Archive of Boomer subbottom data collected during USGS Cruise RAFA01025, Choptank River, Maryland, March 6-9, 2001
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Geochemical and hydrologic models of pit lakes are commonly used in environmental regulatory decisions to predict future water quality and hydrologic conditions and to understand existing pit lakes. Models may be used to quantify sulfide oxidation, predict thermal/chemical stratification and mixing, and better understand connections between pit lakes and aquifers. One concern related to the hydrologic character of pit lakes is if they are terminal (a groundwater sink with no outflow) or flowthrough (both receiving groundwater inflow and discharging to groundwater). This question was pertinent to the Liberty pit lake, a small acidic pit lake formed in a former Cu deposit in south-central Nevada where potentiometric and geochemical data potentially indicate pit-lake outflow. Potential discharge to groundwater from the pit lake was evaluated using a water-balance model, but uncertainty in hydraulic parameters led to ambiguity in the hydrologic character. Stable isotopes of water were then sampled from the pit lake and adjacent groundwater wells, which unambiguously indicated the lack of an evaporative signature in downgradient groundwater because the groundwater did not plot on a hypothetical mixing line between evaporated pit lake water and observed meteoric recharge. This methodology provided a more effective and more data-driven approach for understanding pit-lake hydrology. Although predictive models are required to quantify reasonable bounds on future conditions, many models contain substantial uncertainty and are not well suited in some environments. Datasets that provide more clear lines of evidence could be collected from existing pit lakes whenever possible to inform water-rock interaction, limnological behavior, and connectivity to adjacent groundwater.
Earthquake emergency response and loss modeling require accurate models of ground‐motion intensity metrics (IMs), such as those produced by ShakeMap. In the critical minutes and hours after an earthquake, however, knowledge of the earthquake source geometry limits the accuracy of these models, especially in areas where seismic instrumentation is insufficient to constrain the shaking intensity pattern. Previous attempts to overcome this limitation have centered on computing the mean distance metrics from a suite of assumed source geometries. That approach is inadequate with modern ground‐motion models (GMMs) because they typically include terms for the hanging wall effect, depth to top of rupture, and other nonlinear terms. Such approaches also propagate the distance uncertainty through the GMMs and may not properly allocate the additional uncertainty into the between‐ and within‐event components. Here we present Finite‐Fault SIMulation with Mixed Effects Regression (FFSIMMER), a method to address these limitations by computing IM distributions from a suite of rupture realizations that fully accounts for all geometry‐related GMM terms and allows for the separation of the between‐ and within‐event components of the total uncertainty. The accuracy of this method is limited by the available constraints on the source parameters. To address this, FFSIMMER can incorporate constraints based on knowledge of the source, such as the approximate strike and dip based on knowledge of the plate tectonics and focal mechanism of the earthquake. We demonstrate the improvement in accuracy that can be achieved with the 2025 M 7.7 Mandalay, Burma (Myanmar), earthquake by incorporating constraints on the range of plausible source parameters.
Introduction The widely used National Land Cover Database (NLCD) has long been the foundational land cover source for scientists, resource managers, and decision makers across the United States. In 2024, a reinvention as Annual NLCD added the key improvement of annual time steps to show decades of change at a higher frequency than the intervals of 2–3 years used in the legacy NLCD. Annual NLCD was derived primarily from the long Landsat satellite data record, and it includes data from other sources. The first release in 2024 of Annual NLCD provides Collection 1.0 of products encompassing land cover and land change from 1985 through 2023 for the conterminous United States (CONUS). The Annual NLCD Collection 1.0 consists of six operational products that map the unique characteristics of land cover. A map created from Annual NLCD shows 16 land cover classes for the CONUS in 2023.
