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A geologic history of the north-central Appalachians, part 3. The Alleghany orogeny

The north-central Appalachians occupy a critical position within the 3000+ km-long Appalachian orogen, lying southwest of the boundary between the central and northern Appalachians (CNAB). The one-billion-year-long history of tectonic activity in eastern Laurentia includes the creation and evolution of the Appalachian orogen during the Paleozoic and the Mesozoic transformation of the orogen into a passive margin during Pangea's disassembly. A most important ingredient in the evolution of the orogen was the Alleghany orogeny, which was driven by the convergence and collision between Laurentia (Laurussia) and West Gondwana (Africa). The Alleghany orogeny in the central and southern Appalachians was a decollement tectonism that involved a larger part of eastern Laurentia than had the previous three orogenies. The fundamental element was a very low-angle thrust (decollement) that originated in mid-crustal levels east of the presently-exposed Appalachians and rose westwardly to progressively higher levels in the upper crust and the supra-crustal Paleozoic section. Alleghany deformation was widely developed in the hanging-wall block (allochthon), primarily in the form of thrust faults and fold-and-thrust structures, both of which splayed upward from the basal decollement. The youngest manifestations of the Alleghany orogeny were northeast-trending strike-slip faults and dextral shear zones in the Piedmont. In the north-central Appalachians, the exposed allochthon consists of two parts: the sedimentary externides (Appalachian Plateau and Valley and Ridge provinces) and the crystalline externides (Reading Prong, Blue Ridge belt, and Piedmont province). Long, thrust-cored anticlines predominate in the sedimentary externides. A widespread layer-parallel shortening preceded the folding; it is largely coaxial with the folding but extends considerably farther to the northwest toward the craton. It is hypothesized that the folding developed in reverse order, sequentially from the northwest to the southeast. The crystalline externides are dominated by low-angle thrust faults and upright folds trending east-northeast. The first-order Valley and Ridge folds on the northwest side acted as a buttress and diverted the crystalline externides rocks north-northwestwardly, onto the topographic low area over the Anthracite region. This thrusting of the crystalline externides caused anthracitization of the coals within the Pennsylvanian rocks there. Metamorphism and magmatism were significant events during the earlier phase of the Alleghany orogeny in the southern Appalachians. Whatever magmatism and medium-to high-grade metamorphism developed in the north-central Appalachians are in the covered internides to the southeast. The Alleghany orogeny of the north-central Appalachians occurred during the Early Permian. Erosion of anticlinal crests probably began as the folds grew, with accumulation of this locally-derived sediment in the intervening synclines. A regional alluvial plain coalesced above the partially-eroded externides structures as erosion of the pre-Alleghany highland and the Alleghany hinterland mountains continued to the southeast, spreading sediment to the northwest. This erosion and northwest transport probably persisted, with diminishing intensity, throughout the remainder of the Permian and into the Mesozoic, and changed only with the beginning of crustal extension during the Late Triassic.

American Journal of Science↗

Calibration of the Stream Salmonid Simulator (S3) model to estimate annual survival, movement, and food consumption by juvenile Chinook salmon (Oncorhynchus tshawytscha) in the restoration reach of the Trinity River, California, 2006–18

