USGS Science⌕ Search

SEARCH · USGS Science

Results for “Special Study”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 757 records · Page 42Linked to original sources

Introduction to special section on impacts of land use change on water resources

Changes in land use have potentially large impacts on water resources, yet quantifying these impacts remains among the more challenging problems in hydrology. Water, food, energy, and climate are linked through complex webs of direct and indirect effects and feedbacks. Land use is undergoing major changes due not only to pressures for more efficient food, feed, and fiber production to support growing populations but also due to policy shifts that are creating markets for biofuel and agricultural carbon sequestration. Hydrologic systems embody flows of water, solutes, sediments, and energy that vary even in the absence of human activity. Understanding land use impacts thus necessitates integrated scientific approaches. Field measurements, remote sensing, and modeling studies are shedding new light on the modes and mechanisms by which land use changes impact water resources. Such studies can help deconflate the interconnected influences of human actions and natural variations on the quantity and quality of soil water, surface water, and groundwater, past, present, and future.

Water Resources Research↗

Hydrology, water quality, and response to changes in phosphorus loading of Minocqua and Kawaguesaga Lakes, Oneida County, Wisconsin, with special emphasis on effects of urbanization

Minocqua and Kawaguesaga Lakes are 1,318- and 690-acre interconnected lakes in the popular recreation area of north-central Wisconsin. The lakes are the lower end of a complex chain of lakes in Oneida and Vilas Counties, Wis. There is concern that increased stormwater runoff from rapidly growing residential/commercial developments and impervious surfaces from the urbanized areas of the Town of Minocqua and Woodruff, as well as increased effluent from septic systems around their heavily developed shoreline has increased nutrient loading to the lakes. Maintaining the quality of the lakes to sustain the tourist-based economy of the towns and the area was a concern raised by the Minocqua/Kawaguesaga Lakes Protection Association. Following several small studies, a detailed study during 2006 and 2007 was done by the U.S. Geological Survey, in cooperation with the Minocqua/Kawaguesaga Lakes Protection Association through the Town of Minocqua to describe the hydrology and water quality of the lakes, quantify the sources of phosphorus including those associated with urban development and to better understand the present and future effects of phosphorus loading on the water quality of the lakes. The water quality of Minocqua and Kawaguesaga Lakes appears to have improved since 1963, when a new sewage-treatment plant was constructed and its discharge was bypassed around the lakes, resulting in a decrease in phosphorus loading to the lakes. Since the mid-1980s, the water quality of the lakes has changed little in response to fluctuations in phosphorus loading from the watershed. From 1986 to 2009, summer average concentrations of near-surface total phosphorus in the main East Basin of Minocqua Lake fluctuated from 0.009 mg/L to 0.027 mg/L but generally remained less than 0.022 mg/L, indicating that the lake is mesotrophic. Phosphorus concentrations from 1988 through 1996, however, were lower than the long-term average, possibly the result of an extended drought in the area. Water‑quality data for Kawaguesaga Lake had a similar pattern to that of Minocqua Lake. Summer average chlorophyll a concentrations and Secchi depths also indicate that the lakes generally