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At least 901 records · Page 50Linked to original sources

Evaluation of procedures for prediction of unconventional gas in the presence of geologic trends

This study extends the application of local spatial nonparametric prediction models to the estimation of recoverable gas volumes in continuous-type gas plays to regimes where there is a single geologic trend. A transformation is presented, originally proposed by Tomczak, that offsets the distortions caused by the trend. This article reports on numerical experiments that compare predictive and classification performance of the local nonparametric prediction models based on the transformation with models based on Euclidean distance. The transformation offers improvement in average root mean square error when the trend is not severely misspecified. Because of the local nature of the models, even those based on Euclidean distance in the presence of trends are reasonably robust. The tests based on other model performance metrics such as prediction error associated with the high-grade tracts and the ability of the models to identify sites with the largest gas volumes also demonstrate the robustness of both local modeling approaches. ?? International Association for Mathematical Geology 2009.

Natural Resources Research↗

Arctic continental shelf morphology related to sea-ice zonation, Beaufort Sea, Alaska

Landsat-1 and NOAA satellite imagery for the winter 1972–1973, and a variety of ice and sea-floor data were used to study sea-ice zonation and dynamics and their relation to bottom morphology and geology on the Beaufort Sea continental shelf of arctic Alaska. In early winter the location of the boundary between undeformed fast ice and westward-drifting pack ice of the Pacific Gyre is controlled by major coastal promontories. Pronounced linear pressure- and shear-ridges, as well as hummock fields, form along this boundary and are stabilized by grounding, generally between the 10- and 20-m isobaths. Slippage along this boundary occurs intermittently at or seaward of the grounded ridges, forming new grounded ridges in a widening zone, the stamukhi zone, which by late winter extends out to the 40-m isobath. Between intermittent events along the stamukhi zone, pack-ice drift and slippage is continuous along the shelf edge, at average rates of 3–10 km/day. Whether slippage occurs along the stamukhi zone or along the shelf edge, it is restricted to a zone several hundred meters wide, and ice seaward of the slip face moves at uniform rates without discernible drag effects. A causal relationship is seen between the spatial distribution of major ice-ridge systems and offshore shoals downdrift of major coastal promontories. The shoals appear to have migrated shoreward under the influence of ice up to 400 m in the last 25 years. The sea floor seaward of these shoals within the stamukhi zone shows high ice-gouge density, large incision depths, and a high degree of disruption of internal sedimentary structures. The concentration of large ice ridges and our sea floor data in the stamukhi zone indicate that much of the available marine energy is expended here, while the inner shelf and coast, where the relatively undeformed fast ice grows, are sheltered. There is evidence that anomalies in the overall arctic shelf profile are related to sea-ice zonation, ice dynamics, and bottom processes. A proposed ice zonation, including zones of (1) bottom-fast ice, (2) floating fast ice, (3) stamukhi, and (4) seasonal pack ice, emphasizes ice interaction with the shelf surface and differs from previous zonation. Certain aspects of the results reported here are directly applicable to planned offshore developments in the Prudhoe Bay oil field. Properly placed artificial structures similar to offshore shoals should be able to withstand the forces of the ice, serve to modify the observed ice zonation, and might be used to make the environment less hostile to human activities.

Alaska↗

A dynamic leaf gas-exchange strategy is conserved in woody plants under changing ambient CO 2 : evidence from carbon isotope discrimination in paleo and CO 2 enrichment studies

Rising atmospheric [CO 2 ], c a , is expected to affect stomatal regulation of leaf gas-exchange of woody plants, thus influencing energy fluxes as well as carbon (C), water, and nutrient cycling of forests. Researchers have proposed various strategies for stomatal regulation of leaf gas-exchange that include maintaining a constant leaf internal [CO 2 ], c i , a constant drawdown in CO 2 ( c a − c i ), and a constant c i / c a . These strategies can result in drastically different consequences for leaf gas-exchange. The accuracy of Earth systems models depends in part on assumptions about generalizable patterns in leaf gas-exchange responses to varying c a . The concept of optimal stomatal behavior, exemplified by woody plants shifting along a continuum of these strategies, provides a unifying framework for understanding leaf gas-exchange responses to c a . To assess leaf gas-exchange regulation strategies, we analyzed patterns in c i inferred from studies reporting C stable isotope ratios (δ 13 C) or photosynthetic discrimination (∆) in woody angiosperms and gymnosperms that grew across a range of c a spanning at least 100 ppm. Our results suggest that much of the c a -induced changes in c i / c a occurred across c a spanning 200 to 400 ppm. These patterns imply that c a − c i will eventually approach a constant level at high c a because assimilation rates will reach a maximum and stomatal conductance of each species should be constrained to some minimum level. These analyses are not consistent with canalization toward any single strategy, particularly maintaining a constant c i . Rather, the results are consistent with the existence of a broadly conserved pattern of stomatal optimization in woody angiosperms and gymnosperms. This results in trees being profligate water users at low c a , when additional water loss is small for each unit of C gain, and increasingly water-conservative at high c a , when photosystems are saturated and water loss is large for each unit C gain.