The Infrastructure Investment and Jobs Act of 2021 required the Secretary of the Interior to establish a program to inventory abandoned hard-rock mines in the United States. The Department of the Interior’s Office of Environmental Policy and Compliance asked the U.S. Geological Survey’s Mineral Deposit Database project (USMIN) to use existing data sources to build an inventory of all individual abandoned mine features in the United States. In addition to feature locations, this new database documents the surface land management agency, associated physical and environmental hazards, and any completed mitigation efforts. This information will improve risk assessment and support land management efforts, including hazard mitigation, ecosystem restoration planning, and reclamation. This fact sheet provides a brief overview of USMIN’s collaborative efforts with Federal, State, and Tribal agencies to build a comprehensive and authoritative national inventory of abandoned mine features.
Water-quality samples were collected during April 1996-April 1998 at three intensive fixed sites in the San Antonio region of the South-Central Texas study unit as part of the U.S. Geological Survey National Water-Quality Assessment Program. The sampling strategy for the intensive fixed-site assessment is centered on obtaining information about the occurrence and seasonal patterns of selected constituents including nutrients, pesticides, and volatile organic compounds. The three sites selected to determine the effects of agriculture and urbanization on surface-water quality in the study unit are Medina River at LaCoste (agriculture indicator site), Salado Creek (lower station) at San Antonio (urban indicator site), and San Antonio River near Elmendorf (integrator site). Concentrations of two nutrients, dissolved nitrite plus nitrate nitrogen and total phosphorus, were largest at the integrator site, which is downstream of municipal wastewater treatment plants. Nitrite plus nitrate nitrogen concentrations at this site often exceeded the U.S. Environmental Protection Agency (EPA) maximum contaminant level (MCL) for drinking water. All total phosphorus concentrations at the site exceeded the EPA recommended maximum concentration for streams not discharging directly into reservoirs. Nitrite plus nitrate nitrogen concentrations at the integrator site tended to be smaller, and total phosphorus concentrations at the urban site tended to be larger in samples collected during stormflow than during base flow. The most detections and largest concentrations of three pesticides (atrazine, diazinon, and prometon) were in samples collected at the urban site. Some pesticide concentrations at the agriculture site showed a seasonal pattern of increasing concentrations during spring, the peak application season. Four pesticides (atrazine, deethylatrazine, diazinon, and prometon) were detected in at least 38 percent of samples collected at all three sites. The concentrations of all detected pesticides that have an MCL were less than the MCL at the three sites. More volatile organic compounds (VOC) were detected at the urban indicator site than at the agriculture indicator site, mostly likely because more sources are located in urbanized areas. The most VOCs detected and the largest concentrations of two VOCs (chloroform and tetrahydrofuran) were in samples from the integrator site. More VOCs were detected in samples collected at the integrator site during stormflow than during base flow. The concentrations of all detected VOCs that have an MCL were less than the MCL at the three sites.
Despite its status as one of the most important discoveries in geophysics, the physical mechanism(s) responsible for slow slip events (SSEs) are not well understood. Here, we synthesize observations of deep SSEs in the Cascadia Subduction Zone and argue that rapid, cohesive fault strengthening may control the dynamics of deep SSEs. Cohesive strength is frequently ignored in constitutive laws used to describe fault rheology in numerical simulations of earthquakes and SSEs alike. To demonstrate its importance, we perform and analyze a suite of petrological experiments that simulate fault healing under representative pressure and temperature conditions. We show that significant cohesive strength recovery caused by dissolution-precipitation processes occurs on timescales of just a few hours. Together, our experimental and observational results support the idea that cohesion is a key component of fault strength under SSE conditions and highlight the need for its inclusion in both future experiments and numerical models of fault slip.