are mesotrophic but occasionally borderline eutrophic, with no long-term trends. During the study, major water and phosphorus sources were measured directly, and minor sources were estimated to construct detailed water and phosphorus budgets for the lakes for monitoring years (MY) 2006 and 2007. During these years, the Minocqua Thoroughfare contributed about 38 percent of the total inflow to the lakes, and Tomahawk Thoroughfare contributed 34 percent; near-lake inflow, precipitation, and groundwater contributed about 1, 16, and 11 percent of the total inflow, respectively. Water leaves the lakes primarily through the Tomahawk River outlet (83 percent) or by evaporation (14 percent), with minor outflow to groundwater. Total input of phosphorus to both lakes was about 3,440 pounds in MY 2006 and 2,200 pounds in MY 2007. The largest sources of phosphorus entering the lakes were the Minocqua and Tomahawk Thoroughfares, which delivered about 39 and 26 percent of the total, respectively. The near-lake drainage area, containing most of the urban and residential developments, disproportionately accounted for about 12 percent of the total phosphorus input but only about 1 percent of the total water input (estimated with WinSLAMM). The next largest contributions were from septic systems and precipitation, each contributing about 10 percent, whereas groundwater delivered about 4 percent of the total phosphorus input. Empirical lake water-quality models within BATHTUB were used to simulate the response of Minocqua and Kawaguesaga Lakes to 19 phosphorus-loading scenarios. These scenarios included the current base years (2006–07) for which lake water quality and loading were known, nine general increases or decreases in phosphorus loading from controllable external sources (inputs from the tributaries and nearshore areas around the lakes and input from septic systems), and nine scenarios corresponding to future changes in phosphorus loading from residential and urban development, referred to as “2030 buildout,” and removal of septic system inputs. The 2030 buildout scenario with existing stormwater controls resulted in a degradation in water quality: phosphorus concentrations increased by about 0.001 mg/L, chlorophyll a concentrations increased by 0.2–0.8 μg/L, and Secchi depths decreased slightly. The largest degradation in water quality was estimated to occur in Kawaguesaga Lake. If 2030 buildout occurred with implementation of best management practices to achieve a 50-percent reduction in loading from near-lake drainages, it is possible that water quality would change very little from existing conditions. Numerous noncontributing areas exist within the watershed that help minimize surface runoff and nutrient loading to the lakes; however, if future development included extending or connecting drainage from these areas into the lakes, loading to the lakes could greatly increase and cause a degradation in the water quality of the lakes. Simulations of removal of phosphorus loading from septic systems around Minocqua Lake improved the water quality of the lakes: in simulations for that scenario, phosphorus concentrations decreased by about 0.001 mg/L, chlorophyll a concentrations decreased by 0.5–0.7 μg/L, and Secchi depths increased by 0.3–0.7 ft. If all controllable external phosphorus loading could be reduced by 50 percent, the lakes would become oligotrophic with respect to phosphorus concentration but would still remain mesotrophic with respect to chlorophyll a concentration and Secchi depth. Improvements in the water quality of the lakes are likely only with a combination of management actions that decrease inputs from the developed near-lake drainage areas and from septic systems.

