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An evaluation of traditional and emerging remote sensing technologies for the detection of fugitive contamination at selected Superfund hazardous waste sites

This report represents a remote sensing research effort conducted by the U.S. Geological Survey in cooperation with the U.S. Environmental Protection Agency (EPA) for the EPA Office of Inspector General. The objective of this investigation was to explore the efficacy of remote sensing as a technology for postclosure monitoring of hazardous waste sites as defined under the Comprehensive Environmental Response Compensation and Liability Act of 1980 (Public Law 96-510, 42 U.S.C. §9601 et seq.), also known as \"Superfund.\" Five delisted Superfund sites in Maryland and Virginia were imaged with a hyperspectral sensor and visited for collection of soil, water, and spectral samples and inspection of general site conditions. This report evaluates traditional and hyperspectral imagery and field spectroscopic measurement techniques in the characterization and analysis of fugitive (anthropogenic, uncontrolled) contamination at previously remediated hazardous waste disposal sites.

Open-File Report↗

From bacteria to elephants: Effects of land-use legacies on biodiversity and ecosystem structure in the Serengeti-Mara ecosystem: Chapter 8

Generally, ecological research has considered the aboveground and belowground components of ecosystems separately. Consequently, frameworks for integrating the two components are not well developed. Integrating the microbial components into ecosystem ecology requires different approaches from those offered by plant ecology, partly because of the scales at which microbial processes operate and partly because of measurement constraints. Studies have begun to relate microbial community structure to ecosystem function. results suggest that excluding people and livestock from the MMNR, or preventing heavier livestock from grazing around settlements, may not change the general structure of the ecosystem (soils, plant structure), but can change the numbers and diversity of wildlife, nematodes and microbes in this ecosystem in subtle ways.

Book chapter↗

Chapter J: Issues and challenges in the application of geostatistics and spatial-data analysis to the characterization of sand-and-gravel resources

Sand-and-gravel (aggregate) resources are a critical component of the Nation's infrastructure, yet aggregate-mining technologies lag far behind those of metalliferous mining and other sectors. Deposit-evaluation and site-characterization methodologies are antiquated, and few serious studies of the potential applications of spatial-data analysis and geostatistics have been published. However, because of commodity usage and the necessary proximity of a mine to end use, aggregate-resource exploration and evaluation differ fundamentally from comparable activities for metalliferous ores. Acceptable practices, therefore, can reflect this cruder scale. The increasing use of computer technologies is colliding with the need for sand-and-gravel mines to modernize and improve their overall efficiency of exploration, mine planning, scheduling, automation, and other operations. The emergence of megaquarries in the 21st century will also be a contributing factor. Preliminary research into the practical applications of exploratory-data analysis (EDA) have been promising. For example, EDA was used to develop a linear-regression equation to forecast freeze-thaw durability from absorption values for Lower Paleozoic carbonate rocks mined for crushed aggregate from quarries in Oklahoma. Applications of EDA within a spatial context, a method of spatial-data analysis, have also been promising, as with the investigation of undeveloped sand-and-gravel resources in the sedimentary deposits of Pleistocene Lake Bonneville, Utah. Formal geostatistical investigations of sand-and-gravel deposits are quite rare, and the primary focus of those studies that have been completed is on the spatial characterization of deposit thickness and its subsequent effect on ore reserves. A thorough investigation of a gravel deposit in an active aggregate-mining area in central Essex, U.K., emphasized the problems inherent in the geostatistical characterization of particle-size-analysis data. Beyond such factors as common drilling methods jeopardizing the accuracy of the size-distribution curve, the application of formal geostatistical principles has other limitations. Many of the variables used in evaluating gravel deposits, including such sedimentologic parameters as sorting and such United Soil Classification System parameters as gradation coefficient, are nonadditive. Also, uniform sampling methods, such as drilling, are relatively uncommon, and sampling is generally accomplished by a combination of boreholes, water-well logs, test pits, trenches, stratigraphic columns from exposures, and, possibly, some geophysical cross sections. When evaluated in consideration of the fact that uniform mining blocks are also uncommon in practice, subsequent complexities in establishment of the volume/variance relation are inevitable. Several approaches exist to confront the limitations of geostatistical methods in evaluating sand-and-gravel deposits. Initially, we must acknowledge the practical requirements of the aggregate industry, as well as the limitations of the data collected by that industry, as a function of what the industry requires at the practical level, and consider that broader acceptance of formal geostatistics may require modifications of typical exploration and sampling protocols. Future investigations should utilize data from the full spectrum of sand-and-gravel deposits (flood plain, glacial, catastrophic flood, and marine), integrate such other disci plines as sedimentology and geophysics into the research, develop commodity-specific approaches to nonadditive variables, and include the results of comparative drilling.