Twelve National Stream Quality Accounting Network stations were operated in Montana during the 1975 water year. The network was established for the purpose of acquiring a base of hydrologic data for use by agencies engaged in water-resources planning on a national or regional scale. Among the characteristics analyzed were phytoplankton identification and cell counts. Samples consisted of composites of equal aliquots, collected at the center of each quartile of flow, using modified suspended-sediment samplers and sediment collection techniques. Identification and counting were done using the Sedgwick-Rafter cell method. Cell counts ranged from 21 cells per millilitre at Flathead River at Flathead, British Columbia to 27,000 cells per millilitre at Yellowstone River near Sidney. The class Bacillariophyceae was most abundant in both number and variety at all sampling sites. Anabaena and Aphanizomenon of the phyllum Cyanophyta were found at six stations and two stations respectively. These two genera of blue-green algae often become abundant in enriched waters resulting in nuisance conditions.
A seismic swarm near Taʻū Island, a volcanic island in eastern American Samoa, occurred from July to October 2022. The earliest unrest was noted as felt shaking reports in late July, and instrumentation varied in the beginning of the sequence as the U.S. Geological Survey (USGS) Hawaiian Volcano Observatory responded by installing temporary and then permanent seismometers to monitor the activity. This network variability made it difficult to characterize the earliest seismicity and contextualize the entire sequence to discriminate between an underlying tectonic or volcanic source. Here, we present results analyzing hydroacoustic detections from an International Monitoring System hydrophone array near Wake Island, 4500 km northwest of Taʻū Island volcano. Using least-squares beamforming analysis, we create a catalog of T-wave detections from the direction of Taʻū Island to track the earthquakes, some of which were located by the USGS National EarthquakeInformation Center. Both the rate and hydroacoustic pressures, which we interpret as a proxy for earthquake size, gradually increased from late July to August, peaking on August 19 (rate) and August 24 (size), before decreasing to background in late September. Minutes-long bursts of tremor were also contemporaneously recorded as local network data became avail-able on August 20. Tremor activity continued throughout the rest of August, peaking on August 25, before ending in earlySeptember. These tremor bursts were band-limited to ~ 1–5 Hz and recorded as S waves at a regional station on the island of Upolu in Samoa, 250 km to the west of Taʻū Island. Our results do not constrain the tremor locations, but comparisons of earthquake and tremor reduced displacements recorded locally and regionally suggest a deeper tremor source. We interpret the increase in earthquake size and rate, together with the occurrence, characteristics, and relative depth of the tremor to be the result of magmatic activity beneath Taʻū Island volcano.
Earthquake ground‐motion intensities, such as pseudospectral accelerations (SAs), can vary significantly with horizontal orientation. However, conducting probabilistic seismic hazard analysis (PSHA) for each horizontal orientation is challenging because current ground‐motion models used in PSHA consider only a single horizontal intensity value, usually the median across all orientations, known as RotD50. To address this limitation, we employ physics‐based simulations for PSHA, which contain full waveforms from which ground‐motion intensities can be computed for all horizontal orientations to study directional seismic hazard. We apply our approach to the latest CyberShake study of the Greater Los Angeles metropolitan area, developed by the Statewide California Earthquake Center, finding that seismic hazard at a 2475‐yr return period, a common value used for earthquake‐resistant design, varies significantly with horizontal orientation. For instance, for SAs at 3 s, the maximum seismic hazard across all horizontal orientations is, on average, 15% higher than the median RotD50 hazard, with these differences becoming more pronounced at longer periods. These observed variations can generally be attributed to physical mechanisms that polarize seismic waves, such as the radiation pattern of the earthquake source and the influence of the subsurface structure. These results may have important implications for earthquake engineering applications, particularly for long‐period structures in areas with substantial horizontal variations in seismic hazard.