Wisconsin↗

Structure of marine predator and prey communities along environmental gradients in a glaciated fjord

Spatial patterns of marine predator communities are influenced to varying degrees by prey distribution and environmental gradients. We examined physical and biological attributes of an estuarine fjord with strong glacier influence to determine the factors that most influence the structure of predator and prey communities. Our results suggest that some species, such as walleye pollock ( Theragra chalcogramma ), black-legged kittiwake ( Rissa tridactyla ), and glaucous-winged gull ( Larus glaucescens ), were widely distributed across environmental gradients, indicating less specialization, whereas species such as capelin ( Mallotus villosus ), harbor seal ( Phoca vitulina ), and Kittlitz's murrelet ( Brachyramphus brevirostris ) appeared to have more specialized habitat requirements related to glacial influence. We found that upper trophic level communities were well correlated with their mid trophic level prey community, but strong physical gradients in photic depth, temperature, and nutrients played an important role in community structure as well. Mid-trophic level forage fish communities were correlated with the physical gradients more closely than upper trophic levels were, and they showed strong affinity to tidewater glaciers. Silica was closely correlated with the distribution of fish communities, the mechanisms of which deserve further study.

Alaska↗

Evaluation of harvest and information needs for North American sea ducks

Wildlife managers routinely seek to establish sustainable limits of sport harvest or other regulated forms of take while confronted with considerable uncertainty. A growing body of ecological research focuses on methods to describe and account for uncertainty in management decision-making and to prioritize research and monitoring investments to reduce the most influential uncertainties. We used simulation methods incorporating measures of demographic uncertainty to evaluate risk of overharvest and prioritize information needs for North American sea ducks (Tribe Mergini ). Sea ducks are popular game birds in North America, yet they are poorly monitored and their population dynamics are poorly understood relative to other North American waterfowl. There have been few attempts to assess the sustainability of harvest of North American sea ducks, and no formal harvest strategy exists in the U.S. or Canada to guide management. The popularity of sea duck hunting, extended hunting opportunity for some populations (i.e., special seasons and/or bag limits), and population declines have led to concern about potential overharvest. We used Monte Carlo simulation to contrast estimates of allowable harvest and observed harvest and assess risk of overharvest for 7 populations of North American sea ducks: the American subspecies of common eider ( Somateria mollissima dresseri ), eastern and western populations of black scoter ( Melanitta americana ) and surf scoter ( M . perspicillata ), and continental populations of white-winged scoter ( M . fusca ) and long-tailed duck ( Clangula hyemalis ). We combined information from empirical studies and the opinions of experts through formal elicitation to create probability distributions reflecting uncertainty in the individual demographic parameters used in this assessment. Estimates of maximum growth ( r max ), and therefore of allowable harvest, were highly uncertain for all populations. Long-tailed duck and American common eider appeared to be at high risk of overharvest (i.e., observed harvest < allowable harvest in 5–7% and 19–26% of simulations, respectively depending on the functional form of density dependence), whereas the other populations appeared to be at moderate risk to low risk (observed harvest < allowable harvest in 22–68% of simulations, again conditional on the form of density dependence). We also evaluated the sensitivity of the difference between allowable and observed harvest estimates to uncertainty in individual demographic parameters to prioritize information needs. We found that uncertainty in overall fecundity had more influence on comparisons of allowable and observed harvest than adult survival or observed harvest for all species except long-tailed duck. Although adult survival was characterized by less uncertainty than individual components of fecundity, it was identified as a high priority information need given the sensitivity of growth rate and allowable harvest to this parameter. Uncertainty about population size was influential in the comparison of observed and allowable harvest for 5 of the 6 populations where it factored into the assessment. While this assessment highlights a high degree of uncertainty in allowable harvest, it provides a framework for integration of improved data from future research and monitoring. It could also serve as the basis for harvest strategy development as management objectives and regulatory alternatives are specified by the management community.

PLoS ONE↗

Baseline reference range for trace metal concentrations in whole blood of wild and managed West Indian Manatees ( Trichechus manatus ) in Florida and Belize

The West Indian manatee ( Trichechus manatus ) is exposed to a number of anthropogenic influences, including metals, as they inhabit shallow waters with close proximity to shore. While maintaining homeostasis of many metals is crucial for health, there is currently no baseline reference range that can be used to make clinical and environmental decisions for this endangered species. In this study, whole blood samples from 151 manatees were collected during health assessments performed in Florida and Belize from 2008 through 2011. Whole blood samples (n = 37) from managed care facilities in Florida and Belize from 2009 through 2011 were also used in this study. The concentrations of 17 metals in whole blood were determined, and the data were used to derive a baseline reference range. Impacts of capture location, age, and sex on whole blood metal concentrations were examined. Location and age were related to copper concentrations as values were significantly higher in habitats near urban areas and in calves. Copper may also be a husbandry concern as concentrations were significantly higher in managed manatees (1.17 ± 0.04 ppm) than wild manatees (0.73 ± 0.02 ppm). Zinc (11.20 ± 0.30 ppm) was of special interest as normal concentrations were two to five times higher than other marine mammal species. Arsenic concentrations were higher in Belize (0.43 ± 0.07 ppm), with Placencia Lagoon having twice the concentration of Belize City and Southern Lagoon. Selenium concentrations were lower (0.18 ± 0.09 ppm) than in other marine mammal species. The lowest selenium concentrations were observed in rehabilitating and managed manatees which may warrant additional monitoring in managed care facilities. The established preliminary baseline reference range can be used by clinicians, biologists, and managers to monitor the health of West Indian manatees.

Aquatic Mammals↗

Integrated rangeland fire management strategy actionable science plan completion assessment: Invasives topic, 2015–20