Bulletin↗

Paleobiology of the Sand Beneath the Valders Diamicton at Valders, Wisconsin

Previously undescribed pollen, plant macrofossils, molluscs, and ostracodes were recovered from a 2.5-m-thick glaciolacustrine unit of silty sand and clay at Valders, Wisconsin. The interstadial sediment was deposited about 12,200 14C yr B.P. after retreat of the Green Bay lobe that deposited diamicton of the Horicon Formation, and before advance of the Lake Michigan lobe that deposited the red-brown diamicton of the Valders Member of the Kewaunee Formation. Fluctuations of abundance of Candona subtriangulata, Cytherissa lacustris, and three other species define four ostracode biozones in the lower 1.7 m, suggesting an open lake environment that oscillated in depth and proximity to glacial ice. Pollen is dominated by Picea and Artemisia, but the low percentages of many other types of longdistance origin suggest that the terrestrial vegetation was open and far from the forest border. The upper part of the sediment, a massive sand deposited in either a shallow pond or a sluggish stream, contains a local concentration of plant macrofossils. The interpretation of a cold open environment is supported by the plant macrofossils of more than 20 species, dominated by those of open mineral soils (Arenaria rubella, Cerastium alpinum type, Silene acaulis, Sibbaldia procumbens, Dryas integrifolia, Vaccinium uliginosum var. alpinum, Armeria maritima, etc.) that in North America occur largely in the tundra and open tundra-forest ecotone of northern Canada. Ice-wedge casts occur in the sand. ?? 1998 University of Washington.

Quaternary Research↗

Coherence of Mach fronts during heterogeneous supershear earthquake rupture propagation: Simulations and comparison with observations

We study how heterogeneous rupture propagation affects the coherence of shear and Rayleigh Mach wavefronts radiated by supershear earthquakes. We address this question using numerical simulations of ruptures on a planar, vertical strike-slip fault embedded in a three-dimensional, homogeneous, linear elastic half-space. Ruptures propagate spontaneously in accordance with a linear slip-weakening friction law through both homogeneous and heterogeneous initial shear stress fields. In the 3-D homogeneous case, rupture fronts are curved owing to interactions with the free surface and the finite fault width; however, this curvature does not greatly diminish the coherence of Mach fronts relative to cases in which the rupture front is constrained to be straight, as studied by Dunham and Bhat (2008a). Introducing heterogeneity in the initial shear stress distribution causes ruptures to propagate at speeds that locally fluctuate above and below the shear wave speed. Calculations of the Fourier amplitude spectra (FAS) of ground velocity time histories corroborate the kinematic results of Bizzarri and Spudich (2008a): (1) The ground motion of a supershear rupture is richer in high frequency with respect to a subshear one. (2) When a Mach pulse is present, its high frequency content overwhelms that arising from stress heterogeneity. Present numerical experiments indicate that a Mach pulse causes approximately an ω −1.7 high frequency falloff in the FAS of ground displacement. Moreover, within the context of the employed representation of heterogeneities and over the range of parameter space that is accessible with current computational resources, our simulations suggest that while heterogeneities reduce peak ground velocity and diminish the coherence of the Mach fronts, ground motion at stations experiencing Mach pulses should be richer in high frequencies compared to stations without Mach pulses. In contrast to the foregoing theoretical results, we find no average elevation of 5%-damped absolute response spectral accelerations (SA) in the period band 0.05–0.4 s observed at stations that presumably experienced Mach pulses during the 1979 Imperial Valley, 1999 Kocaeli, and 2002 Denali Fault earthquakes compared to SA observed at non-Mach pulse stations in the same earthquakes. A 20% amplification of short period SA is seen only at a few of the Imperial Valley stations closest to the fault. This lack of elevated SA suggests that either Mach pulses in real earthquakes are even more incoherent that in our simulations or that Mach pulses are vulnerable to attenuation through nonlinear soil response. In any case, this result might imply that current engineering models of high frequency earthquake ground motions do not need to be modified by more than 20% close to the fault to account for Mach pulses, provided that the existing data are adequately representative of ground motions from supershear earthquakes.