Logistic regression was used to relate anthropogenic (man-made) and natural factors to the occurrence of elevated concentrations of nitrite plus nitrate as nitrogen in ground water in the Columbia Basin Ground Water Management Area, eastern Washington. Variables that were analyzed included well depth, depth of well casing, ground-water recharge rates, presence of canals, fertilizer application amounts, soils, surficial geology, and land-use types. The variables that best explain the occurrence of nitrate concentrations above 3 milligrams per liter in wells were the amount of fertilizer applied annually within a 2-kilometer radius of a well and the depth of the well casing; the variables that best explain the occurrence of nitrate above 10 milligrams per liter included the amount of fertilizer applied annually within a 3-kilometer radius of a well, the depth of the well casing, and the mean soil hydrologic group, which is a measure of soil infiltration rate. Based on the relations between these variables and elevated nitrate concentrations, models were developed using logistic regression that predict the probability that ground water will exceed a nitrate concentration of either 3 milligrams per liter or 10 milligrams per liter. Maps were produced that illustrate the predicted probability that ground-water nitrate concentrations will exceed 3 milligrams per liter or 10 milligrams per liter for wells cased to 78 feet below land surface (median casing depth) and the predicted depth to which wells would need to be cased in order to have an 80-percent probability of drawing water with a nitrate concentration below either 3 milligrams per liter or 10 milligrams per liter. Maps showing the predicted probability for the occurrence of elevated nitrate concentrations indicate that the irrigated agricultural regions are most at risk. The predicted depths to which wells need to be cased in order to have an 80-percent chance of obtaining low nitrate ground water exceed 600 feet in the irrigated agricultural regions, whereas wells in dryland agricultural areas generally need a casing in excess of 400 feet. The predicted depth to which wells need to be cased to have at least an 80-percent chance to draw water with a nitrate concentration less than 10 milligrams per liter generally did not exceed 800 feet, with a 200-foot casing depth typical of the majority of the area.
The U.S. Geological Survey, in cooperation with the New York State Department of Transportation, evaluated the effects of different deicing salt application rates on surface water, groundwater, and highway runoff quality near State highways in northern New York. Three reaches of State highways were tested with different deicing treatments between October 2019 and November 2022: a salt-sand mixture (Treatment A), a salt mixture applied at a lower rate (Treatment B), and a control mixture consistent with typical deicing salt amounts and application rates. Data on pavement conditions and the quality of surface water, highway runoff, and groundwater were collected. Surface electromagnetic data were also collected. Surface-water and groundwater quality downgradient from the State highways were compared with water quality at upgradient locations. The percentage of snow or ice coverage was used to evaluate the effectiveness of the salt applications. This report provides an overview of the transport of deicing salt. The Treatment B watershed had deicing mixture applied more frequently than other highway reaches, which caused it to have the highest annual total chloride application. Despite differences in chloride application, flow-weighted mean chloride concentrations in highway runoff were comparable across treatments. Chloride concentrations were elevated in surface water and groundwater downgradient from highways relative to chloride concentrations upgradient from highways. A chloride mass balance, calculated for one treatment watershed, indicated that groundwater affected by legacy deicing practices may be contributing additional chloride to surface water. Spatial patterns from electromagnetic surveys show a shallow saline plume alongside the highway in that area. Differences in winter severity and pavement-surface conditions drove deicing salt applications in the treatment areas. This study found that several factors affect chloride loads in the watersheds, including variable winter conditions, adaptive snow and ice management, legacy management practices, and area-specific aquifer and groundwater conditions.
Introduction Effective communication in the geosciences requires a consistent nomenclature for stratigraphic units and, especially, for divisions of geologic time. A geologic time scale is composed of standard stratigraphic divisions based on rock sequences and is calibrated in years. Geologists from the U.S. Geological Survey (USGS), State geological surveys, academia, and other organizations require a consistent time scale to be used in communicating ages of geologic units in the United States. Many international debates have occurred over names and boundaries of units, and various time scales have been used by the geoscience community. For consistent usage of time terms, the USGS Geologic Names Committee and the Association of American State Geologists developed the Divisions of Geologic Time ; the 2018 update in this fact sheet contains the unit names and boundary age estimates ratified by the International Commission on Stratigraphy in 2018. Scientists may use other published time scales, provided that these are specified and referenced.
