and grain size of the Mazama tephra deposit. Based on our simulations, however, we conclude that the exact relationship between mass eruption rate and the scale of umbrella cloud spreading remains unresolved. Furthermore, for ground-based grain size distributions to be input directly into Ash3D, further research is required into the atmospheric and particle processes that control the settling behaviour of fine volcanic ash.

Bulletin of Volcanology↗

The Great Lakes aquatic tissue analysis repository (GLATAR)

Empiricists and modellers use information on energy density, proximate composition, stable isotopes, fatty acids, thiamine, and bioaccumulative tracers (e.g., PCBs and mercury) to understand the state and inter-relationships of aquatic food webs. Data exist in many published and unpublished sources, but are not consolidated in an easily accessible database that would serve as a vital resource to i) provide basic estimates of these diet-derived measures of body composition, ii) understand sources of variation in the underlying data, iii) facilitate exploration and development of data proxies, and iv) assist in study design. We designed GLATAR (Great Lakes Aquatic Tissue Analysis Repository, glatar.org ) to address this need. GLATAR is an open-access, searchable database linked to a web-based toolbox to visualise and generate user-defined summaries on diet-derived ecological metrics, with a focus on taxa of importance to the Great Lakes. GLATAR currently contains over 50,000 records on energy density, chemical tracers, and proximate body composition from 67 species of fish and 72 invertebrate taxa. We hope this user-friendly interface will entice others to upload their published and unpublished data to the repository, enriching the breadth of data accessible to researchers. In this way, GLATAR will become a ‘living’ and interactive resource for empiricists and modellers working in freshwater ecosystems as they make critical decisions related to growth, production, and consumption across a diverse group of economically and ecologically important aquatic species.

Journal of Great Lakes Research↗

Adaptive nest clustering and density-dependent nest survival in dabbling ducks

Density-dependent population regulation is observed in many taxa, and understanding the mechanisms that generate density dependence is especially important for the conservation of heavily-managed species. In one such system, North American waterfowl, density dependence is often observed at continental scales, and nest predation has long been implicated as a key factor driving this pattern. However, despite extensive research on this topic, it remains unclear if and how nest density influences predation rates. Part of this confusion may have arisen because previous studies have studied density-dependent predation at relatively large spatial and temporal scales. Because the spatial distribution of nests changes throughout the season, which potentially influences predator behavior, nest survival may vary through time at relatively small spatial scales. As such, density-dependent nest predation might be more detectable at a spatially- and temporally-refined scale and this may provide new insights into nest site selection and predator foraging behavior. Here, we used three years of data on nest survival of two species of waterfowl, mallards and gadwall, to more fully explore the relationship between local nest clustering and nest survival. Throughout the season, we found that the distribution of nests was consistently clustered at small spatial scales (˜50–400 m), especially for mallard nests, and that this pattern was robust to yearly variation in nest density and the intensity of predation. We demonstrated further that local nest clustering had positive fitness consequences – nests with closer nearest neighbors were more likely to be successful, a result that is counter to the general assumption that nest predation rates increase with nest density.

California↗

The potential uses of operational earthquake forecasting

This article reports on a workshop held to explore the potential uses of operational earthquake forecasting (OEF). We discuss the current status of OEF in the United States and elsewhere, the types of products that could be generated, the various potential users and uses of OEF, and the need for carefully crafted communication protocols. Although operationalization challenges remain, there was clear consensus among the stakeholders at the workshop that OEF could be useful.

Seismological Research Letters↗

Preliminary report on the 16 October 1999 M 7.1 Hector mine, California, earthquake