Journal of Geophysical Research B: Solid Earth↗

The coral reef of South Moloka'i, Hawai'i— Portrait of a sediment-threatened fringing reef

Moloka‘i, with the most extensive coral reef in the main Hawaiian Islands, is especially sacred to Hina, the Goddess of the Moon. As Hinaalo, she is the Mother of the Hawaiian people; as Hinapuku‘a, she is the Goddess of Fishermen; and in the form Hina‘opuhalako‘a, she is the Goddess who gave birth to coral, coral reefs, and all spiny marine organisms. Interdependence between the reef’s living resources, the people, and their cosmology was the basis for management of Moloka‘i’s coastal waters for over a thousand years. The ancient residents of Moloka‘i built the greatest concentration of fishponds known anywhere, but their mastery of mariculture, something needed now more than ever, was lost after near genocide from exotic Western diseases. Subsequent destruction of the native vegetation for exotic cattle, goats, pigs, sugar cane, and pineapple caused soil erosion and sedimentation on the reef flat. This masterful volume clearly documents that soil washing into the sea is the major threat to the reef today. Abandoned fishponds, choked with sediment, now act as barriers and mud traps, making damage to corals less than it would otherwise would have been. The role of mud and freshwater from land in preventing coral reef growth, clearly articulated in Charles Darwin’s first book, The Structure and Distribution of Coral Reefs, is the major theme of this book. All around the tropics, coral reefs have died from huge increases in terrestrial sedimentation that resulted from destruction of hillside forests for cash-crop agriculture and pastures in the colonial era, especially in Latin America, Asia, and the islands of the Caribbean and Indo-Pacific. It is obvious that one cannot manage the coastal zone as a unit separate from the watersheds that drain into it. Yet there has been surprisingly little comprehensive scientific study of these impacts. In this landmark volume, U.S. Geological Survey researchers and their colleagues have developed and applied a remarkably integrated approach to the reefs of Moloka‘i, combining geology, oceanography, and biology to provide an in-depth understanding of the processes that have made these reefs grow and that now limit them. They have joined old fashioned natural history of marine animals and plants with study of the geological evolution of the island, hydrology, meteorology, and land-use history, to an arsenal of new methods of remote sensing, including aerial photography, laser ranging, infrared thermal mapping, seismic reflection, in-situ instrumentation to measure chemical parameters of water quality, and direct measurements of the physical driving forces affecting them—such as wave energy, currents, sedimentation, and sediment transport. They provide a level of documentation and insight that has never been available for any reef before. A remarkable feature of this book is that it is aimed at the people of Moloka‘i to inform them of what is happening to their reef and what they might do to preserve their vital resources. The scientific data and interpretations are expressed in unusually clear and comprehensible language, free of the professional jargon that makes most technical publications impenetrable to the public that most needs to know about them, yet without loss of scientific rigor. Here readers will see clearly explained the whole path of soil loss, from the impacts of wild pigs and goats at higher elevations, deforestation of the hills for cattle pasture at lower levels, and denudation of low lands for cash crops. The resulting biological impoverishment has bared the soils, which wash away in flash storms, smothering the inshore reefs, whose growth was already limited because they had grown right up to sea level. The data in this book show that the mud doesn’t get far if it is washed into the sea during a big storm with heavy waves. Afterwards this mud keeps getting stirred up by every succeeding storm, spreading and affecting corals over wider areas until it is finally washed out of the system—and that only happens if there is no more new mud washing onto the reef. I saw this myself a few years ago in Pila‘a Bay on Kaua‘i, where a bulldozed hillside of abandoned sugar cane fields had slumped right on top of a coral reef following exceptional rains. Years later, the algae species were zoned in a way that clearly mapped the distribution of nutrients washed into the bay, most likely from fertilizers bound to the eroded soils. That pattern closely mimics, on a small scale, that shown in Moloka‘i in this volume, where the inner reef is covered with algae, zoned by species in a way that points to land-based sources of nutrients, while the outermost reef slope is still coral dominated, and the deep algae seem to indicate deep-water nutrient upwelling. What of the future? The Hawaiian Islands have been exceptionally fortunate to be spared the worst coral heatstroke death from high temperatures, at least to date. So far, the worst global warming impacts have luckily been small in this region, and the small number of people on Moloka‘i has kept population densities, and sewage pollution, low compared to the more developed islands. Nutrients from years of sugar and pineapple fertilization, and the washing of this soil onto the reefs, show clear influences on the pattern of algae on the reef. Even at very low levels of nutrients, well below that which drives algae to smother and kill coral reefs, more algae is present. Soil erosion control is therefore the key to better management of both nutrients and turbidity on Moloka‘i reefs. To that end land management actions mentioned in this book, such as suppressing wild fires and eliminating wild goats and pigs, could be made even more effective if supplemented by active erosion control using plants whose roots bind the soil effectively in place. Through all of these efforts, Hina and the people of Moloka‘i could be happy again!