Global Change Biology↗

Documentation and verification of VST2D; a model for simulating transient, Variably Saturated, coupled water-heat-solute Transport in heterogeneous, anisotropic 2-Dimensional, ground-water systems with variable fluid density

This report describes a model for simulating transient, Variably Saturated, coupled water-heatsolute Transport in heterogeneous, anisotropic, 2-Dimensional, ground-water systems with variable fluid density (VST2D). VST2D was developed to help understand the effects of natural and anthropogenic factors on quantity and quality of variably saturated ground-water systems. The model solves simultaneously for one or more dependent variables (pressure, temperature, and concentration) at nodes in a horizontal or vertical mesh using a quasi-linearized general minimum residual method. This approach enhances computational speed beyond the speed of a sequential approach. Heterogeneous and anisotropic conditions are implemented locally using individual element property descriptions. This implementation allows local principal directions to differ among elements and from the global solution domain coordinates. Boundary conditions can include time-varying pressure head (or moisture content), heat, and/or concentration; fluxes distributed along domain boundaries and/or at internal node points; and/or convective moisture, heat, and solute fluxes along the domain boundaries; and/or unit hydraulic gradient along domain boundaries. Other model features include temperature and concentration dependent density (liquid and vapor) and viscosity, sorption and/or decay of a solute, and capability to determine moisture content beyond residual to zero. These features are described in the documentation together with development of the governing equations, application of the finite-element formulation (using the Galerkin approach), solution procedure, mass and energy balance considerations, input requirements, and output options. The VST2D model was verified, and results included solutions for problems of water transport under isohaline and isothermal conditions, heat transport under isobaric and isohaline conditions, solute transport under isobaric and isothermal conditions, and coupled water-heat-solute transport. The first three problems considered in model verification were compared to either analytical or numerical solutions, whereas the coupled problem was compared to measured laboratory results for which no known analytic solutions or numerical models are available. The test results indicate the model is accurate and applicable for a wide range of conditions, including when water (liquid and vapor), heat (sensible and latent), and solute are coupled in ground-water systems. The cumulative residual errors for the coupled problem tested was less than 10–8 cubic centimeter per cubic centimeter, 10-5 moles per kilogram, and 102 calories per cubic meter for liquid water content, solute concentration and heat content, respectively. This model should be useful to hydrologists, engineers, and researchers interested in studying coupled processes associated with variably saturated transport in ground-water systems.

Water-Resources Investigations Report↗

Paradigms and proboscideans in the southern Great Lakes region, USA

Thirteen new chronometric dates for Illinois proboscideans are considered in relation to well-dated pollen records from northeastern and central Illinois. These dates span an interval from 21,228 to 12,944 cal BP. When compared to pollen spectra, it is evident that Mammut americanum inhabited spruce (Picea) and black ash (Fraxinus nigra) forest during the B??lling-Aller??d (14,700-12,900 cal BP) and early Younger Dryas (12,900-11,650 cal BP) chronozones. Both Mammuthus jeffersonii and Mammuthus primigenius inhabited spruce dominated open-woodland during the Oldest Dryas chronozone, while M.??primigenius persisted in a forest of predominantly black ash during the Aller??d chronozone. A newly discovered specimen from Lincoln, IL, clarifies the taxonomic distinction between M. primigenius and M.??jeffersonii. Hitherto, a paradigm of proboscidean succession during the full- to late-glacial periods was based on the vegetation succession of steppe tundra-like vegetation to spruce forest to spruce-deciduous forest. The presumed proboscidean succession was that of cold, dry steppe-adapted M. primigenius succeeded by more mesic-tolerant M. jeffersonii that in turn was succeeded by the wet forest-adapted M.??americanum. Reported data do not support this view and indicate a need for re-evaluation of assumptions of proboscidean ecology and history, e.g., the environmental tolerances and habits of M.??primigenius in regions south of 55??N, and its dynamic relationship with other proboscidean taxa. ?? 2009 Elsevier Ltd and INQUA.