Loss and degradation of sagebrush rangelands due to an accelerated invasive annual grass-wildfire cycle and other stressors are significant management, conservation, and economic issues in the western United States. These sagebrush rangelands comprise a unique biome spanning 11 states, support over 350 wildlife species, and provide important ecosystem services that include stabilizing the economies of western communities. Impacts to sagebrush ecosystem processes over large areas due to the annual grass-wildfire cycle necessitated the development of a coordinated, science-based strategy for improving efforts to achieve long-term protection, conservation, and restoration of sagebrush rangelands, which was framed in 2015 under the Integrated Rangeland Fire Management Strategy (IRFMS). Central to this effort was the development of an Actionable Science Plan (Plan) that identified 37 priority science needs (Needs) for informing the actions proposed under the 5 topics (Fire, Invasives, Restoration, Sagebrush and Sage-Grouse, Climate and Weather) that were part of the collective focus of the IRFMS. Notable keys to this effort were identification of the Needs co-produced by managers and researchers, and a focus on resulting science being “actionable.” Substantial investments aimed at fulfilling the Needs identified in the Plan have been made since its release in 2016. While the state of the science has advanced considerably, the extent to which knowledge gaps remain relative to identified Needs is relatively unknown. Moreover, new Needs have likely emerged since the original strategy as results from actionable science reveal new questions and possible (yet untested) solutions. A quantifiable assessment of the progress made on the original science Needs can identify unresolved gaps and new information that can help inform prioritization of future research efforts. This report details a systematic literature review that evaluated how well peer-reviewed journal articles and formal technical reports published between January 1, 2015, and December 31, 2020, addressed six needs (hereinafter “Needs”) identified under the Invasives topic in the Plan. The topic outlined research Needs related to the control of invasive plant species in sagebrush rangelands, with a special emphasis on invasive annual grasses. We established the level of progress towards addressing each Need following a standardized set of criteria, and developed summaries detailing how research objectives nested within Needs identified in the Plan (“Next Steps”) were either addressed well, partially addressed, or remain outstanding (that is, addressed poorly) in the literature through 2020. Our searches resulted in the inclusion of 198 science products that at least partially addressed a Need identified in the Invasives topic. The Needs that were well and partially addressed included: studies of natural and anthropogenic factors influencing the distribution and spread; methods of preventing, eradicating and controlling invasive plant species; development of mapping techniques that provide regularly updated annual grass and fine fuel projections; and assessment of the efficacy of potential cheatgrass biocontrol agents. Needs that were addressed poorly included (1) investigations of livestock grazing as a tool for managing invasive plants and (2) investigations of cheatgrass die-offs and identification and subsequent study of potential biocontrol agents associated with those die-offs. The information provided in this assessment will assist updating the Plan along with other science strategies.

western United States↗

Coastal barrier resilience and resistance: Analysis and metrics for characterizing coastal state

Barrier islands are shaped by a variety of short- and long-term environmental processes such as storms and relative sea-level rise. These islands, found along the estuarine-marine interface, provide ecosystem services including storm surge and wave attenuation, erosion protection to inland marshes, habitat for fish and wildlife, and recreation. Natural resource managers require actionable information on how barrier island resilience and resistance changes over time to understand how an island’s current state relates to past conditions and to inform restoration prioritization and implementation. The U.S. Geological Survey and The Water Institute collaborated on a study to develop indicators of resilience and resistance for barrier islands in Louisiana. Here, resilience captures island persistence on yearly to decadal time scales, and resistance captures persistence on event time scales of days to weeks. The indicators fall in two categories: Tier 1 Screening Metrics, that can be readily calculated from available data, are easily interpretable as an evaluation of barrier condition, and provide a high-level snapshot of overall barrier resilience and resistance; and Tier 2 Analysis Metrics, which are detailed metrics that required specialized analysis and interpretation and are more applicable to answering specific questions managers may have about barrier state. The research team derived Tier 1 resilience indicators from subaerial land and vegetation cover calculated from publicly available maps and products based on satellite imagery. By benchmarking the total land and vegetation extent against their respective historical maxima, this metric provides a snapshot of an island’s current state in the context of its long-term trajectory. The research team developed Tier 1 resistance indicators based on subaerial island configuration and water level recurrence as a proxy for evaluating island resistance to storms, which are the primary driver of short-term change. These Tier 1 metrics can be analyzed over time to provide a high-level assessment of how an island’s resistance decreases because of elevation loss or sea-level rise or increases due to restoration or natural recovery. The research team developed Tier 2 resilience and resistance indicators and associated analyses to provide detailed information for specific time periods or applications (e.g., wildlife management). These metrics include habitat coverage from high-resolution maps, which show composition changes over time to capture the evolving resilience of specific habitat types; high tide flooding analysis, which evaluate island area relative to specified flooding thresholds to characterize resistance in the short-term or, if analyzed over time, indicate changes in resilience; and hypsometric curve analysis, which allows managers to evaluate island area changes above their own elevation benchmarks of interest and similarly characterize resistance in the short-term or indicate changes in resilience if assessed over time. The research team calculated Tier 1 metrics of the barrier islands and headlands along the coast of Louisiana for the period of 1984 through 2021 and Tier 2 metrics for select times during that period depending on data available and quality. The results were captured in a report card for each barrier, which also includes an overview of the metrics and their interpretation; a restoration and storm history; and Tier 1 and Tier 2 metric analysis, including benchmarking against coastwide and regional values as well as to an island’s pre-restoration trajectory. These report cards provide a readily digestible synthesis of barrier condition and trajectory that coastal managers can use to support restoration prioritization and other decisions.