Hawaii↗

Investigating different mechanisms for biogenic selenite transformations: Geobacter sulfurreducens , Shewanella oneidensis and Veillonella atypica

The metal-reducing bacteria Geobacter sulfurreducens, Shewanella oneidensis and Veillonella atypica, use different mechanisms to transform toxic, bioavailable sodium selenite to less toxic, non-mobile elemental selenium and then to selenide in anaerobic environments, offering the potential for in situ and ex situ bioremediation of contaminated soils, sediments, industrial effluents, and agricultural drainage waters. The products of these reductive transformations depend on both the organism involved and the reduction conditions employed, in terms of electron donor and exogenous extracellular redox mediator. The intermediary phase involves the precipitation of elemental selenium nanospheres and the potential role of proteins in the formation of these structures is discussed. The bionanomineral phases produced during these transformations, including both elemental selenium nanospheres and metal selenide nanoparticles, have catalytic, semiconducting and light-emitting properties, which may have unique applications in the realm of nanophotonics. This research offers the potential to combine remediation of contaminants with the development of environmentally friendly manufacturing pathways for novel bionanominerals. ?? 2009 Taylor & Francis.

Environmental Technology↗

The overlooked terrestrial impacts of mountaintop mining

Ecological research on mountaintop mining has been focused on aquatic impacts because the overburden (i.e., the mountaintop) is disposed of in nearby valleys, which leads to a wide range of water-quality impacts on streams. There are also numerous impacts on the terrestrial environment from mountaintop mining that have been largely overlooked, even though they are no less wide ranging, severe, and multifaceted. We review the impacts of mountaintop mining on the terrestrial environment by exploring six broad themes: (1) the loss of topographic complexity, (2) forest loss and fragmentation, (3) forest succession and soil loss, (4) forest loss and carbon sequestration, (5) biodiversity, and (6) human health and well-being.

BioScience↗

Characterization of the partial oxidation products of crude oil contaminating groundwater at the U.S. Geological Survey Bemidji research site in Minnesota by elemental analysis, radiocarbon dating, nuclear magnetic resonance spectroscopy, and Fourier transform ion cyclotron resonance mass spectrometry