Quaternary International↗

Linear extension rates of massive corals from the Dry Tortugas National Park (DRTO), Florida

Colonies of three coral species, Montastraea faveolata , Diploria strigosa , and Siderastrea siderea , located in the Dry Tortugas National Park (DRTO), Florida, were sampled and analyzed to evaluate annual linear extension rates. Montastraea faveolata had the highest average linear extension and variability in (DRTO: C2 = 0.67 centimeters/year (cm yr -1 ) &plusmn; 0.04, B3 = 0.85 cm yr -1 &plusmn; 0.07), followed by D. strigosa (DRTO: C1 = 0.73 cm yr -1 &plusmn; 0.04; MK = 0.59 cm yr -1 &plusmn; 0.06) and S. siderea (DRTO: A1 = 0.41 cm yr -1 &plusmn; 0.03). Intercolony comparison of M. faveolata from DRTO yielded a significant correlation (r = 0.34, df = 67, P = 0.005) and similar long-term patterns. DRTO S. siderea core A1 showed an overall increasing trend (r = 0.61, df = 119, P < 0.0001) in extension rates that correlated significantly with International Comprehensive Ocean/Atmosphere Data Set annual sea-surface temperature (r = 0.42, df = 115, P < 0.0001) and an air temperature record from Key West (r = 0.37, df = 111, P < 0.0001). In conclusion, annual linear extension rates are species specific and potentially influence by long-term variability in sea-surface temperature.

Florida↗

Geology of northeastern Montana

A large region in northeastern Montana has never been thoroughly explored by geologists, owing to the fact that it is a part of the Great Plains and the belief that it is too monotonous and uninteresting to tempt anyone to turn aside from the pronounced geologic features a little farther west, for which Montana is noted. This region includes parts of Sheridan, Valley, Phillips, and Blaine counties. Its investigation was begun by Smith in 1908, when he made a geologic survey of the Fort Peck Indian Reservation. Beekly explored a strip of land along the Montana-North Dakota line from Missouri River to the international boundary, and Bauer examined the townships in which Plentywood and Scobey are situated. Their results are here included with those of the writer, who during the field seasons of 1915 and 1916 was engaged in an investigation of the lignite resources of the remainder of this region, which extends from a line within 12 miles of the Montana-North Dakota boundary westward about 200 miles.

Montana↗

A multipurpose camera system for monitoring Kīlauea Volcano, Hawai'i

We describe a low-cost, compact multipurpose camera system designed for field deployment at active volcanoes that can be used either as a webcam (transmitting images back to an observatory in real-time) or as a time-lapse camera system (storing images onto the camera system for periodic retrieval during field visits). The system also has the capability to acquire high-definition video. The camera system uses a Raspberry Pi single-board computer and a 5-megapixel low-light (near-infrared sensitive) camera, as well as a small Global Positioning System (GPS) module to ensure accurate time-stamping of images. Custom Python scripts control the webcam and GPS unit and handle data management. The inexpensive nature of the system allows it to be installed at hazardous sites where it might be lost. Another major advantage of this camera system is that it provides accurate internal timing (independent of network connection) and, because a full Linux operating system and the Python programming language are available on the camera system itself, it has the versatility to be configured for the specific needs of the user. We describe example deployments of the camera at Kīlauea Volcano, Hawai&lsquo;i, to monitor ongoing summit lava lake activity.

Hawai'i↗

Standard errors of annual discharge and change in reservoir content data from selected stations in the lower Colorado River streamflow-gaging station network, 1995-99