Lithium-rich brine deposits occur throughout the United States, including in the Smackover Formation. The concentration of lithium in Smackover Formation brines was predicted across southern Arkansas by using a machine-learning model that incorporated lithium concentration data and geologic information. Between 5.1 and 19.0 million metric tons of lithium are calculated to be present in the brines of the Smackover Formation in southern Arkansas. The range in possible total lithium reflects the uncertainty in machine-learning predictions of lithium concentrations and the range of Smackover Formation porosity. This estimate quantifies the in-place lithium resource and does not consider the technological and economic feasibility of extracting the lithium from the brines.
Potash, potassium-bearing water-soluble salt, is the primary global economic source of potassium. Potash is recognized as a critical mineral in Canada as it is the largest source of potassium used in fertilizers. It is essential for global agricultural productivity and food security. Canada is the world’s largest potash exporter with vast deposits in the widely mined Prairie Evaporite of Saskatchewan, which formed in the epicontinental Elk Point Basin during the Middle Devonian. Potash is also found in the Windsor Group of Atlantic Canada where it formed in a series of tectonically active basins during the Mississippian that have undergone substantial post-depositional subsurface alteration and deformation. Potash deposits were mined in New Brunswick up until 2016. Both deposits are salt giants, recording times in the geologic record of extensive and long-lasting evaporite genesis under arid conditions in restricted seas. This paper reviews the geological and economic significance of Canadian potash, including (1) the genesis of each deposit, (2) diagenetic, erosional, and tectonic modification, and (3) exploration and mining in each basin. Underdeveloped regions, possible undiscovered resources, environmental considerations, and the importance of sustainable practices in light of climate change and socioeconomic risks are also addressed.
The purpose of this report is to summarize various electrical sounding studies made on the Kilauea Iki lava lake and to present some of the preliminary interpretations that resulted from the measurements. The following discussion is not intended as a complete interpretation, but is intended to summarize the major points made in an invited oral presentation at the American Geophysical Union fall meeting held in San Francisco, Calif. on December 6, 1976. This paper was part of a group of papers dealing with various geophysical studies recently made on the Kilauea Iki lava lake. A general plan map of Kilauea Iki lava lake is shown in figure 1. Electromagnetic (EM) loop-loop soundings, D.C. resistivity soundings, and VLF apparent resistivity measurements were made on the lave lake surface. All of these surveys were made to determine the geoelectric structure of the lava lake and to determine parameters of the molten basaltic lens that exist in the partially solidified lava lake.
Seismic boundaries caused by phase transitions between olivine polymorphs in Earth's mantle provide thermal and compositional markers that inform mantle dynamics. Seismic studies of the mantle transition zone often use either global averaging with sparse arrays or regional sampling from a single dense array. The intermediate approach of this study utilizes many densely spaced seismic arrays distributed around the globe. We systematically compute teleseismic P-to-S receiver functions for each seismic array and invert for the 1-D seismic velocity structure of the mantle transition zone beneath each array to facilitate a comparison between densely sampled regions. We stack 3,600 receiver functions on average at 67 arrays in total. The stack is used in a probabilistic inversion to estimate the mantle transition zone interface depths and velocities beneath each array. We focus on the 410-km discontinuity (410) because it is a prominent seismic interface that is clearly linked to a single mineral phase transition between olivine and wadsleyite. The depths and velocity contrasts of the 410 are mapped to temperatures and compositions using mineral physics constraints. The depth of the 410 ranges from ∼405–440 km, which is consistent with a ∼360 K temperature range in a dry mantle and a ∼260 K temperature range in a wet mantle (2 wt. % water). The Vs contrast across the 410 ranges from ∼2.5–8 %, which is consistent with ∼20–70 vol. % olivine composition in a dry mantle and ∼25–80 vol. % in a wet mantle. The bulk composition of the upper mantle near the 410-km discontinuity is typically considered to be well-mixed because there is no thermodynamic impediment to convection at the olivine to wadsleyite phase transition. However, the wide range of inferred olivine content from our study suggests that there are large lateral variations in the bulk composition of the upper mantle near the 410-km discontinuity.