In oil spill research, a topic of increasing attention during the last decade has been the environmental impact of the partial oxidation products that result from transformation of the petroleum in freshwater, marine, and terrestrial ecosystems. This report describes the isolation and characterization of the partial oxidation products from crude oil contaminating groundwater at the long-term U.S. Geological Survey Bemidji research site in Minnesota. As the result of a pipeline burst in August 1979, a body of light aliphatic crude oil is present from the land surface to 2 meters below the water table in a shallow sand and gravel aquifer in a remote area outside Bemidji, Minnesota, United States. Biodegradation has resulted in the formation of a plume of dissolved organic carbon (DOC) downgradient from the oil body. Groundwater has also been contaminated in an area known as the spray zone, from vertical infiltration of DOC resulting from biodegradation of oil in the soil column, and possibly from photooxidation of oil at the soil surface. The majority of DOC in the contaminated groundwater is in the form of nonvolatile organic acids (NVOAs) which represent the partial oxidation products of the crude oil constituents. The NVOAs have been classified into three fractions according to their isolation on XAD resins: hydrophobic neutrals (HPON), hydrophobic acids (HPOA), and hydrophilic acids (HPIA). These fractions of NVOAs were isolated from wells downgradient from the oil body (sampling well numbers 533, 532, 530, 515), in the spray zone (603), and from an uncontaminated well upgradient of the oil body (310) between the years 1986 and 1989, and again from wells 530 and 603 in 1998. The samples have been characterized by elemental analysis, radiocarbon dating, carbon-13 nuclear magnetic resonance spectroscopy ( 13 C NMR), and negative-mode (-) electrospray ionization Fourier transform ion cyclotron resonance mass spectrometry (ESI FTICR-MS), with a particular focus on fractions from wells 310, 530, and 603. All the characterization data indicate that the NVOAs from contaminated wells are distinguishable from the background DOC. Carbon-14 ( 14 C) ages of NVOAs from contaminated wells ranged from 3,615 to 18,985 years before the present, whereas the background DOC from the aquifer was post-bomb (post 1950). By elemental analysis, NVOAs from contaminated wells had higher sulfur but lower nitrogen contents than the background. By electrospray ionization Fourier transform ion cyclotron resonance mass spectrometry, number average molecular weights determined from assigned molecular formulas ranged from 416 to 486 daltons for the HPOA and HPIA fractions from both background and contaminant wells. NVOAs from contaminated wells had significantly greater numbers of assigned molecular formulas containing sulfur, with elevated concentrations of the S 1 O 4-10 species in particular. Compared to the background, HPOA and HPIA fractions from contaminant wells had a broader range of double bond equivalents (DBEs) within O n compound classes (n is number of atoms). Additionally, within O n compound classes, contaminant well HPOA fractions had a greater abundance of lower n (less than eight) than the background. Contaminant well double bond equivalents versus carbon number (C # ) plots of oxygen compound classes suggest oil-derived aliphatic compounds in the range from C 12 to C 22 in HPOA and HPIA fractions and oil-derived compounds containing aromatic or saturated rings in the approximate range from C 20 to C 30 are present in HPOA fractions. The data suggest the NVOAs originate from biodegradation of several classes of C 12 and greater crude oil constituents: sulfur-containing constituents, including possibly the resins and asphaltenes; constituents containing aromatic rings substituted with methyl groups, including alkylaromatic and naph- thenoaromatic compounds, and C 12 to C 22 alkyl constituents. The overall similarities of the carbon-13 nuclear magnetic resonance spectra for the well 603 and 530 samples from the two sampling dates suggest that a steady state in the composition of the partial oxidation products in each of the two wells had been reached between 1986–1989 and 1998.