The Bureau of Reclamation is currently (1995–2001) testing the Lower Colorado River Accounting System as a method to estimate the consumptive use of Colorado River water by diverters from Hoover Dam to Mexico. Consumptive use is estimated in the Lower Colorado River Accounting System method, in part, on the basis of the annual discharge or annual change in reservoir contents, as well as the variance of estimate of the annual discharge or the annual change in reservoir contents at several surface-water gaging stations in the lower Colorado River stream-gaging network. The standard error and the variance of estimate were determined for the annual discharge at 14 streamflow-gaging stations and for the annual change in content at 2 reservoir-content gaging stations used in the Lower Colorado River Accounting System for calendar years 1995–99. The standard error of the annual discharge was determined by using modifications to an existing method that assumes that the uncertainty in the discharge-rating shift is the main source of uncertainty in computed discharges and that the discharge-rating shift behaves as a first-order Markovian process. The method uses Kalman filtering of a first-order Markovian process as a statistical analogy to computing streamflow with a shifted discharge rating. Temporally unbiased residuals from a discharge rating are used as a surrogate for the actual shifts used to compute discharge. The standard error of the annual discharge is determined by using Kalman-filter theory and estimates of four parameters: (1) the measurement variance of the discharge measurements used to determine the discharge-rating shift, (2) the process variance of the discharge-rating residuals, (3) the serial correlation of the discharge-rating residuals, and (4) the frequency of the discharge measurements. The existing methodology was improved by estimating the measurement variance from a semivariogram of the discharge-rating residuals, rather than on the basis of empirically derived error estimates for discharge measurements. The process variance and serial correlation of the discharge-rating residuals are estimated from the semivariogram, rather than a variogram, of the discharge-rating residuals. The empirically derived estimates are based on characteristics of the discharge measurements such as number of depth and velocity observation sections, type of current meter, and bed material composition and stability. Measurement variance determined from the semivariograms was site specific and is therefore considered a better estimate than measurement variance determined from the empirically-derived estimates. The method of estimating the standard error of the annual discharge requires the assumption of unbiased discharge-rating residuals, and for this reason, the standard errors presented in this report only represent the random error in the annual discharge data. Estimates of the standard error of the annual change in reservoir content were determined on the basis of the reservoir-surface area and the standard error of reservoir-stage readings. The standard error of the annual discharge, as a percentage, ranged from 0.11 percent for the All- American Canal near Imperial Dam in 1998 to 12.3 percent for the Colorado River below Imperial Dam in 1996. The standard error of the annual discharge was less than 2 percent for all 5 years for 11 of the 14 streamflow-gaging stations. In terms of flow volume, the standard error of the annual discharge ranged from 97 acre-feet for the Mittry Lake Diversions in 1995 to 77,000 acre-feet for the Colorado River at the northerly international boundary with Mexico in 1998. In general, the standard error of the annual discharge, as a percentage, was smallest at streamflow-gaging stations on the main stem of the Colorado River; however, the standard error of the annual discharge in acre-feet was largest at these stations because of the large annual discharge on the main stem. The standard error of the annual change in content for the two reservoirs ranged from 1,590 acre-feet for Lake Havasu in 1996 to 2,790 acre-feet for Lake Mohave in 1995. The variance of estimate of the annual discharge for a streamflow-gaging station can be reduced by making additional discharge measurements; either by increasing the number of discharge measurements made per site visit, or by increasing the frequency of site visits. Measurement error can be reduced by using the average shift for two or more discharge measurements made during a site visit. For a streamflow-gaging station where measurement error is much greater than process error and the serial correlation of the discharge-rating residuals is high, an improved gaging strategy would involve making multiple discharge measurements per site visit. In contrast, for a streamflow-gaging station where process error is much greater than measurement error and the serial correlation of discharge-rating residuals is low, the gaging strategy would consist of several single discharge-measurement site visits. For a given operating cost or for a given variance of estimate of the annual discharge at a streamflow-gaging station, the optimal site-visit and discharge-measurement strategy can be determined, providing that the travel costs as well as the measurement variance, process variance, and serial correlation of discharge-rating residuals are known.

Arizona;California↗

Metadata for data rescue and data at risk

Scientific data age, become stale, fall into disuse and run tremendous risks of being forgotten and lost. These problems can be addressed by archiving and managing scientific data over time, and establishing practices that facilitate data discovery and reuse. Metadata documentation is integral to this work and essential for measuring and assessing high priority data preservation cases. The International Council for Science: Committee on Data for Science and Technology (CODATA) has a newly appointed Data-at-Risk Task Group (DARTG), participating in the general arena of rescuing data. The DARTG primary objective is building an inventory of scientific data that are at risk of being lost forever. As part of this effort, the DARTG is testing an approach for documenting endangered datasets. The DARTG is developing a minimal and easy to use set of metadata properties for sufficiently describing endangered data, which will aid global data rescue missions. The DARTG metadata framework supports rapid capture, and easy documentation, across an array of scientific domains. This paper reports on the goals and principles supporting the DARTG metadata schema, and provides a description of the preliminary implementation.