The M w 7.1 Hector Mine, California, earthquake occurred at 9:46 GMT on 16 October 1999. The event caused minimal damage because it was located in a remote, sparsely populated part of the Mojave Desert, approximately 47 miles east-southeast of Barstow, with epicentral coordinates 34.59°N 116.27°W and a hypocentral depth of 5 ± 3 km. Twelve foreshocks, M 1.9-3.8, preceded the mainshock during the previous twelve hours. All of these events were located close to the hypocenter of the mainshock. The Hector Mine earthquake occurred within the Eastern California Shear Zone (ECSZ). By virtue of its remote location, the societal impact of the Hector Mine earthquake was, fortunately, minimal in spite of the event's appreciable size. The ECSZ is characterized by high seismicity, a high tectonic strain rate, and a broad, distributed zone of north-northwest-trending faults (ECSZ; Figure 1 ; Dokka and Travis, 1990 ; Sauber et al., 1986 ; Sauber et al., 1994 ; Sieh et al., 1993 ). Data regarding the slip rates of faults within the ECSZ suggest that on the order of 15% of the Pacific-North American plate motion occurs along this zone ( Sauber et al., 1986 ; Wesnousky, 1986 ). Most of the faults in the ECSZ have low slip rates and long repeat times for major earthquakes, on the order of several thousands to tens of thousands of years. The occurrence of the Hector Mine earthquake within seven years and only about 30 km east of the 1992 M w 7.3 Landers earthquake suggests that the closely spaced surface faults in the ECSZ are mechanically related. The Hector Mine event involved rupture on two previously mapped fault zones—the Bullion Fault and an unnamed, more northerly-trending fault that is informally referred to in this paper as the Lavic Lake Fault (Dibblee, 1966 , 1967a , b ). Traces of the Bullion Fault exhibit evidence of Holocene displacement and were zoned as active in 1988 under California's Mquist-Priolo Earthquake Fault Zoning Act ( Hart and Bryant, 1997 ). The pattern of rupture along more than one named fault was also observed from the 1992 Landers earthquake ( Hauksson et al., 1993 ; Sieh et al., 1994). Much of the fault zone that produced the Hector Mine earthquake had been buried by relatively young stream deposits, and the fault scarps in bedrock have a subdued morphology. It appears that these faults have not experienced significant offset for perhaps 10,000 years or more ( Hart, 1987 ). Planned future investigations will refine the age of the last event on these faults. The portion of the Lavic Lake Fault that ruptured between the northern end of the Bullion Mountains and Lavic Lake had not previously been mapped. However, our field investigations have identified ancient, subdued fault scarps along portions of the 1999 rupture zone in this area. It thus appears that the entire segment of the Lavic Lake Fault that was involved in the 1999 event had ruptured in the past. As is typical for most faults within the Eastern California Shear Zone, the rate of movement along the Lavic Lake Fault may be quite slow (<1 mm/yr) and should produce earthquakes only infrequently. This event is a reminder that faults that have ruptured in late Quaternary time, but that lack evidence of Holocene displacement, can still produce earthquakes in this low-slip-rate tectonic setting. Additionally, the Hector Mine earthquake is noteworthy for a couple of other reasons. First, it clearly produced triggered seismicity over much of southern California, from the rupture zone toward the south-southwest in particular. Second, as we will discuss, the event may provide new data and insight into recently developed paradigms concerning earthquake interactions and the role of static stress changes. Questions such as these will, of course, be the subject of extensive detailed analyses in years to come. Fortunately, the Hector Mine sequence will provide one of the best data sets obtained to date for a significant earthquake in the United States. Because it occurred when major upgrades to both the regional seismic network (TriNet) and the regional geodetic network (SCIGN) were well underway, the Earth science community will have abundant high-quality data with which to explore the important and interesting questions that have been raised. In this paper, we present and discuss the basic data and preliminary results from the Hector Mine earthquake.

California↗

Developing an institutional framework to incorporate ecosystem services into decision making-Proceedings of a workshop

The routine and effective incorporation of ecosystem services information into resource management decisions requires a careful consideration of the value of goods and services provided by natural systems. A multidisciplinary workshop was held in October 2008 on "Developing an Institutional Framework to Incorporate Ecosystem Services into Decision Making." This report summarizes that workshop, which focused on examining the relationship between an institutional framework and consideration of ecosystem services in resource management decision making. This workshop was the third in a series of three preconference workshops associated with ACES 2008 (A Conference on Ecosystem Services): Using Science for Decision Making in Dynamic Systems. These workshops were designed to explore the ACES 2008 theme on decision making and how the concept of ecosystem services can more effectively be incorporated into conservation, restoration, resource management, and development decisions. Preconference workshop 1, "Developing a Vision: Incorporating Ecosystem Services into Decision Making," was held April 15, 2008, in Cambridge, MA. In this workshop, participants addressed what would have to happen to make ecosystem services more routinely and effectively used in conservation, restoration, resource management, and development decisions, and identified some key challenges to developing the analytical framework (Hogan and others, 2009). Preconference workshop 2, "Developing an Analytical Framework: Incorporating Ecosystem Services into Decision Making," was held July 28, 2008, in Naples, FL, and focused on the analytical process and identification of research priorities for ecosystem services, their production and use, their spatial and temporal characteristics, their relationship with natural systems, and their interdependencies (Hogan and others, 2010). The summary presented here synthesizes the discussion at workshop 3 and considers how institutional structures and policy instruments can be used to achieve the vision developed in workshop 1, while recognizing the analytical capabilities and limitations identified in workshop 2. Our purpose was to identify how to use ecosystem service information more effectively and broadly in resource management and development decisions. We recognized the need to facilitate an integrated understanding of (1) the natural capital that produces ecosystem services; (2) the geospatial and temporal aspects of ecosystem service production, values, and use; (3) the value of ecosystem services (monetary and nonmonetary); and (4) institutional instruments, processes, and structures (property rights, laws, governance structures, and courts, for example). Interdisciplinary collaboration and understanding is beneficial and needs to engage stakeholders. The appropriate use of institutional structures, including markets, to integrate ecosystem services into decision making depends on the players and characteristics of the specific situation (such as stakeholders, the ecosystem, resources, and the political environment). Incorporating ecosystem service values into decisions requires consideration of place-based social, cultural, economic, and landscape characteristics and institutions. Thus, a single, prescribed solution will not work-various institutional strategies must be used in different situations. Market-based approaches require appropriate regulations, monitoring, and enforcement, depending on the situation and place. Further, market approaches will need to be coupled with nonmarket approaches into an integrated institutional framework.