Minnesota↗

Land-Cover Trends of the Central Basin and Range Ecoregion

The U.S. Geological Survey (USGS) Land Cover Trends research project is focused on understanding the amounts, rates, trends, causes, and implications of contemporary land-use and land-cover (LU/LC) change in the United States. This project is supported by the USGS Geographic Analysis and Monitoring Program in collaboration with the U.S. Environmental Protection Agency (EPA) and the National Aeronautics and Space Administration (NASA). LU/LC change is a pervasive process that modifies landscape characteristics and affects a broad range of socioeconomic, biologic, and hydrologic systems. Understanding the impacts and feedbacks of LU/LC change on environmental systems requires an understanding of the rates, patterns, and driving forces of past, present, and future LU/LC change. The objectives of the Land Cover Trends project are to (1) determine and describe the amount, rates, and trends of contemporary LU/LC change by ecoregion for the period 1973-2000 for the conterminous United States, (2) document the causes, driving forces, and implications of change, and (3) synthesize individual ecoregion results into a national assessment of LU/LC change. The Land Cover Trends research team includes staff from the USGS National Center for Earth Resources Observation and Science (EROS), Rocky Mountain Geographic Science Center, Eastern Geographic Science Center, Mid-Continent Geographic Science Center, and the Western Geographic Science Center. Other partners include researchers at South Dakota State University, University of Southern Mississippi, and State University of New York College of Environmental Science and Forestry. This report presents an assessment of LU/LC change in the Central Basin and Range ecoregion for the period 1973-2000. The Central Basin and Range ecoregion is one of 84 Level-III ecoregions as defined by the Environmental Protection Agency. Ecoregions have served as a spatial framework for environmental resource management and to denote areas that contain a geographically distinct assemblage of biotic and abiotic phenomena including geology, physiography, vegetation, climate, soils, land use, wildlife, and hydrology. The established Land Cover Trends methodology generates estimates of LU/LC change using a probability sampling approach and change-detection analysis of thematic land-cover images derived from Landsat satellite imagery.

Scientific Investigations Report↗

Coastal mapping programs at the U.S. Fish and Wildlife Service's National Wetlands Research Center

Over the past 10 years, the U.S. Fish and Wildlife Service's (FWS) National Wetlands Research Center (center; formerly the National Coastal Ecosystems Team) has been continuously involved in the production of maps for use by coastal decision makers. The types of maps produced by the center have been national, regional, or local in scope depending on user needs. Map scales have ranged from 1:24,000 to 1:250,000. Themes depicted have included biological resources, including wetlands and seagrasses; upland habitat or land use; water resources such as water quality, bathymetry, and salinity; cultural features such as ownership, archaeological sites, and dredge-spoil disposal areas; and soils and landforms. We present overviews on the various mapping programs of the center. We highlight efforts such as the ecological inventories of the Atlantic, Gulf, and Pacific coasts; the ecological characterization atlases of the Gulf of Mexico; and the large scale (1:24,000) habitat maps of various coastal regions of the United States. Center methods and techniques are discussed, including the collaborative efforts between the center and FWS's National Wetlands Inventory for updating wetland maps and adding upland and seagrass bed delineations to inventory maps. We also make recommendations for future coastal ecosystem mapping programs that use conventional and automated mapping methodologies, such as geographic information systems and image processing.

Biological Report↗

Identifying multiple timescale rainfall controls on Mojave Desert ecohydrology using an integrated data and modeling approach for Larrea tridentata

The perennial shrub Larrea tridentata is widely successful in North American warm deserts but is also susceptible to climatic perturbations. Understanding its response to rainfall variability requires consideration of multiple timescales. We examine intra-annual to multi-year relationships using model simulations of soil moisture and vegetation growth over 50 years in the Mojave National Preserve in southeastern California (USA). Ecohydrological model parameters are conditioned on field and remote sensing data using an ensemble Kalman filter. Although no specific periodicities were detected in the rainfall record, simulated leaf-area-index exhibits multi-year dynamics that are driven by multi-year (∼3-years) rains, but with up to a 1-year delay in peak response. Within a multi-year period, Larrea tridentata is more sensitive to winter rains than summer. In the most active part of the root zone (above ∼80 cm), >1-year average soil moisture drives vegetation growth, but monthly average soil moisture is controlled by root uptake. Moisture inputs reach the lower part of the root zone (below ∼80 cm) infrequently, but once there they can persist over a year to help sustain plant growth. Parameter estimates highlight efficient plant physiological properties facilitating persistent growth and high soil hydraulic conductivity allowing deep soil moisture stores. We show that soil moisture as an ecological indicator is complicated by bidirectional interactions with vegetation that depend on timescale and depth. Under changing climate, Larrea tridentata will likely be relatively resilient to shorter-term moisture variability but will exhibit higher sensitivity to shifts in seasonal to multi-year moisture inputs.