Executive Summary The Trinity River is managed in two sections: (1) from the upper 64-kilometer “restoration reach” downstream from Lewiston Dam to the confluence with the North Fork Trinity River, and (2) the 120-kilometer lower Trinity River downstream from the restoration reach. The Stream Salmonid Simulator (S3) has been previously applied to these reaches and the Klamath River. To estimate fish growth, past S3 calibration efforts in the Trinity and Klamath Rivers used maximum likelihood methods that considered only the abundance of juvenile Chinook salmon ( Oncorhynchus tshawytscha ) passing a fish trap to estimate survival and movement parameters, but not fish consumption. Previous calibrations did not estimate the average proportion of maximum consumption ( C y ) when estimating survival ( S y ) and movement ( M 0 y ) parameters across years ( y ) of data, but because no other information was available in the literature a fixed value of C y =0.66 was assumed. Therefore, the goal of this report is to present an alternative approach that calibrates the S3 model to multivariate data (that is, abundance and size), enabling the estimation of the average proportion of maximum consumption, in conjunction with survival and movement parameters for a particular migration year. We fit the S3 model to individual years of weekly trap abundance estimates and mean fish sizes (fork length) at the Pear Tree Gulch (hereafter referred to as Pear Tree) fish trap representing the restoration reach. We used the Earth Mover’s Distance (EMD) as the objective value to be minimized in parameter optimization. This approach estimated survival, movement, and consumption parameters for each migration year. Because we had information on the abundance of natural and hatchery produced juvenile salmon at the fish traps, we estimated survival and movement for natural and hatchery fish. S3 is a deterministic life-stage-structured population model that tracks daily growth, movement, and survival of juvenile Chinook Salmon. A key theme of the model is that river discharge affects habitat availability and capacity, which in turn drives density-dependent population dynamics. To explicitly link population dynamics to habitat quality and quantity, the river environment is constructed as a one-dimensional series of linked habitat units, each of which has an associated daily timeseries of discharge, water temperature, and useable habitat area or carrying capacity. In turn, the physical characteristics of each habitat unit and the number of fish occupying each unit drive survival and growth within each habitat unit and movement of fish among habitat units. The physical template of the restoration reach of the Trinity River was classified into 356 meso-habitat units comprised of runs, riffles, and pools. For each habitat unit, we developed a timeseries of daily discharge, water temperature, amount of available spawning habitat, and fry and parr carrying capacity. Capacity time series were constructed using state-of-the-art models of spatially explicit hydrodynamics and quantitative fish habitat relationships developed for the Trinity River. These variables were then used to drive population dynamics such as egg maturation and survival, and in turn, juvenile movement, growth, and survival. We estimated movement, survival, and consumption parameters by calibrating the model to 12 years of weekly juvenile abundance estimates and fish sizes at the Pear Tree fish trap near the downstream end of the restoration reach. We estimated parameters for 12 years that included a wide range of female spawner abundances (1,414–11,494) and water year types (critically dry–extremely wet). We contrast the estimated parameters to the corresponding number of female spawners and the total annual volume of water discharged for the Trinity River (Trinity River Restoration Program; https://www.trrp.net/restoration/flows/summary/ ). The calibration consisted of replicating historical conditions as closely as possible (for example, discharge; temperature; spawner abundance, spawning location and timing, and hatchery releases), and then running the model to predict weekly abundance passing the trap location from each brood year of adults and subsequent migration year of their juvenile progeny. Because density-dependent movement was favored in past evaluations, we estimated S3 parameters based on density-independent survival and density-dependent movement. Likewise, each year’s estimated survival parameter for natural ( S N y ) and hatchery ( S H y ) fish may be interpreted as the mean daily survival probability from emergence or hatchery release to the Pear Tree fish trap. Under density dependence, the estimated movement parameter for natural ( M 0N y ) and hatchery ( M 0H y ) fish represents the intercept of the Beverton-Holt model; the probability of remaining in a habitat at near-zero abundance. We estimated C y by using EMD and incorporating abundance and fish size into model calibration. Average daily proportions of maximum consumption, , across the years were generally high (=0.640; standard deviation (SD) SD=0.176), suggesting that fish were feeding at about two-thirds of expected maximum consumption rates. This average proportion of maximum consumption,is very similar to what has been assumed (=0.66) in previous Trinity and Klamath River S3 calibration and simulation efforts. In 2017, we estimated the lowest C y , suggesting lower average consumption for juvenile salmon in high-discharge water years. When this high discharge year was excluded, there was no apparent trend in C y with annual water volume. Estimates of survival showed little trend over the range in spawner abundances, but a trend towards higher natural and hatchery fish survival with higher annual volumes of water was apparent. Over the 12 years, the average survival of hatchery fish was =0.888 (SD=0.079) and the average survival natural fish was=0.969 (SD=0.01). With respect to fish movement, we estimated higher M 0N y and M 0H y with higher annual volumes of water in the Trinity River. Higher M N0 y or M H0 y suggest greater probability of remaining in a habitat at low fish densities, with potential for density-dependent processes in movement to occur. The highest M 0N y = 0.676 was estimated during brood year 2012, and the overall average for natural fish was =0.276 (SD=0.188) and for hatchery fish was=0.467 (SD=0.235). Under the Beverton-Holt model, as M 0N y or M 0H y approach zero, there is less capacity for change in fish movement as fish density increases. The S3 model was initialized with only the spatiotemporal distribution of spawners, so it performed well at capturing the essential outmigration features that are ultimately governed by rates of growth, movement, and mortality. We used a new optimization method that could accommodate multivariate data on abundance and fish size collected at the Pear Tree fish trap, enabling the calibration of S3 to estimate five parameters for 12 separate years of data. Incorporating weekly fish size data for each year in our parameter optimization process made the estimation of C y possible and represents a step forward in the fitting of the S3 model to fish trap data for the purposes of parameter calibration and the estimation of growth parameters with respect to annual conditions. We identified lack of fit and adding important effects into the S3 model may improve the S3 estimation and simulation of water scenarios. The Trinity River Restoration Program (TRRP) Science Advisory Board recommended that the TRRP focus on developing core elements of a decision support system (DSS; Buffington and others, 2014). Toward that end, the habitat and S3 models described in this report are both core elements of the DSS. The structure of S3 makes it a particularly useful fish production model for the DSS because population dynamics are sensitive to (1) water temperature, (2) daily discharge management, and (3) habitat quality and quantity. Each of these variables are key management parameters under consideration in the TRRP. As such, the S3 model may provide valuable insights into the potentially variable effects of different management decisions on the Trinity River.

California↗

Temporal genetic monitoring of hybridization between native westslope cutthroat trout and introduced rainbow trout in the Stehekin River, Washington

Introgressive hybridization with introduced rainbow trout (RBT) ( Oncorhynchus mykiss ) has led to the loss of native cutthroat trout species ( O. clarkii ) throughout their range, creating conservation concerns. Monitoring temporal hybridization trends provides resource managers with a tool for determining population status and information for establishing conservation goals for native cutthroat trout. In this study, we re-sampled six locations in 2010 within the Stehekin River watershed, North Cascades National Park, which were originally sampled between 1999 and 2003. We used genetic markers to monitor changes in hybridization levels between sampling periods in the native westslope cutthroat trout (WCT) ( O. c. lewisi ) stemming from past RBT introductions. Additionally, two new locations from the lower Stehekin drainage were added to the baseline data. We found that the frequency of WCT, RBT, and their hybrids was not significantly different between monitoring periods, but that RBT allele frequencies decreased in two locations and increased in one location. We also found a consistent, substantial reduction in the frequency of RBT alleles over the monitoring period in the Stehekin River upstream of Bridge Creek (SR3) compared to the Stehekin River downstream of Bridge Creek (SR1 -2) and within lower Bridge Creek (BR1) although these three locations are confined to a small geographic area (approximately 5 km). Ecological and/or evolutionary processes likely restrict the dispersal of RBT alleles in the Stehekin River upstream of Bridge Creek.