Louisiana↗

Seismicity map of the State of Montana

This map is one of a series of seismicity maps produced by the U. S. Geological Survey that show earthquake data of individual states or groups of states at the scale of 1:1,000,000. This map shows only those earthquakes with epicenters located within the boundaries of Montana, even though earthquakes in bordering states or countries may have been felt or may have caused damage in Montana. The data in table 1 were used to compile the seismicity map; these data are a corrected, expanded, and updated (through 1981) version of the data used by Algermissen (1969) for a study of seismic risk in the United States. The locations and intensities of some earthquakes were revised and intensities were assigned where none had been before. Many earthquakes were added to the original list from new data sources as well as from some old data sources that had not been previously used. No earthquakes with magnitudes greater than 2.5 were located in Montana during 1981. The data in table 1 represent best estimates of the location of the epicenter, magnitude, and intensity of each earthquake on the basis of historical and current information. Some of the aftershocks from large earthquakes are listed, but not all, especially for earthquakes that occurred before seismic instruments were universally used. Special criteria used in compiling the list of earthquake in the State of Montana include the following: (1) All earthquakes with epicenters along the Montana-Wyoming border with a latitude of 45&deg; N are listed in Montana. (2) Aftershocks of the 1925 and 1935 earthquakes were assigned the same geographic locations as the main shocks. (3) Instrumental epicenters for the 1959 Hebgen Lake earthquake and its aftershocks were 1ocated in Idaho, Montana, and Wyoming; only the ones located in Montana are included on this map. All non-instrumental locations were given the location of the main shock with an accuracy code that includes the community reporting the maximum intensity. The latitude and longitude coordinates of each epicenter were rounded to the nearest tenth of a degree and sorted so that all identical locations were grouped and counted. These locations are represented on the map by a triangle. The number of earthquakes at each location is shown on the map by the number to the right of the triangle. A Roman numeral to the left of a triangle is the maximum Modified Mercalli intensity (Wood and Neumann, 1931) of all earthquakes at that geographic location. The absence of an intensity value indicates that no intensities have been assigned to earthquakes at that location. The year shown below each triangle is the latest year for which the maximum intensity was recorded.

Montana↗

Middle and late Pleistocene pluvial history of Newark Valley, central Nevada, USA

Newark Valley lies between the two largest pluvial lake systems in the Great Basin, Lake Lahontan and Lake Bonneville. Soils and geomorphology, stratigraphic interpretations, radiocarbon ages, and amino acid racemization geochronology analyses were employed to interpret the relative and numerical ages of lacustrine deposits in the valley. The marine oxygen isotope stage (MIS) 2 beach barriers are characterized by well-preserved morphology and deposits with youthful soil development, with Bwk horizons and maximum stage I+ carbonate morphology. Radiocarbon ages of gastropods and tufas within these MIS 2–age deposits permit construction of a latest Pleistocene lake-level curve for Newark Valley, including a maximum limiting age of 13,780 ± 50 14 C yr B.P. for the most recent highstand, and they provide a calibration point for soil development in lacustrine deposits in the central Great Basin. The MIS 8–age to MIS 4–age beach barriers are higher in elevation and represent a larger lake than existed during MIS 2. The beach barriers have subdued morphology, are only preserved in short segments, and have stronger soil development, with Bkm and/or Bkmt horizons and maximum stage III+ to IV carbonate morphology. Newark Lake reached elevations higher than the MIS 2 highstand during at least two additional pluvial periods, MIS 16 and MIS 12, 10, or 8. These oldest lacustrine deposits do not have preserved shoreline features and are represented only by gravel lags, buried deposits, and buried soils with similar strong soil development. This sequence of middle and latest Pleistocene shorelines records a long-term pluvial history in this basin that remained internally drained for the last four or more pluvial cycles. Obtaining numerical ages from material within lacustrine deposits in the Great Basin can be challenging. Amino acid D/L values from gastropod shells and mollusk valves proved to be a valuable tool to correlate lacustrine deposits within Newark Valley. Comparison of soils and geomorphology results to independent 36 Cl cosmogenic nuclide ages from a different study indicated unexpected changes in rates of soil development during the past ~200,000 yr and suggested that common stratigraphic changes in lake stratigraphy could obscure incremental changes in soil development and/or complicate 36 Cl cosmogenic nuclide age estimates.