California↗

Geochemical evidence for seasonal controls on the transportation of Holocene loess, Matanuska Valley, southern Alaska, USA

Loess is a widespread Quaternary deposit in Alaska and loess accretion occurs today in some regions, such as the Matanuska Valley. The source of loess in the Matanuska Valley has been debated for more than seven decades, with the Knik River and the Matanuska River, both to the east, being the leading candidates and the Susitna River, to the west, as a less favorable source. We report here new stratigraphic, mineralogic, and geochemical data that test the competing hypotheses of these river sources. Loess thickness data are consistent with previous studies that show that a source or sources lay to the east, which rules out the Susitna River as a source. Knik and Matanuska River silts can be distinguished using Sc–Th–La, La N /Yb N vs. Eu/Eu ∗ , Cr/Sc, and As/Sb. Matanuska Valley loess falls clearly within the range of values for these ratios found in Matanuska River silt. Dust storms from the Matanuska River are most common in autumn, when river discharge is at a minimum and silt-rich point bars are exposed, wind speed from the north is beginning to increase after a low-velocity period in summer, snow depth is still minimal, and soil temperatures are still above freezing. Thus, seasonal changes in climate and hydrology emerge as critical factors in the timing of aeolian silt transport in southern Alaska. These findings could be applicable to understanding seasonal controls on Pleistocene loess accretion in Europe, New Zealand, South America, and elsewhere in North America.

Alaska↗

Athena Microscopic Imager investigation

The Athena science payload on the Mars Exploration Rovers (MER) includes the Microscopic Imager (MI). The MI is a fixed‐focus camera mounted on the end of an extendable instrument arm, the Instrument Deployment Device (IDD). The MI was designed to acquire images at a spatial resolution of 30 microns/pixel over a broad spectral range (400–700 nm). The MI uses the same electronics design as the other MER cameras but has optics that yield a field of view of 31 × 31 mm across a 1024 × 1024 pixel CCD image. The MI acquires images using only solar or skylight illumination of the target surface. A contact sensor is used to place the MI slightly closer to the target surface than its best focus distance (about 66 mm), allowing concave surfaces to be imaged in good focus. Coarse focusing (∼2 mm precision) is achieved by moving the IDD away from a rock target after the contact sensor has been activated. The MI optics are protected from the Martian environment by a retractable dust cover. The dust cover includes a Kapton window that is tinted orange to restrict the spectral bandpass to 500–700 nm, allowing color information to be obtained by taking images with the dust cover open and closed. MI data will be used to place other MER instrument data in context and to aid in petrologic and geologic interpretations of rocks and soils on Mars.

Journal of Geophysical Research E: Planets↗

Hydrologic dynamics of ephemerally flooded playas in a dryland environment

Ephemerally flooded playas are common in the southwestern United States and globally in drylands. Often formed in closed basins, playas are depressions which inundate infrequently from local precipitation and streamflow produced near the playa or from upland areas. Few studies have quantified the hydrologic connectivity between upland catchments and playas using observations. Here, we used rain gauge-corrected precipitation from weather radar and water level measurements in 18 playas of the Chihuahuan Desert to identify precipitation thresholds leading to playa inundation over a 6.4-year period. Geospatial data sets on topography, soil properties, and vegetation cover were employed to determine the controls on inundation. Only 9.4% of all precipitation events above 1 mm led to inundation, with 69.8% of all inundations occurring during the North American monsoon (NAM, July-September). Mean and standard deviations (Std) of runoff ratios at all playas were 2.74 ± 4.08% and 3.29 ± 5.19% for annual and NAM periods. At the annual scale, playa inundation occurred when mean precipitation thresholds of 18.3 ± 7.5 mm (event total) and 12.0 ± 4.5 mm/hr (60-min intensity) were exceeded. Across all playas, inundation occurrence and volume were related most strongly to precipitation metrics and catchment area, with secondary controls of soil and terrain properties. The explanatory power of the derived regressions describing the inundation response across the playas were significantly improved when considering their geological origin. As a result, the inundation response classification system could be applied to ephemeral playas in other arid and semiarid landscapes.