Washington↗

Changes in the nearshore and offshore zooplankton communities in Lake Ontario: 1981-88

We examined trends and factors influencing changes in nearshore and offshore zooplankton abundance and composition in Lake Ontario between 1981 and 1988. In the nearshore (southshore and eastern basin), zooplankton abundance decreased and shifts occurred in the relative abundances of Bosmina longirostris and Daphnia retrocurva (eastern basin) and Daphnia retrocurva and Daphnia galeata mendotae (southshore). These changes could have resulted from increased vertebrate predation or reduced food resources which intensified the effects of predation. In the offshore, the first appearance (FA) of the larger, less common cladoceran species occurred earlier in the season as of 1985. FA was correlated with cumulative epilimnetic temperature (CET) and the catch per unit effort (CPUE) of alewife (Alosa pseudoharengus) a?Y165 mm caught in U.S. waters in the spring. In 1987, when CET was high and CPUE of alewife a?Y165 mm was low, large populations of these cladocerans developed in June and July. Bythotrephes cederstroemi, a recent invader in the Great Lakes, was abundant only in 1987 when the CPUE of alewife was lowest. Changes in zooplankton abundance, development, and composition along the nearshore-offshore gradient reflected effects of temperature, habitat, and planktivory on the community.

Canadian Journal of Fisheries and Aquatic Sciences↗

Decadal trends in marine reserves reveal differential rates of change in direct and indirect effects

Decadal-scale observations of marine reserves suggest that indirect effects on taxa that occur through cascading trophic interactions take longer to develop than direct effects on target species. Combining and analyzing a unique set of long-term time series of ecologic data in and out of fisheries closures from disparate regions, we found that the time to initial detection of direct effects on target species (+ or -SE) was 5.13 + or - 1.9 years, whereas initial detection of indirect effects on other taxa, which were often trait mediated, took significantly longer (13.1 + or - 2.0 years). Most target species showed initial direct effects, but their trajectories over time were highly variable. Many target species continued to increase, some leveled off, and others decreased. Decreases were due to natural fluctuations, fishing impacts from outside reserves, or indirect effects from target species at higher trophic levels. The average duration of stable periods for direct effects was 6.2 + or - 1.2 years, even in studies of more than 15 years. For indirect effects, stable periods averaged 9.1 + or - 1.6 years, although this was not significantly different from direct effects. Populations of directly targeted species were more stable in reserves than in fished areas, suggesting increased ecologic resilience. This is an important benefit of marine reserves with respect to their function as a tool for conservation and restoration.

Proceedings of the National Academy of Sciences↗

The mid-cretaceous water bearer: Isotope mass balance quantification of the Albian hydrologic cycle

A latitudinal gradient in meteoric ??18O compositions compiled from paleosol sphaerosiderites throughout the Cretaceous Western Interior Basin (KWIB) (34-75??N paleolatitude) exhibits a steeper, more depleted trend than modern (predicted) values (3.0??? [34??N latitude] to 9.7??? [75??N] lighter). Furthermore, the sphaerosiderite meteoric ??18O latitudinal gradient is significantly steeper and more depleted (5.8??? [34??N] to 13.8??? [75??N] lighter) than a predicted gradient for the warm mid-Cretaceous using modern empirical temperature-??18O precipitation relationships. We have suggested that the steeper and more depleted (relative to the modern theoretical gradient) meteoric sphaerosiderite ??18O latitudinal gradient resulted from increased air mass rainout effects in coastal areas of the KWIB during the mid-Cretaceous. The sphaerosiderite isotopic data have been used to constrain a mass balance model of the hydrologic cycle in the northern hemisphere and to quantify precipitation rates of the equable 'greenhouse' Albian Stage in the KWIB. The mass balance model tracks the evolving isotopic composition of an air mass and its precipitation, and is driven by latitudinal temperature gradients. Our simulations indicate that significant increases in Albian precipitation (34-52%) and evaporation fluxes (76-96%) are required to reproduce the difference between modern and Albian meteoric siderite ??18O latitudinal gradients. Calculations of precipitation rates from model outputs suggest mid-high latitude precipitation rates greatly exceeded modern rates (156-220% greater in mid latitudes [2600-3300 mm/yr], 99% greater at high latitudes [550 mm/yr]). The calculated precipitation rates are significantly different from the precipitation rates predicted by some recent general circulation models (GCMs) for the warm Cretaceous, particularly in the mid to high latitudes. Our mass balance model by no means replaces GCMs. However, it is a simple and effective means of obtaining quantitative data regarding the mid-Cretaceous hydrologic cycle in the KWIB. Our goal is to encourage the incorporation of isotopic tracers into GCM simulations of the mid-Cretaceous, and to show how our empirical data and mass balance model estimates help constrain the boundary conditions. ?? 2002 Elsevier Science B.V. All rights reserved.