Open-File Report↗

Lunar landscape morphometry

This report outlines some general methods for analyzing the geometry of planetary topography and illustrates them with results obtained for the Moon. Its contents apply to selection of landing sites for spacecraft, planning traverses for vehicles, and to other aspects of planetary exploration that involve numerical expression of topographic form primarily for engineering purposes. The report is divided into three separate sections. Part I treats descriptive and predictive techniques for terrain slope. Part II describes the analysis of fine-scale surface roughness for the NASA Lunar Roving Vehicle, which was first deployed on Apollo mission 15 in the Hadley Rille area of the Moon. Part III applies the method of numerical taxonomy to multivariate characterization of lunar terrain and geologic map units. Although the findings described here are for the Moon only, the approaches and techniques could be used to solve terrain-related problems on any of the terrestrial planets. The author hopes that this study will stimulate further research in both terrestrial and extraterrestrial landscape morphometry.

Open-File Report↗

2010 Joint United States-Canadian Program to explore the limits of the Extended Continental Shelf aboard U.S. Coast Guard Cutter Healy--Cruise HLY1002

In August and September 2010, the U.S. Geological Survey, in cooperation with Natural Resources Canada, Geological Survey of Canada, conducted bathymetric and geophysical surveys in the Beaufort Sea and eastern Arctic Ocean aboard the U.S. Coast Guard Cutter Healy. The principal objective of this mission to the high Arctic was to acquire data in support of a delineation of the outer limits of the U.S. and Canadian Extended Continental Shelf in the Arctic Ocean, in accordance with the provisions of Article 76 of the United Nations Convention on the Law of the Sea. The Healy was accompanied by the Canadian Coast Guard icebreaker Louis S. St-Laurent. The scientific parties on board the two vessels consisted principally of staff from the U.S. Geological Survey (Healy), and the Geological Survey of Canada and the Canadian Hydrographic Service (Louis). The crew also included marine-mammal observers, Native-community observers, ice observers, and biologists conducting research of opportunity in the Arctic Ocean. Despite interruptions necessitated by three medical emergencies, the joint survey proved largely successful. The Healy collected 7,201 trackline-kilometers of swath (multibeam) bathymetry (47,663 square kilometers) and CHIRP subbottom data, with accompanying marine gravity measurements, and expendable bathythermograph data. The Louis acquired 3,673 trackline-kilometers of multichannel seismic (airgun) deep-penetration reflection data along 25 continuous profiles, as well as 34 sonobuoy refraction stations and 9,500 trackline-kilometers of single-beam bathymetry. The coordinated efforts of the two vessels resulted in seismic-reflection-profile data that were of much higher quality and continuity than if the data had been acquired with a single vessel alone. The equipment-failure rate of the seismic equipment aboard the Louis was greatly reduced when the Healy led as the ice breaker. When ice conditions proved too severe to deploy the seismic system, the Louis led the Healy, resulting in much improved quality of the swath bathymetric and CHIRP subbottom data in comparison with data collected either by the Healy in the lead or the Healy working alone. During periods when the Healy was operating alone (principally when the Louis was diverted for emergency medical evacuations or ship repairs), the Healy was able to deploy a piston-core-sampler (10 meters maximum potential recovery depending on configuration). The coring operations resulted in recovery of cores at five locations ranging from 2.4 to 5.7 meters in length from water depths ranging from 1,157 to 3,700 meters. One of these cores sited on the Alaskan margin recovered the first reported occurrence of methane hydrate from the Arctic Ocean. Ancillary science objectives, including ice observations and deployment of ice-monitoring buoys and water-column sampling to measure acidification of Arctic waters were successfully conducted. The water-column sampling included using 10 full-ocean-depth, water-sampling casts with accompanying conductivity-temperature-depth measurements. Except for the data deemed proprietary, data from the cruise have been archived and are available for download at the National Geophysical Data Center and at cooperating organizations. Outreach staff and guest teachers aboard the two vessels provided near-real-time connection between the research activities and the public through online blogs, web pages, and other media.