New Mexico↗

Conductive heat flows in research drill holes in thermal areas of Yellowstone National Park, Wyoming

In convection systems with boiling springs, geysers, fumaroles, and other thermal features, the modes of heat flow become increasingly complex as a single liquid phase at depth rises into the near-surface environment where heat flows by convection of liquid and vapor and by conduction in high thermal gradients. This paper is mainly concerned with the changing patterns of conductive heat flow as related to channels of subsurface convective flow and to horizontal distance from spring vents. The primary data consist of temperatures measured in 13 cored drill holes as drilling progressed. Some temperatures plot convincingly on straight-line segments that suggest conductive gradients in rocks of nearly constant thermal conductivity. Temperature gradients and the conductive component of total heat flow nearly always decrease drastically downward; the gradient and heat flow of the lowest depth interval recognized in each hole is commonly only about 10 percent of the highest interval; the changes in gradient at interval boundaries are commonly interpreted as channels of near-boiling water or of cooler meteoric water. Temperature reversals are probably related to inflowing cooler water rather than to transient effects from recent changes. Some temperatures plot on curved segments that probably indicate dispersed convective upflow and boiling of water in ground penetrated by the drill hole. Other similar curved segments are too low in temperature for local boiling and are probably on the margins of hot upflow zones, reflecting conductive cooling of flowing water. The conifers of Yellowstone National Park (mainly lodgepole pine) seem to have normal growth characteristics where near-surface conductive heat flow is below about 200 heat-flow units (1 HFU = 10 -6 cal/cm 2 = 41.8 mW/m 2 ). Most areas of abnormal "stunted" trees (low ratio of height to base diameter, and low density of spacing) are characterized by conductive heat flows of about 250 to 350 HFU. The critical factor affecting growth is probably the seasonal maximum soil temperature at the root depths preferred by each form, rather than the heat flow as such. Heat flows up to 300 HFU are greatly dominated near the surface by conduction and are little affected by convection within the measured intervals. With increasing total heat flow above 300 HFU, the convection component, as indicated by snowfall calorimetry, becomes increasingly important. Snowfall calorimetry and tree growth as related to heat flow are calibrated by the heat-flow data considered here. Both snowfall calorimetry and tree growth patterns can be extrapolated rapidly, although without high precision, to thermal areas that lack subsurface data.

Wyoming↗

Land resource information needs of county government : a case study in Larimer County, Colorado

My two colleagues on the study team, Rex Burns of the Larimer County Planning Department, and Glenn McCarty of the Fort Collins office of the Soil Conservation Service, contributed substantially to this report; many of their written words have found their way directly into the text. Jill O'Gara later replaced Rex Burns as the Larimer County coordinator in the study's final stages. John Rold, Colorado State Geologist, assisted in coordinating our efforts at the beginning of this study. Lou Campbell, State Cartographer, gave valuable advice and assistance throughout the effort. Wallace Hansen and James Blakey of the USGS Geologic and Water Resources Divisions, respectively, read the final manuscript and helped in many other ways. Joanna Trolinger served as research assistant and manuscript typist. Many others in the USGS, SCS, and other organizations helped in supplying information and advice. Tom Bates, then Chairman of the USGS Central Region Earth Science Applications Task Force, was the originator of the study, leader of the USGS participation effort, and guiding inspiration throughout. The study was carried out in association with the Program on Environment and Behavior, Institute of Behavioral Science, University of Colorado, Boulder.

Open-File Report↗

Temperature impacts on the water year 2014 drought in California

California is experiencing one of the worst droughts on record. Here we use a hydrological model and risk assessment framework to understand the influence of temperature on the water year (WY) 2014 drought in California and examine the probability that this drought would have been less severe if temperatures resembled the historical climatology. Our results indicate that temperature played an important role in exacerbating the WY 2014 drought severity. We found that if WY 2014 temperatures resembled the 1916–2012 climatology, there would have been at least an 86% chance that winter snow water equivalent and spring-summer soil moisture and runoff deficits would have been less severe than the observed conditions. We also report that the temperature forecast skill in California for the important seasons of winter and spring is negligible, beyond a lead-time of one month, which we postulate might hinder skillful drought prediction in California.

California↗