Palaeogeography, Palaeoclimatology, Palaeoecology↗

Helium isotopic variations in volcanic rocks from Loihi Seamount and the Island of Hawaii

Helium isotopic ratios ranging from 20 to 32 times the atmospheric 3He 4He(RA) have been observed in a suite of 15 basaltic glasses from the Loihi Seamount. These ratios, which are up to four times higher than those of MORB glasses and more than twice those of nearby Kilauea, are strongly suggestive of a primitive source of volatiles supplying this volcanism. The Loihi glasses measured span a broad compositional range, and the 3He/4He ratios were found to be generally lower for the alkali basalts than for the tholeiites. The component with a lower 3He 4He ratio appears to be associated with olivine xenocrysts, within which fluid inclusions are probably the carrier of contaminant helium. One Loihi sample has a much lower isotopic ratio (<5 RA), but a combination of low He concentration, high vesicularity, and presence of cracks lined with clay minerals suggests that the low ratio is due to gas loss and contamination by atmospheric helium. Crushing and melting experiments show that for modest vesicularities (<5% by volume) the Loihi glasses obey a MORB-type partitioning trend, but at higher vesicularities the data show considerably more scatter due to volatile mobilization. The high vesicularities, low extrusion pressure and generally low helium concentrations are consistent with a considerable degree of degassing. Analyses of dunites, plus a correlation between total helium concentrations with xenocryst abundances also suggest that xenocrysts are a significant carrier of contaminating (low 3He 4He) helium. 3He 4He ratios from samples of other Hawaiian volcanoes (Kilauea, Mauna Loa, Hualalai, and Mauna Kea) show a smooth decrease in 3He 4He with increasing volcano age and volume. We interpret this to be a synoptic picture of the time evolution of a hot-spot diapir: the earliest stage is characterized by primitive (> 30 RA) helium with some (variable) component of lithospheric contamination added during "breakthrough", while the later stages are characterized by a relaxation toward lithospheric 3He 4He ratios (??? 8 RA) due to isolation of the diapir from the mantle below (as the plate moves on), and subsequent mining of the inherited helium and contamination from the surrounding lithosphere. The abrupt contrast in 3He 4He ratios between Kilauea and Loihi, despite their close proximity, is indicative of the small lateral extent of the plume. ?? 1983.

Hawaii↗

Methylmercury production in and export from agricultural wetlands in California, USA: the need to account for physical transport processes into and out of the root zone

Concentration and mass balance analyses were used to quantify methylmercury (MeHg) loads from conventional (white) rice, wild rice, and fallowed fields in northern California's Yolo Bypass. These analyses were standardized against chloride to distinguish transport pathways and net ecosystem production (NEP). During summer, chloride loads were both exported with surface water and moved into the root zone at a 2:1 ratio. MeHg and dissolved organic carbon (DOC) behaved similarly with surface water and root zone exports at ~ 3:1 ratio. These trends reversed in winter with DOC, MeHg, and chloride moving from the root zone to surface waters at rates opposite and exceeding summertime root zone fluxes. These trends suggest that summer transpiration advectively moves constituents from surface water into the root zone, and winter diffusion, driven by concentration gradients, subsequently releases those constituents into surface waters. The results challenge a number of paradigms regarding MeHg. Specifically, biogeochemical conditions favoring microbial MeHg production do not necessarily translate to synchronous surface water exports; MeHg may be preserved in the soils allowing for release at a later time; and plants play a role in both biogeochemistry and transport. Our calculations show that NEP of MeHg occurred during both summer irrigation and winter flooding. Wild rice wet harvesting and winter flooding of white rice fields were specific practices that increased MeHg export, both presumably related to increased labile organic carbon and disturbance. Outflow management during these times could reduce MeHg exports. Standardizing MeHg outflow:inflow concentration ratios against natural tracers (e.g. chloride, EC) provides a simple tool to identify NEP periods. Summer MeHg exports averaged 0.2 to 1 &mu;g m &minus; 2 for the different agricultural wetland fields, depending upon flood duration. Average winter MeHg exports were estimated at 0.3 &mu;g m &minus; 2 . These exports are within the range reported for other shallow aquatic systems.

California↗

Use of satellite imagery to identify vegetation cover changes following the Waldo Canyon Fire event, Colorado, 2012-2013