Open-File Report↗

A bibliography of terrain modeling (geomorphometry), the quantitative representation of topography: Supplement 4.0

Terrain modeling, the practice of ground-surface quantification, is an amalgam of Earth science, mathematics, engineering, and computer science. The discipline is known variously as geomorphometry (or simply morphometry), terrain analysis, and quantitative geomorphology. It continues to grow through myriad applications to hydrology, geohazards mapping, tectonics, sea-floor and planetary exploration, and other fields. Dating nominally to the co-founders of academic geography, Alexander von Humboldt (1808, 1817) and Carl Ritter (1826, 1828), the field was revolutionized late in the 20th Century by the computer manipulation of spatial arrays of terrain heights, or digital elevation models (DEMs), which can quantify and portray ground-surface form over large areas (Maune, 2001). Morphometric procedures are implemented routinely by commercial geographic information systems (GIS) as well as specialized software (Harvey and Eash, 1996; Köthe and others, 1996; ESRI, 1997; Drzewiecki et al., 1999; Dikau and Saurer, 1999; Djokic and Maidment, 2000; Wilson and Gallant, 2000; Breuer, 2001; Guth, 2001; Eastman, 2002). The new Earth Surface edition of the Journal of Geophysical Research, specializing in surficial processes, is the latest of many publication venues for terrain modeling. This is the fourth update of a bibliography and introduction to terrain modeling (Pike, 1993, 1995, 1996, 1999) designed to collect the diverse, scattered literature on surface measurement as a resource for the research community. The use of DEMs in science and technology continues to accelerate and diversify (Pike, 2000a). New work appears so frequently that a sampling must suffice to represent the vast literature. This report adds 1636 entries to the 4374 in the four earlier publications1. Forty-eight additional entries correct dead Internet links and other errors found in the prior listings. Chronicling the history of terrain modeling, many entries in this report predate the 1999 supplement. Coverage is representative from about 1800 through early–mid 2002. Papers increasingly are published exclusively or in duplicate on the Internet's World Wide Web; the dates given here for Web addresses (URLs) that lack a print publication indicate a Web site's last update or my last access of it. The bibliography is arranged alphabetically and thus is not readily summarized. This introduction cites about 500 entries, a third of them grouped under 24 morphometric topics, as a guide to the listing's contents. Continuing the practice of previous bibliographies in the series to provide more information on a few applications (see summary of past topics in Pike, 2000a), this report elaborates further on topographic data, putative new parameters, tectonic geomorphology/neo-orometry, biogeography, ice-cap morphometry, results from the Mars Global DEM, landslide-hazard mapping, terrain modeling as physics, Hack's law, and broad-scale computer visualization. The literature of some of these subjects is large, and none of the summaries is intended to more than introduce the topic and comment on some of the current contributions of terrain modeling. Closing the essay is a discussion of pre-1900 papers that trace the evolution of ridge-line and watercourse quantification by descriptive geometry, as well as comments on some new books and an on-line bulletin board.

Open-File Report↗

U.S. Geological Survey coastal plain amplification virtual workshop

In early October of 2020, the U.S. Geological Survey (USGS) held a virtual workshop to discuss Gulf and Atlantic Coastal Plains site-response models. Earthquake researchers came together to assess (1) research related to proposed Coastal Plains amplification models and (2) USGS plans for implementing these models. Presentations spanned a broad range of topics from Atlantic and Gulf Coastal Plains geophysical properties including seismic velocity and attenuation, to ground motion amplification models and their impacts on seismic hazard. Interspersed with these presentations were discussions regarding the definition and extent of the Atlantic and Gulf Coastal Plains, potential complexities of wave propagation in the Atlantic and Gulf Coastal Plains, and problems that need to be overcome to implement various proposed site-response models. Based on feedback from this workshop, the USGS working group on Coastal Plain Amplification is considering applying published models that depend on sediment thickness. The working group is also exploring potential application of models that depend on the length of path traversed across the Coastal Plain, including the Gulf Coastal Plain ground-motion model adjustments from the Next Generation Attenuation Relationships for the Eastern United States.