Conference Paper↗

Geologic map of the Mount Trumbull 30' X 60' quadrangle, Mohave and Coconino Counties, northwestern Arizona

The geologic map of the Mount Trumbull 30' x 60' quadrangle is a cooperative product of the U.S. Geological Survey, the National Park Service, and the Bureau of Land Management that provides geologic map coverage and regional geologic information for visitor services and resource management of Grand Canyon National Park, Lake Mead Recreational Area, and Grand Canyon Parashant National Monument, Arizona. This map is a compilation of previous and new geologic mapping that encompasses the Mount Trumbull 30' x 60' quadrangle of Arizona. This digital database, a compilation of previous and new geologic mapping, contains geologic data used to produce the 100,000-scale Geologic Map of the Mount Trumbull 30' x 60' Quadrangle, Mohave and Coconino Counties, Northwestern Arizona. The geologic features that were mapped as part of this project include: geologic contacts and faults, bedrock and surficial geologic units, structural data, fold axes, karst features, mines, and volcanic features. This map was produced using 1:24,000-scale 1976 infrared aerial photographs followed by extensive field checking. Volcanic rocks were mapped as separate units when identified on aerial photographs as mappable and distinctly separate units associated with one or more pyroclastic cones and flows. Many of the Quaternary alluvial deposits that have similar lithology but different geomorphic characteristics were mapped almost entirely by photogeologic methods. Stratigraphic position and amount of erosional degradation were used to determine relative ages of alluvial deposits having similar lithologies. Each map unit and structure was investigated in detail in the field to ensure accuracy of description. Punch-registered mylar sheets were scanned at the Flagstaff Field Center using an Optronics 5040 raster scanner at a resolution of 50 microns (508 dpi). The scans were output in .rle format, converted to .rlc, and then converted to ARC/INFO grids. A tic file was created in geographic coordinates and projected into the base map projection (Polyconic) using a central meridian of -113.500. The tic file was used to transform the grid into Universal Transverse Mercator projection. The linework was vectorized using gridline. Scanned lines were edited interactively in ArcEdit. Polygons were attributed in ArcEdit and all artifacts and scanning errors visible at 1:100,000 were removed. Point data were digitized onscreen. Due to the discovery of digital and geologic errors on the original files, the ARC/INFO coverages were converted to a personal geodatabase and corrected in ArcMap. The feature classes which define the geologic units, lines and polygons, are topologically related and maintained in the geodatabase by a set of validation rules. The internal database structure and feature attributes were then modified to match other geologic map databases being created for the Grand Canyon region. Faults were edited with the downthrown block, if known, on the 'right side' of the line. The 'right' and 'left' sides of a line are determined from 'starting' at the line's 'from node' and moving to the line's end or 'to node'.

Arizona↗

Implications of water, sediment, and nutrient budgets for the restoration of a shallow, turbid lake in semiarid southeastern Oregon

Malheur Lake is the largest lake in the endorheic Harney Basin in southeastern Oregon. Since the 1990s, Malheur Lake—which averages depths of about 1 meter—has been in a degraded, turbid state lacking submergent and emergent vegetation. The goals of this study were to identify the major sources of sediment and nutrients to Malheur Lake to determine the importance of managing nutrients for lake restoration. Discrete water samples were analyzed for nutrient (total phosphorus, total nitrogen, orthophosphate, nitrate+nitrite, and ammonia) and suspended-sediment concentrations, and additional parameters including chlorophyll- a and phytoplankton biomass were measured in lake samples. Lake area fluctuated from a minimum of 3,300 hectares (ha) to a maximum of 11,300 ha in water years 2019 and 2020. In water year 2019, inflow from the tributaries created a 1,400-hectare area in the lake with low turbidity that persisted for multiple months. Land-use practices and water diversions along the tributaries affected the hydrographs and nutrient and suspended-sediment concentrations reaching the lake. As lake area increased, storage of sediment-associated constituents in the water column increased in excess of external loads because of resuspension. In 2019, 69 percent of the increase in suspended-sediment storage in the water column was attributed to internal resuspension and 31 percent was from external loading. Sediment was deposited as lake area decreased, and water-column storage decreased even as positive external loading continued. The internal resuspension, deposition, and external loading of suspended sediment likely is decreasing topographic heterogeneity in the lake. Concentrations of total phosphorus and orthophosphate are substantially higher than in the 1980s, and the lake is eutrophic. Phytoplankton in the lake was light limited in 2019–20, and restoration actions that prioritize vegetation establishment would reduce bioavailable nutrients for phytoplankton while increasing light in the water column.