The Waldo Canyon Fire of 2012 was one of the most destructive wildfire events in Colorado history. The fire burned a total of 18,247 acres, claimed 2 lives, and destroyed 347 homes. The Waldo Canyon Fire continues to pose challenges to nearby communities. In a preliminary emergency assessment conducted in 2012, the U.S. Geological Survey (USGS) concluded that drainage basins within and near the area affected by the Waldo Canyon Fire pose a risk for future debris flow events. Rainfall over burned, formerly vegetated surfaces resulted in multiple flood and debris flow events that affected the cities of Colorado Springs and Manitou Springs in 2013. One fatality resulted from a mudslide near Manitou Springs in August 2013. Federal, State, and local governments continue to monitor these hazards and other post-fire effects, along with the region’s ecological recovery. At the request of the Colorado Springs Office of Emergency Management, the USGS Special Applications Science Center developed a geospatial product to identify vegetation cover changes following the 2012 Waldo Canyon Fire event. Vegetation cover was derived from July 2012 WorldView-2 and September 2013 QuickBird multispectral imagery at a spatial resolution of two meters. The 2012 image was collected after the fire had reached its maximum extent. Per-pixel increases and decreases in vegetation cover were identified by measuring spectral changes that occurred between the 2012 and 2013 image dates. A Normalized Difference Vegetation Index (NDVI), and Green-Near Infrared Index (GRNIR) were computed from each image. These spectral indices are commonly used to characterize vegetation cover and health condition, due to their sensitivity to detect foliar chlorophyll content. Vector polygons identifying surface-cover feature boundaries were derived from the 2013 imagery using image segmentation software. This geographic software groups similar image pixels into vector objects based upon their spatial and spectral characteristics. The vector dataset was then populated with the per-pixel spectral change information to provide an estimated percentage of vegetation increase or decrease of pixels within each polygon. Information collected during a field visit to the Waldo Canyon burn scar in September 2013 was used to help validate this assessment (see photographs 1-3). The numbers on the satellite images correspond to the location of the photographs. For display purposes, the polygons shown on the map represent areas where significant decrease or increase in vegetation cover occurred. Only polygons that held a 70 percent or greater cover change are shown on this map (a GIS dataset with complete information is available upon request). A significant increase in vegetation cover was found in the burned area. This increase is likely due to the growth of grasses and other herbaceous vegetation. Minimal vegetation cover decrease was detected at this threshold. This product is meant to provide a broad survey of post-fire vegetation trends within the Waldo Canyon burned area to Federal, State, and local officials. It is not designed to quantify species-level vegetation change at this time.

Colorado↗

Origin of the Columbia River basalts: Melting model of a heterogeneous plume head

In order to study the origin of the Grande Ronde basalts (GRs) erupted in the climax stage of the Columbia River basalts (CRBs), we carried out high pressure melting experiments on four of the most primitive rock compositions representing the Yakima group of the CRBs. The voluminous GRs (constituting >80 vol% of CRBs) are totally aphyric basaltic andesites. GRs show very narrow and coherent chemical trends both in major and trace elements as well as isotopes. The silica-rich GRs (SiO 2 = 52–56 wt%) can be produced by direct partial melting of a MORB like source material (CRB72-31) at ∼2 GPa or ∼70 km depth. By 30–50% partial melting of the CRB72-31, the entire compositional range of the GRs can be produced in a narrow temperature interval (1300–1350°C) at ∼2 GPa. The aluminous clinopyroxene that appears in the above melting range is consistent as the major controlling phase of the GR trends. The partial melts are very similar to the GRs except for Al 2 O 3 and FeO which could be due to the mismatch in the source rock composition. Judging from the variation in REE, involvement of garnet in GR magma genesis can be ruled out. Small amounts of plagioclase (10–30 wt%) may be present in the partial melting residue. Judging from REE patterns and Nd isotopes of the GRs, the source rock should be unfractionated in REE. Based on the melting experiments, a heterogeneous plume model is proposed for the initial stage of the Yellowstone hot spot. Large lithologically distinct blobs of old oceanic crust components were included in the plume head. The GR magmas were produced by partial melting of the oceanic crust components at the bottom of the North American lithosphere. Similar melting processes of basalt/peridotite composite source may be operating in other LIPs (large igneous provinces). The GR type genuine oceanic crust derived melts may be seen where the ambient peridotite remains under subsolidus conditions. Volume and temperature of mantle plumes may have been overestimated, because contributions from the recycled oceanic crust is so large and the current mantle melting models concern only peridotite source.

Idaho, Nevada, Oregon↗

A northern Cordilleran ocean-continent transect: Sitka Sound, Alaska, to Atlin Lake, British Columbia

The 155 km wide, 310 km long Sitka Sound – Atlin Lake continent–ocean transect includes almost all the geologic, geophysical, and geotectonic elements of the Canadian Cordillera. It crosses the Chugach, Wrangellia, Alexander, Stikine, and Cache Creek terranes, the Gravina and Laberge overlap assemblages, intrusive and metamorphic belts, and neotectonic faults that bound major blocks. Linear belts of magnetic highs are associated with Jurassic and Cretaceous granitic belts in Wrangellia and the western and central parts of the Alexander terrane and with the granitic rocks of the Coast plutonic–metamorphic complex (CPMC). The Border Ranges fault may be expressed at depth on either side of the Peril Strait fault. An enigmatic northeast-trending gradient in the CPMC and adjacent rocks separates a regional magnetic low to the northwest from a 300 nT high field to the southeast. The Bouguer gravity field decreases in broad steps from Pacific crust high values to lows at the international boundary, with pronounced gradients at the east edge of Chugach terrane and west edge of of CPMC. It indicates that the crust thickens from about 20 to 40 km from southwest to northeast. Ultramafic bodies in the Chugach, Alexander, and Wrangellia terranes and Gravina assemblage underlie local highs. Most of the accumulated seismic strain is released by large earthquakes on the Fairweather – Queen Charlotte Islands plate-margin fault, but the northern part of the Glacier Bay region, the Denali fault zone, and the Coast Mountains also have significant seismicity. Part of the Glacier Bay region is being uplifted at a high rate. Most of these features are related to the joining of ( i ) Wrangellia to Alexander terrane (Carboniferous), ( ii ) Stikine to Cache Creek terrane (Early Jurassic), ( iii ) Alexander terrane and Gravina assemblage to Stikine (Late Cretaceous), and ( iv ) Chugach to Wrangellia and Alexander terrane (Late Cretaceous or Paleogene).