Gulf and Atlantic Coast Plains↗

Living with wildfire in Cooper Landing, Kenai Peninsula Borough, Alaska: 2023 data report

Homeowner wildfire risk mitigation and preparedness are important components of community wildfire readiness. This report describes the data collected through two efforts conducted in the Cooper Landing, Alaska, study area: (1) parcel-level rapid wildfire risk assessments performed by trained assessors and (2) homeowner surveys in which respondents provided self-assessments of their parcel-level wildfire risk. This project was undertaken to support the Kenai Peninsula Borough Office of Emergency Management and Cooper Landing Emergency Services to inform decisions about wildfire adaptation. The household surveys explored the social dimensions of wildfire, including understanding of wildfire risk, outreach or communication preferences, mitigation and evacuation preparedness activities, and perceptions of community risk reduction strategies. Overall, the study indicated a community that was engaged in preparing for and mitigating the risk of wildfire yet had more that could be done to reduce its risk.

Alaska↗

Discriminant analysis in wildlife research: Theory and applications

Discriminant analysis, a method of analyzing grouped multivariate data, is often used in ecological investigations. It has both a predictive and an explanatory function, the former aiming at classification of individuals of unknown group membership. The goal of the latter function is to exhibit group separation by means of linear transforms, and the corresponding method is called canonical analysis. This discussion focuses on the application of canonical analysis in ecology. In order to clarify its meaning, a parametric approach is taken instead of the usual data-based formulation. For certain assumptions the data-based canonical variates are shown to result from maximum likelihood estimation, thus insuring consistency and asymptotic efficiency. The distorting effects of covariance heterogeneity are examined, as are certain difficulties which arise in interpreting the canonical functions. A 'distortion metric' is defined, by means of which distortions resulting from the canonical transformation can be assessed. Several sampling problems which arise in ecological applications are considered. It is concluded that the method may prove valuable for data exploration, but is of limited value as an inferential procedure.

Book chapter↗

Optimizing control of a freshwater invader in time and space

The global spread of invasive species in aquatic ecosystems has prompted population control efforts to mitigate negative impacts on native species and ecosystem functions. Removal programs that optimally allocate removal effort across space and time offer promise for improving invader suppression or eradication, especially given the limited resources available to these programs. However, science-based guidance to inform such programs remains limited. This study leverages two intensive fish removal programs for nonnative green sunfish (Lepomis cyanellus) in intermittent streams of the Bill Williams River basin in Arizona, USA, to explore alternative management strategies involving variable allocation of removal effort in time and space and compare static versus dynamic decision rules. We used Bayesian hierarchical modeling to estimate demographic parameters using existing removal data, with evidence that both removal programs led to at least a 0.39 probability of eradication. Simulated alternative management strategies revealed that population suppression, but not eradication, could be achieved with reduced effort, and that dynamic management practices that respond to species abundance in real time can improve the efficiency of removal efforts. High removal frequency and program duration, including continued monitoring after zero fish were captured, contributed to successful population control. With management efforts struggling to keep pace with the rising spread and impacts of invasive species, this research demonstrates the utility of quantitative removal models to help improve invasive removal programs and robustly evaluate the success of population suppression and eradication.

Arizona↗

Reproductive failure in the Eastern Migratory Population: The interaction of research and management

The reintroduction of the Eastern Migratory Population of Whooping Cranes ( Grus americana ) has shown the most promise of any effort to date toward the establishment of a self-sustaining population. However, reproduction – including both nest success and chick survival – has been a major challenge. Here, we review the research and management efforts deployed to identify and address this challenge. While there is evidence that a proximal cause of nest failure is harassment by blood-feeding black flies ( Simulium spp. ), this is not likely to be the only contributing factor, and we present alternative hypotheses. There is less understanding of the causes of poor chick survival, and we present hypotheses for factors that may be contributing to chick mortality, including environmental, genetic, and behavioral factors. For both nest success and chick survival, we carried out a value of information analysis, using expert judgment, which allowed us to prioritize the alternative hypotheses for evaluation based on the expected management benefit of addressing each hypothesis. On the horizon are multiple opportunities to explore hypotheses about environmental factors as well as genetic and behavioral characteristics of the birds themselves that may contribute to poor reproduction. If bird-specific characteristics, such as genetics or rearing methods, are hindering reproduction, this has important implications for all efforts to restore Whooping Crane populations.

Book chapter↗