Nevada↗

Deep root activity overprints weathering of petrogenic organic carbon in shale

The oxidation of organic carbon in sedimentary bedrock (petrogenic OC, OC p e t r o "> petro ) is increasingly recognized as a potential source of CO 2 to the atmosphere. Recent studies provide evidence for the mobilization and oxidation of OC p e t r o "> petro in sedimentary bedrock during rock weathering. However, the mechanisms and rates remain uncertain, particularly where overlying soils and vegetation drive contemporaneous oxidation of recently fixed organic carbon. Here, we quantify OC p e t r o "> petro weathering across a 16 m shale depth profile in a steep, rapidly eroding forested hillslope in the Northern California Coast Ranges. We report solid and gas phase radiocarbon and stable isotope analyses of samples extracted from specialized in-situ samplers, and a supporting laboratory incubation experiment of the shale regolith. OC p e t r o "> petro is removed from the weathered bedrock at a rate of approximately 0.12 gC/m 3 yr, which is orders of magnitude lower than the rate of OC p e t r o "> petro oxidation we achieved in the laboratory with crushed samples (557.1 gC/m 3 /yr). This disparity occurs despite high O 2 ( g ) "> 2(g) content across the depth profile, indicating that physical accessibility of OC p e t r o "> petro can regulate oxidative weathering. There is no direct radiocarbon evidence of OC p e t r o "> petro oxidation in CO 2 ( g ) "> 2(g) across the upper 13 m of the weathering profile during both wet and dry seasons. Instead, vadose zone CO 2 ( g ) "> 2(g) production at the site is dominated by respiration of recently fixed carbon associated with deep rooting. OC p e t r o "> petro is clearly mobilized across the vadose zone during weathering in this rapidly eroding, oxygen-rich, biologically dynamic hillslope, but at rates far below what can be measured given the contribution of root-derived CO 2 ( g ) "> 2(g) .

California↗

Plant diversity increases with the strength of negative density dependence at the global scale

Theory predicts that higher biodiversity in the tropics is maintained by specialized interactions among plants and their natural enemies that result in conspecific negative density dependence (CNDD). By using more than 3000 species and nearly 2.4 million trees across 24 forest plots worldwide, we show that global patterns in tree species diversity reflect not only stronger CNDD at tropical versus temperate latitudes but also a latitudinal shift in the relationship between CNDD and species abundance. CNDD was stronger for rare species at tropical versus temperate latitudes, potentially causing the persistence of greater numbers of rare species in the tropics. Our study reveals fundamental differences in the nature of local-scale biotic interactions that contribute to the maintenance of species diversity across temperate and tropical communities.

Science↗

The Geodetic Centroid (gCent) Catalog: Global earthquake monitoring with satellite imaging geodesy