Alaska, British Columbia↗

AMAP Assessment 2013: Arctic Ocean acidification

This assessment report presents the results of the 2013 AMAP Assessment of Arctic Ocean Acidification (AOA). This is the first such assessment dealing with AOA from an Arctic-wide perspective, and complements several assessments that AMAP has delivered over the past ten years concerning the effects of climate change on Arctic ecosystems and people. The Arctic Monitoring and Assessment Programme (AMAP) is a group working under the Arctic Council. The Arctic Council Ministers have requested AMAP to: - produce integrated assessment reports on the status and trends of the conditions of the Arctic ecosystems; - identify possible causes for the changing conditions; - detect emerging problems, their possible causes, and the potential risk to Arctic ecosystems including indigenous peoples and other Arctic residents; and to - recommend actions required to reduce risks to Arctic ecosystems. This report provides the accessible scientific basis and validation for the statements and recommendations made in the Arctic Ocean Acidification Assessment Summary for Policy-makers that was delivered to Arctic Council Ministers at their meeting in Kiruna, Sweden in May 2011 and the related AMAP State of the Arctic Environment report Arctic Ocean Acidification 2013: An Overview . It includes extensive background data and references to the scientific literature, and details the sources for figures reproduced in the overview report. Whereas the Summary for Policy-makers report contains recommendations that focus mainly on policy-relevant actions concerned with addressing the consequences of AOA, the conclusions and recommendations presented in this report also cover issues of a more scientific nature, such as proposals for filling gaps in knowledge, and recommendations relevant to future monitoring and research work. The AOA assessment was conducted between 2010 and 2013 by an international group of over 60 experts. Lead authors were selected based on an open nomination process coordinated by AMAP. A similar process was used to select international experts who independently reviewed this report. Information contained in this report is fully references and based on first and foremost peer-reviewed and published results of research and monitoring undertaken since 2006. It also incorporates some new (unpublished) information from monitoring and research conducted according to well-established and documented national and international standards of quality assurance/quality control protocols. Care has been taken to ensure that no critical probability statements are based on non-peer-reviewed materials. Access to reliable and up-to-date information is essential for the development of science-based decision-making regarding ongoing changes in the Arctic and their global implications. The AOA assessment summary reports and films have therefore been developed specifically for policy-makers, summarizing the main findings of the AOA assessment. The AOA lead authors have confirmed that both this report and its derivative products accurately and fully reflect their scientific assessment. The AOA reports and the films are freely available from the AMAP Secretariat and on the AMAP website: www.amap.no, and their use for educational purposes is encouraged. AMAP would like to express its appreciation to all experts who have contributed their time, efforts and data, in particular the lead authors who coordinated the production of this report. Thanks are also due to the reviewers who contributed to the AOA peer-review process and provided valuable comments that helped to ensure the quality of the report. A list of the main contributors is included at the start of each chapter. The list is not comprehensive. Specifically, it does not include the many national institutes, laboratories and organizations, and their staff, which have been involved in various countries in AOA-related monitoring and research. Apologies, and no lesser thanks are given to any individuals unintentionally omitted from the list. The support from the Arctic countries and non-Arctic countries implementing research and monitoring in the Arctic is vital to the success of AMAP. The AMAP work is essentially based on ongoing activities within these countries, and the countries that provide the necessary support for most the experts involved in the preparation of the AMAP assessments. In particular, AMAP would like to acknowledge Norway for taking the lead-country role in this assessment and thank Canada, Norway, Sweden, USA and the Nordic Council of Ministers for their financial support to the AOA work. The AMAP Working Group is pleased to present its assessment to the Arctic Council and the international science community. Richard Bellerby (AOA assessment Chair) Russel Shearer (AMAP Chair) Lars-Otto Reiersen (AMAP Executive Secretary) Oslo, May 2013

Report↗

Fisheries research and monitoring activities of the Lake Erie Biological Station, 2024