Oregon↗

Limnology of Big Lake, south-central Alaska, 1983-84

The limnological characteristics and trophic state of Big Lake in south-central Alaska were determined from the results of an intensive study during 1983-84. The study was begun in response to concern over the potential for eutrophication of Big Lake, which has experienced substantial residential development and recreational use because of its proximity to Anchorage. The east and west basins of the 1,213 square-hectometer lake were each visited 36 times during the 2-year study to obtain a wide variety of physical, chemical, and biological data. During 1984, an estimate was made of the lake's annual primary production. Big Lake was classified as oligotrophic on the basis of its annual mean values for total phosphorus (9.5 micrograms per liter), total nitrogen (209 micrograms per liter), chlorophyll-a (2.5 micrograms per liter), secchi-disc transparency (6.3 meters), and its mean daily integral primary production of 81.1 milligrams of carbon fixed per square meter. The lake was, however, uncharacteristic of oligotrophic lakes in that a severe dissolved-oxygen deficit developed within the hypolimnion during summer stratification and under winter ice cover. The summer dissolved-oxygen deficit resulted from the combination of strong and persistent thermal stratification, which developed within 1 week of the melting of the lake's ice cover in May, and the failure of the spring circulation to fully reaerate the hypolimnion. The autumn circulation did reaerate the entire water column, but the ensuing 6 months of ice and snow cover prevented atmospheric reaeration of the water column and led to development of the winter dissolved-oxygen deficit. The anoxic conditions that eventually developed near the lake bottom allowed the release of nutrients from the bottom sediments and facilitated ammonification reactions. These processes yielded hypolimnetic concentrations of nitrogen and phosphorus compounds, which were much larger than the oligotrophic concentrations measured within the epilimnion. An analysis of nitrogen-to-phosphorus ratios showed that nitrogen was the nutrient most likely to limit phytoplankton growth during the summer. Although mean chlorophyll-a concentrations were at oligotrophic levels, concentrations did peak at 46.5 micrograms per liter in the east basin. During each year and in both basins, the peak chlorophyll-a concentrations were measured within the hypolimnion because the euphotic zone commonly was deeper than the epilimnion during the summer. The annual integral primary production of Big Lake in 1984 was 29.6 grams of carbon fixed per square meter with about 90 percent of that produced during May through October. During this time period, the lake received 76 percent of its annual input of solar irradiance. Monthly integral primary production, in milligrams of carbon fixed per square meter, ranged from 1.5 in January to 7,050 in July. When compared with the range of annual integral primary production measured in 50 International Biological Program lakes throughout the world, Big Lake had a low value of annual integral primary production. The results of this study lend credence to the concerns about the potential eutrophication of Big Lake. Increases in the supply of oxygen-demanding materials to Big Lake could worsen the hypolimnetic dissolved-oxygen deficit and possibly shift the lake's trophic state toward mesotrophy or eutrophy.

Water Supply Paper↗

Atlantic walrus (Odobenus rosmarus rosmarus): A literature survey and status report

It is generally agreed that the genus Odobenus includes only one species, O. rosmarus . At least two subspecies are widely recognized: O. r. rosmarus , the Atlantic walrus, and O. r. divergens , the Pacific walrus. A third nominal subspecies, O. r. laptevi , the Laptev walrus, is designated by some Soviet researchers; and the taxonomic status of the Kara Sea walrus is undetermined. The range and abundance of nearly all walrus stocks have been seriously reduced by intensive human exploitation. The Atlantic walrus, the principal subject of this study, remains plentiful in only three known areas of concentration: northern Hudson Bay and northern Foxe Basin in the eastern Canadian Arctic, and the Thule district of northwest Greenland. This animal is no longer the object of large-scale commercial hunting, but is still subject to heavy subsistence hunting by native groups in some areas. The status of the walrus population in Canada was investigated in the 1950's and is believed to have changed little since that time. There are probably no more than about 10,000 walruses in Canadian waters, virtually all of them in the eastern arctic. The biology, ecology, and exploitation of walruses in the Thule district were studied during the 1940's, and some information is available concerning recent catch levels and hunting practices. The Polar Eskimos of north Greenland continue to organize much of their cultural and economic life around the hunting of walruses, and the species remains abundant in their area, numbering at least a few thousand. The walrus stocks off west Greenland and in the Greenland, Barents, and Kara seas are the most critically depleted. No systematic field investigations of walruses east of Greenland have been made since the Kara Sea and Franz Josef Land populations were studied in the mid-1930's. Opportunistic sighting records and compilations of historical catch information indicate that the herds of many tens of thousands that once inhabited Svalbard, Bear Island, Franz Josef Land, Novaya Zemlya, and other parts of the Eurasian Arctic have been very nearly extirpated. Measures to curb the international trade in walrus ivory and skins may benefit the Atlantic subspecies in Canada and north Greenland. Enforcement of existing regulations pertaining to hunting by aborigines, and perhaps the imposition of further restrictions on such activities, are necessary if the subspecies is to approach full recovery. Field studies in the northeast Atlantic and off west Greenland would help determine the current status of walruses and provide a better understanding of the requirements for their recovery in these areas. The Laptev walrus seems to have been reduced by overexploitation, but available information, most of it translated from Russian, is inconclusive. This subspecies was thought to number around 4,000 to 5,000 in 1975, and Soviet scientists have remarked on the need for a reduction in hunting pressure and protection of its habitat.