Remote sensing geodetic observations (Interferometric Synthetic Aperture Radar [InSAR] and optical correlation [“pixel tracking”]) serve an increasingly diverse and important role in earthquake monitoring and response. This study introduces the Geodetic Centroid (gCent) catalog—an earthquake catalog derived solely from space‐based geodetic observations—and analysis of 74 earthquakes ( ⁠ M W 4.3–7.4) imaged from 1 August 2019 to 01 February 2022. For gCent, we use InSAR and optical correlation observations derived from the Sentinel‐1 satellites and various publicly available optical satellites to systematically image all global earthquakes M W 5.5 or larger and shallower than 25 km, M W 7.0 or larger at any depth, and other high‐impact earthquakes or seismic events of special interest. We invert surface displacements from successfully imaged earthquakes for the location, orientation, and dimensions of a single slipping fault patch that describes the centroid characteristics of the earthquake. These centroid models, in turn, are compiled into a catalog and used in U.S. Geological Survey/Advanced National Seismic System (ANSS) operational earthquake response products such as ShakeMaps and finite‐fault models. We provide a comparison of the gCent catalog to the ANSS Comprehensive Catalog and Global Centroid Moment Tensor (Global CMT) catalog to compare reported locations, depths, and magnitudes. We find that global earthquake catalogs not only generally provide reasonably comparable locations (within 10 km on average), but also they systematically overestimate depth that may have implications for earthquake shaking predictions based solely on earthquake origin information. Geodetic magnitudes are comparable to seismically inferred magnitudes, indicating that gCent models are unlikely to be systematically biased by the presence of postseismic deformation. We additionally highlight limitations of the gCent catalog induced by both the limitations of remote sensing imaging of earthquakes and our imposition of a simplified earthquake source description that does not include spatially distributed slip.

Bulletin of the Seismological Society of America↗

A review of plague persistence with special emphasis on fleas

Sylvatic plague is highly prevalent during infrequent epizootics that ravage the landscape of western North America. During these periods, plague dissemination is very efficient. Epizootics end when rodent and flea populations are decimated and vectored transmission declines. A second phase (enzootic plague) ensues when plague is difficult to detect from fleas, hosts or the environment, and presents less of a threat to public health. Recently, researchers have hypothesized that the bacterium (Yersinia pestis) responsible for plague maintains a continuous state of high virulence and thus only changes in transmission efficiency explain the shift between alternating enzootic and epizootic phases. However, if virulent transmission becomes too inefficient, strong selection might favor an alternate survival strategy. Another plausible non-exclusive hypothesis, best supported from Asian field studies, is that Y. pestis persists (locally) at foci by maintaining a more benign relationship within adapted rodents during the long expanses of time between outbreaks. From this vantage, it can revert to the epizootic (transmission efficient) form. Similarly, in the United States (US), enzootic plague persistence has been proposed to develop sequestered within New World rodent carriers. However, the absence of clear support for rodent carriers in North America has encouraged a broader search for alternative explanations. A telluric plague existence has been proposed. However, the availability of flea life stages and their hosts could critically supplement environmental plague sources, or fleas might directly represent a lowlevel plague reservoir. Here, we note a potentially pivotal role for fleas. These epizootic plague vectors should be closely studied with newer more exacting methods to determine their potential to serve as participants in or accomplices to a plague persistence reservoir.

Journal of Vector Borne Diseases↗

Proceedings of the 2011 Elwha River Science Symposium

After years of anticipation, volumes of Environmental Impact Statements, multiple mitigation projects, and the multidisciplinary collection of predam removal data, the deconstruction phase of the Elwha River restoration officially began on September 17th, 2011. With their simultaneous decommissioning, the removal of the 64 m tall Glines Canyon Dam and the 33 m tall Elwha Dam represents one of the largest such projects of its kind in North America. It&rsquo;s also an excellent opportunity to study large-scale ecosystem restoration, as the majority of the reconnected habitat that will become available to recolonizing salmon occurs in the protected wilderness areas of Olympic National Park. As part of a week-long series of &lsquo;Celebrate Elwha&rsquo; events, which culminated with a moving ceremony commemorating the official launch of dam removal, I was proud to work with a number of dedicated people, listed below, to organize the two day 2011 Elwha River Science Symposium. Many of the scientists working on the Elwha project have regularly met, since around 2004, for annual meetings. Loosely organized under the auspices of the Elwha Research and Elwha Nearshore consortia, the annual meetings have been informative for many reasons, including the sharing of study plans, field schedules, and preliminary results. It has been a great way for groups of physical scientists and groups of biologists to learn about the questions of interest to each group and to explore areas of overlap. In some cases, these meetings have spawned new collaborations, synergies, and research directions. In planning for the 2011 Elwha River Science Symposium, we sought to retain this espirit de corps, but realized that the start of dam removal heralded an important new phase of the project and called for an event that celebrated this special occasion.