A comprehensive understanding of fish populations and their interactions is the cornerstone of modern fishery management and the basis for Lake Erie’s Fish Community Objectives (FCOs) developed in 2020 (Francis et al. 2020). The 2024 U.S. Geological Survey (USGS) Lake Erie Biological Station Annual Report is responsive to these FCOs and the USGS obligations via a Memorandum of Understanding (MOU 2017) with the Great Lakes Fishery Commission (GLFC) Council of Lake Committees (CLC) to provide scientific information in support of fishery management. Goals for the USGS Great Lakes Deepwater Fish Assessment and Ecological Studies were to monitor long-term changes in the fish community and track population dynamics of key fishes of interest to management agencies. Specific to Lake Erie, expectations were sustained investigations of native percids, prey fish populations, and Lake Trout. All work was conducted as part of the Deepwater Science Program under the authority of the Great Lakes Fishery Research Authorization Act of 2019 (16 USC §941h). The USGS 2024 Deepwater Science Program fieldwork began in Lake Erie in March and concluded in December, using trawl, gill net, hydroacoustic, lower trophic sampling devices, and telemetry methods. This work resulted in 44 bottom trawls covering 41 ha of lake bottom and catching 48,936 fish totaling 995 kg in the West Basin of Lake Erie, with detailed results described below. Overnight gill net sets (n=25) for coldwater species were performed in the East Basin of Lake Erie. A total of 8 km of gillnet was deployed during these surveys, which caught 106 fish, 92 of which were native coldwater species: Lake Trout, Burbot, and Lake Whitefish. Results from coldwater species assessments will be reported in the Coldwater Task Group report to the GLFC and the CLC (CTG 2025). These reports are used to inform Lake Trout stocking decisions and direct lamprey control measures (16 USC §939a). USGS hydroacoustic sampling included twenty-six 5-km transects (130 km total) in the Central Basin as part of a collaborative lake-wide survey with details and results reported by the Forage Task Group (FTG 2025). Lower trophic sampling provided data from zooplankton samples (n=12) and water quality profiles (n=12) to populate a database maintained by the Michigan Department of Natural Resources (MDNR), Ontario Ministry of Natural Resources (OMNR), Ohio Department of Natural Resources (ODNR), Pennsylvania Fish and Boat Commission (PFBC), and New York State Department of Environmental Conservation (NYSDEC). USGS also assisted CLC member agencies with deployment and maintenance of Great Lakes Acoustic Telemetry Observation System (GLATOS) infrastructure throughout all three Lake Erie basins and tributaries, supporting multiple coordinated telemetry investigations. This report presents biomass-based summaries of fish communities in western Lake Erie derived from USGS bottom trawl surveys conducted from 2013 to 2024 during June and September. The survey design compliments the August ODNR- OMNRF effort by reinforcing stock assessments with more robust data. Analyses herein evaluated trends in total biomass, abundance of dominant predator and forage species, non-native species composition, biodiversity, and community structure. Data from this effort are accessible for download (Keretz et al. 2025)

Lake Erie↗

Characterizing Meteor Crater impact melts through geochemistry and textural analysis

The U.S. Geological Survey Astrogeology Science Center houses the Meteor Crater sample collection, an assemblage of over 2,500 meters of cuttings from 161 drill holes into Meteor Crater’s rim, flanks, and ejecta blanket. We have utilized this unique collection to study the composition and spatial distribution of impact-generated materials from within the ejecta blanket. Meteor Crater has historically been known to have generated only a relatively small amount of impact melt compared to other terrestrial craters of similar size. A detailed compositional and textural dataset of impact-derived melts from this impact can therefore be a useful asset in improving our understanding of crater formation, and in particular impact melt formation. We have characterized 42 impact-melt particles from Meteor Crater using a scanning electron microscope and an electron microprobe for textural and compositional analysis. We analyzed samples from six drill holes in the ejecta blanket, situated to the northwest, southeast, south, and southwest of the crater (ejecta northeast of the crater is devoid of impact melts). Impact melts were collected from drill cuttings at various depths within the ejecta blanket, ranging from a few centimeters below the surface down to ~6.5 meters. Backscattered electron (BSE) images were acquired for each analyzed impact-melt particle. To characterize the various textures and phases present in each impact melt, we also took many detailed BSE images. Our geochemical analyses include full spectral profiles using energy dispersive X-ray spectrometry and well-calibrated wavelength dispersive spectrometry for a number of phases, including minerals (olivine, pyroxene, and so on), pristine glass, and metallic inclusions. The full dataset is available in ScienceBase as a data release (Gullikson and others, 2024), accessible at https://doi.org/10.5066/P9OGAJ8P . Our goal for this Open-File Report is to provide a summary of this immense dataset, details on data collection, descriptions of the different phases observed within impact-melt particles (both geochemically and texturally), and observable trends.

Arizona↗

Carboniferous climate teleconnections archived in coupled bioapatite δ18OPO4 and 87Sr/86Sr records from the epicontinental Donets Basin, Ukraine

Reconstructions of paleo-seawater chemistry are largely inferred from biogenic records of epicontinental seas. Recent studies provide considerable evidence for large-scale spatial and temporal variability in the environmental dynamics of these semi-restricted seas that leads to the decoupling of epicontinental isotopic records from those of the open ocean. We present conodont apatite δ 18 O PO4 and 87 Sr/ 86 Sr records spanning 24 Myr of the late Mississippian through Pennsylvanian derived from the U–Pb calibrated cyclothemic succession of the Donets Basin, eastern Ukraine. On a 2 to 6 Myr-scale, systematic fluctuations in bioapatite δ 18 O PO4 and 87 Sr/ 86 Sr broadly follow major shifts in the Donets onlap–offlap history and inferred regional climate, but are distinct from contemporaneous more open-water δ 18 O PO4 and global seawater Sr isotope trends. A −1 to −6‰ offset in Donets δ 18 O PO4 values from those of more open-water conodonts and greater temporal variability in δ 18 O PO4 and 87 Sr/ 86 Sr records are interpreted to primarily record climatically driven changes in local environmental processes in the Donets sea. Systematic isotopic shifts associated with Myr-scale sea-level fluctuations, however, indicate an extrabasinal driver. We propose a mechanistic link to glacioeustasy through a teleconnection between high-latitude ice changes and atmospheric p CO 2 and regional monsoonal circulation in the Donets region. Inferred large-magnitude changes in Donets seawater salinity and temperature, not archived in the more open-water or global contemporaneous records, indicate a modification of the global climate signal in the epicontinental sea through amplification or dampening of the climate signal by local and regional environmental processes. This finding of global climate change filtered through local processes has implications for the use of conodont δ 18 O PO4 and 87 Sr/ 86 Sr values as proxies of paleo-seawater composition, mean temperature, and glacioeustasy.