Wildlife Research Report↗

Managing birds and controlling aircraft in the Kennedy Airport-Jamaica Bay Wildlife Refuge complex: The need for hard data and soft opinions

During the 1980s, the exponential growth of laughing gull ( Larus atricilla ) colonies, from 15 to about 7600 nests in 1990, in the Jamaica Bay Wildlife Refuge and a correlated increase in the bird-strike rate at nearby John F. Kennedy International Airport (New York City) led to a controversy between wildlife and airport managers over the elimination of the colonies. In this paper, we review data to evaluate if: (1) the colonies have increased the level of risk to the flying public; (2) on-colony population control would reduce the presence of gulls, and subsequently bird strikes, at the airport; and (3) all on-airport management alternatives have been adequately implemented. Since 1979, most (2987, 87%) of the 3444 bird strikes (number of aircraft struck) were actually bird carcasses found near runways (cause of death unknown but assumed to be bird strikes by definition). Of the 457 pilot-reported strikes (mean = 23 ± 6 aircraft/yr, N = 20 years), 78 (17%) involved laughing gulls. Since a gull-shooting program was initiated on airport property in 1991, over 50,000 adult laughing gulls have been killed and the number of reported bird strikes involving laughing gulls has declined from 6.9 ± 2.9 (1983–1990) to 2.6 ± 1.3 (1991–1998) aircraft/yr; nongull reported bird strikes, however, have more than doubled (6.4 ± 2.6, 1983–1990; 14.9 ± 5.1, 1991–1998). We found no evidence to indicate that on-colony management would yield a reduction of bird strikes at Kennedy Airport. Dietary and mark–recapture studies suggest that 60%–90% of the laughing gulls collected on-airport were either failed breeders and/or nonbreeding birds. We argue that the Jamaica Bay laughing gull colonies, the only ones in New York State, should not be managed at least until all on-airport management alternatives have been properly implemented and demonstrated to be ineffective at reducing bird strikes, including habitat alterations and increasing the capability of the bird control unit to eliminate bird flocks on-airport using nonlethal bird dispersal techniques. Because the gull-shooting program may be resulting in a nonsustainable regional population of laughing gulls (>30% decline), we also recommend that attempts be made to initiate an experimental colony elsewhere on Long Island to determine if colony relocation is a feasible management option.

New York↗

Morbidity in California giant salamander (Dicamptodon ensatus Eschscholtz, 1833) caused by Euryhelmis sp. Poche, 1926 (Trematoda: Heterophyiidae)

In the fall of 2021, California Department of Fish and Wildlife reported larval and adult California giant salamanders ( Dicamptodon ensatus Eschscholtz, 1833) with skin lesions at multiple creeks in Santa Clara and Santa Cruz Counties, California, USA. Field signs in both stages included rough, lumpy textured skin, and larvae with tails that were disproportionately long, flat, wavy, and flaccid. Presence of large-bodied larvae suggested delayed metamorphosis, with some larvae having cloudy eyes and suspected blindness. To determine the cause of the disease, three first-of-the-year salamanders from one location were collected, euthanized with 20% benzocaine, and submitted for necropsy to the U.S. Geological Survey, National Wildlife Health Center. Upon gross examination, all salamanders were emaciated with no internal fat stores, and had multiple pinpoint to 1.5-mm diameter raised nodules in the skin over the body, including the head, gills, dorsum, ventrum, all four limbs, and the tail; one also had nodules in the oral cavity and tongue. Histologically all salamanders had multiple encysted metacercariae in the dermis, subcutis, and skeletal muscles of the head, body, and tail that were often associated with granulomatous and granulocytic inflammation and edema. A small number of encysted meta cercariae or empty cysts were present in the gills with minimal inflammation, and rarely in the kidney with no associated inflammation. Morphology of live metacercariae (Trematoda: Heterophyiidae), and sequencing of the 28S rRNA gene identified a species of Euryhelmis (Poche, 1926). Artificial digestion of a 1.65 g, decapitated, eviscerated carcass yielded 773 metacercariae, all of similar size and morphology as the live specimens. Based on these findings, the poor body condition of these salamanders was concluded to be due to heavy parasite burden. Environmental factors such as drought, increased temperature, and overcrowded conditions may be exacerbating parasite infections in these populations of salamander.