Washington↗

The modern atmospheric background dust load: Recognition in Central Asian snowpack, and compositional constraints

Dusts in strata of snowpack in the Alai-Pamir range, Kirghizstan, Central Asia, have chemical compositions that are in the same restricted range as those of the dusts found in snowpacks at three other locations: central south Greenland, the St. Elias range (Alaska), and coastal Antarctica, where special-type local dust sources certainly cannot dominate. This similarity at the four widely separated sites appears to indicate that there is a modern atmospheric background dust that is the same on a regional, hemispheric, or global scale. The common compositional range is that of average crustal rock, or of moderately ferromagnesian volcanic rock. It is not that of carbonate, nor highly siliciceous rocks. Previously, the existence of an atmospheric background dust has been postulated only on the basis of its particle size distribution, and only from observations in polar regions. The present study partially determines the chemical composition of the background dust, and confirms its existence in snowpack at four localities worldwide, including the center of the earth's largest continent where dusts of local source have considerable influence.

Geophysical Research Letters↗

Liquefaction induced by historic and prehistoric earthquakes in western Puerto Rico

Dozens of liquefaction features in western Puerto Rico probably formed during at least three large earthquakes since A.D. 1300. Many of the features formed during the 1918 moment magnitude (M) 7.3 event and the 1670 event, which may have been as large as M 7 and centered in the Añasco River Valley. Liquefaction features along Río Culebrinas, and possibly a few along Río Grande de Añasco, appear to have formed ca. A.D. 1300–1508 as the result of a M ≥ 6.5 earthquake. We conducted reconnaissance along Río Culebrinas, Río Grande de Añasco, and Río Guanajibo, where we found and studied numerous liquefaction features, dated organic samples occurring in association with liquefaction features, and performed liquefaction potential analysis with geotechnical data previously collected along the three rivers. Our ongoing study will provide additional information regarding the age and size distribution of liquefaction features along the western, northern, and eastern coasts and will help to improve estimates of the timing, source areas, and magnitudes of earthquakes that struck Puerto Rico during the late Holocene.

Añasco River Valley, Río Culebrinas, Río Grande de↗

Significance of lead residues in mallard tissues

Tissues of adult, lead-dosed mallards that either died or were sacrificed were analyzed for lead. Lead levels in brains, tibiae, and breast muscle of ducks that died and in tibiae of ducks that were sacrificed increased significantly from dosage until death. Lead in the heart, lung, and blood from sacrificed ducks decreased significantly from dosage until death. Lead concentrations in tissues from ducks in the two groups were not significantly different except for the liver, kidney, and lung. Average lead levels in the livers and kidneys of ducks that died were significantly higher than those in ducks that were sacrificed. The mean concentration of lead in the lungs of the ducks sacrificed was significantly higher than the mean level in the lungs of ducks that died. Measurements of the lead concentrations in this study, when compared with lead levels reported in the literature for avian and non-avian species, showed that arbitrary diagnostic levels indicating lead poisoning could be set. In mallard ducks, lead levels exceeding 3 ppm in the brain, 6 to 20 ppm in the kidney or liver, or 10 ppm in clotted blood from the heart indicated acute exposure to lead.

Special Scientific Report - Wildlife↗

Redox chemistry and natural organic matter (NOM): Geochemists' dream, analytical chemists' nightmare

Natural organic matter (NOM) is an inherently complex mixture of polyfunctional organic molecules. Because of their universality and chemical reversibility, oxidation/reductions (redox) reactions of NOM have an especially interesting and important role in geochemistry. Variabilities in NOM composition and chemistry make studies of its redox chemistry particularly challenging, and details of NOM-mediated redox reactions are only partially understood. This is in large part due to the analytical difficulties associated with NOM characterization and the wide range of reagents and experimental systems used to study NOM redox reactions. This chapter provides a summary of the ongoing efforts to provide a coherent comprehension of aqueous redox chemistry involving NOM and of techniques for chemical characterization of NOM. It also describes some attempts to confirm the roles of different structural moieties in redox reactions. In addition, we discuss some of the operational parameters used to describe NOM redox capacities and redox states, and describe nomenclature of NOM redox chemistry. Several relatively facile experimental methods applicable to predictions of the NOM redox activity and redox states of NOM samples are discussed, with special attention to the proposed use of fluorescence spectroscopy to predict relevant redox characteristics of NOM samples.

ACS Symposium Series↗