Donets Basin↗

Mercury speciation and transport via submarine groundwater discharge at a southern California coastal lagoon system

We measured total mercury (HgT) and monomethylmercury (MMHg) concentrations in coastal groundwater and seawater over a range of tidal conditions near Malibu Lagoon, California, and used 222Rn-derived estimates of submarine groundwater discharge (SGD) to assess the flux of mercury species to nearshore seawater. We infer a groundwater-seawater mixing scenario based on salinity and temperature trends and suggest that increased groundwater discharge to the ocean during low tide transported mercury offshore. Unfiltered HgT (U-HgT) concentrations in groundwater (2.2–5.9 pM) and seawater (3.3–5.2 pM) decreased during a falling tide, with groundwater U-HgT concentrations typically lower than seawater concentrations. Despite the low HgT in groundwater, bioaccumulative MMHg was produced in onshore sediment as evidenced by elevated MMHg concentrations in groundwater (0.2–1 pM) relative to seawater (∼0.1 pM) throughout most of the tidal cycle. During low tide, groundwater appeared to transport MMHg to the coast, resulting in a 5-fold increase in seawater MMHg (from 0.1 to 0.5 pM). Similarly, filtered HgT (F-HgT) concentrations in seawater increased approximately 7-fold during low tide (from 0.5 to 3.6 pM). These elevated seawater F-HgT concentrations exceeded those in filtered and unfiltered groundwater during low tide, but were similar to seawater U-HgT concentrations, suggesting that enhanced SGD altered mercury partitioning and/or solubilization dynamics in coastal waters. Finally, we estimate that the SGD HgT and MMHg fluxes to seawater were 0.41 and 0.15 nmol m–2 d–1, respectively – comparable in magnitude to atmospheric and benthic fluxes in similar environments.

California↗

Intra- and inter-annual trends in phosphorus loads and comparison with nitrogen loads to Rehoboth Bay, Delaware (USA)

Monthly phosphorus loads from uplands, atmospheric deposition, and wastewater to Rehoboth Bay (Delaware) were determined from October 1998 to April 2002 to evaluate the relative importance of these three sources of P to the Bay. Loads from a representative subwatershed were determined and used in an areal extrapolation to estimate the upland load from the entire watershed. Soluble reactive phosphorus (SRP) and dissolved organic P (DOP) are the predominant forms of P in baseflow and P loads from the watershed are highest during the summer months. Particulate phosphorus (PP) becomes more significant in stormflow and during periods with more frequent or larger storms. Atmospheric deposition of P is only a minor source of P to Rehoboth Bay. During the period of 1998–2002, wastewater was the dominant external source of P to Rehoboth Bay, often exceeding all other P sources combined. Since 2002, however, due to technical improvements to the sole wastewater plant discharging directly to the Bay, the wastewater contribution of P has been significantly reduced and upland waters are now the principal source of P on an annualized basis. Based on comparison of N and P loads, primary productivity and biomass carrying capacity in Rehoboth Bay should be limited by P availability. However, due to the contrasting spatial and temporal patterns of N and P loading and perhaps internal cycling within the ecosystem, spatial and temporal variations in N and P-limitation within Rehoboth Bay are likely.

Delaware↗

Petrography, mineralogy, and geochemistry of deep gravelly sands in the Eyreville B core, Chesapeake Bay impact structure

The ICDP–USGS Eyreville drill cores in the Chesapeake Bay impact structure reached a total depth of 1766 m and comprise (from the bottom upwards) basement-derived schists and granites/pegmatites, impact breccias, mostly poorly lithified gravelly sand and crystalline blocks, a granitic slab, sedimentary breccias, and postimpact sediments. The gravelly sand and crystalline block section forms an approximately 26 m thick interval that includes an amphibolite block and boulders of cataclastic gneiss and suevite. Three gravelly sands (basal, middle, and upper) are distinguished within this interval. The gravelly sands are poorly sorted, clast supported, and generally massive, but crude size-sorting and subtle, discontinuous layers occur locally. Quartz and K-feldspar are the main sand-size minerals and smectite and kaolinite are the principal clay minerals. Other mineral grains occur only in accessory amounts and lithic clasts are sparse (only a few vol%). The gravelly sands are silica rich (~80 wt% SiO 2 ). Trends with depth include a slight decrease in SiO 2 and slight increase in Fe 2 O 3 . The basal gravelly sand (below the cataclasite boulder) has a lower SiO 2 content, less K-feldspar, and more mica than the higher sands, and it contains more lithic clasts and melt particles that are probably reworked from the underlying suevite. The middle gravelly sand (below the amphibolite block) is finer-grained, contains more abundant clay minerals, and displays more variable chemical compositions than upper gravelly sand (above the block). Our mineralogical and geochemical results suggest that the gravelly sands are avalanche deposits derived probably from the nonmarine Potomac Formation in the lower part of the target sediment layer, in contrast to polymict diamictons higher in the core that have been interpreted as ocean-resurge debris flows, which is in agreement with previous interpretations. The mineralogy and geochemistry of the gravelly sands are typical for a passive continental margin source. There is no discernible mixing with marine sediments (no glauconite or Paleogene marine microfossils noted) during the impact remobilization and redeposition. The unshocked amphibolite block and cataclasite boulder might have originated from the outer parts of the transient crater.

Virginia↗