California↗

Advances through collaboration: sharing seismic reflection data via the Antarctic Seismic Data Library System for Cooperative Research (SDLS)

The Antarctic Seismic Data Library System for Cooperative Research (SDLS) has served for the past 16 years under the auspices of the Antarctic Treaty (ATCM Recommendation XVI-12) as a role model for collaboration and equitable sharing of Antarctic multichannel seismic reflection (MCS) data for geoscience studies. During this period, collaboration in MCS studies has advanced deciphering the seismic stratigraphy and structure of Antarctica’s continental margin more rapidly than previously. MCS data compilations provided the geologic framework for scientific drilling at several Antarctic locations and for high-resolution seismic and sampling studies to decipher Cenozoic depositional paleoenvironments. The SDLS successes come from cooperation of National Antarctic Programs and individual investigators in “on-time” submissions of their MCS data. Most do, but some do not. The SDLS community has an International Polar Year (IPY) goal of all overdue MCS data being sent to the SDLS by end of IPY. The community science objective is to compile all Antarctic MCS data to derive a unified seismic stratigraphy for the continental margin – a stratigraphy to be used with drilling data to derive Cenozoic circum-Antarctic paleobathymetry maps and local-to-regional scale paleoenvironmental histories.

Open-File Report↗

Reconnaissance investigation of the rough diamond resource potential and production capacity of Côte d’Ivoire

Ethnic and political conflict developed into open civil war in Côte d’Ivoire in 2002, leading to a de facto partitioning of the country into the government-controlled south and the rebel-controlled north. Côte d’Ivoire’s two main diamond mining areas, Séguéla and Tortiya, are located in the north, under what was, until recently, rebel-controlled territory. In an effort to prevent proceeds from diamond mining from funding the conflict, the United Nations (UN) placed an embargo on the export of rough diamonds from Côte d’Ivoire in 2005. That same year, the Kimberley Process (KP), the international initiative charged with stemming the flow of conflict diamonds, acted to enforce this ban by adopting the Moscow Resolution on Côte d’Ivoire, which contained measures to prevent the infiltration of Ivorian diamonds into the legitimate global rough diamond trade. Though under scrutiny by the international community, diamond mining activities continued in Côte d’Ivoire, with artisanal miners exploiting both alluvial deposits in fluvial systems and primary kimberlitic dike deposits. However, because of the embargo, there has been no official record of diamond production since the conflict began in 2002. This lack of production statistics represents a significant data gap and hinders efforts by the KP to understand how illicitly produced diamonds may be entering the legitimate trade. This study presents the results of a multiyear effort to monitor the diamond mining activities of Côte d’Ivoire’s two main diamond mining areas, Séguéla and Tortiya. An innovative approach was developed that integrates data acquired from archival reports and maps, high-resolution satellite imagery, and digital terrain modeling to assess the total diamond endowment of the Séguéla and Tortiya deposits and to calculate annual diamond production from 2006 to 2013. On the basis of currently available data, this study estimates that a total of 10,100,000 carats remain in Séguéla and a total of 1,100,000 carats remain in Tortiya. Production capacity was calculated for the two study areas for the years 2006–2010 and 2012–2013. Production capacity was found to range from between 38,000 carats and 375,000 carats in Séguéla and from 13,000 carats and 20,000 carats in Tortiya. Further, this study demonstrates that artisanal mining activities can be successfully monitored by using remote sensing and geologic modeling techniques. The production capacity estimates presented here fill a significant data gap and provide policy makers, the UN, and the KP with important information not otherwise available.

Scientific Investigations Report↗