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At least 919 records · Page 51Linked to original sources

Analyzing the water budget and hydrological characteristics and responses to land use in a monsoonal climate river basin in South China

Hydrological models have been increasingly used by hydrologists and water resource managers to understand natural processes and human activities that affect watersheds. In this study, we use the physically based model, Soil and Water Assessment Tool (SWAT), to investigate the hydrological processes in the East River Basin in South China, a coastal area dominated by monsoonal climate. The SWAT model was calibrated using 8-year (1973–1980) record of the daily streamflow at the basin outlet (Boluo station), and then validated using data collected during the subsequent 8 years (1981–1988). Statistical evaluation shows that SWAT can consistently simulate the streamflow of the East River with monthly Nash–Sutcliffe efficiencies of 0.93 for calibration and 0.90 for validation at the Boluo station. We analyzed the model simulations with calibrated parameters, presented the spatiotemporal distribution of the key hydrological components, and quantified their responses to different land uses. Watershed managers can use the results of this study to understand hydrological features and evaluate water resources of the East River in terms of sustainable development and effective management.

Environmental Management↗

Public lakes, private lakeshore: Modeling protection of native aquatic plants

Protection of native aquatic plants is an important proenvironmental behavior, because plant loss coupled with nutrient loading can produce changes in lake ecosystems. Removal of aquatic plants by lakeshore property owners is a diffuse behavior that may lead to cumulative impacts on lake ecosystems. This class of behavior is challenging to manage because collective impacts are not obvious to the actors. This paper distinguishes positive and negative beliefs about aquatic plants, in models derived from norm activation theory (Schwartz, Adv Exp Soc Psychol 10:221–279, 1977 ) and the theory of reasoned action (Fishbein and Ajzen, Belief, attitude, intention, and behavior: an introduction to theory and research, Addison-Wesley, Boston 1975 ), to examine protection of native aquatic plants by Minnesota lakeshore property owners. We clarify how positive and negative evaluations of native aquatic plants affect protection or removal of these plants. Results are based on a mail survey ( n = 3,115). Results suggest that positive evaluations of aquatic plants (i.e., as valuable to lake ecology) may not connect with the global attitudes and behavioral intentions that direct plant protection or removal. Lakeshore property owners’ behavior related to aquatic plants may be driven more by tangible personal benefits derived from accessible, carefully managed lakeshore than intentional action taken to sustain lake ecosystems. The limited connection of positive evaluations of aquatic plants to global attitudes and behavioral intentions may reflect either lack of knowledge of what actions are needed to protect lake health and/or unwillingness to lose perceived benefits derived from lakeshore property.

Minnesota↗

Advancing environmental flow science: Developing frameworks for altered landscapes and integrating efforts across disciplines.

Environmental flows represent a legal mechanism to balance existing and future water uses and sustain non-use values. Here, we identify current challenges, provide examples where they are important, and suggest research advances that would benefit environmental flow science. Specifically, environmental flow science would benefit by (1) developing approaches to address streamflow needs in highly modified landscapes where historic flows do not provide reasonable comparisons, (2) integrating water quality needs where interactions are apparent with quantity but not necessarily the proximate factor of the ecological degradation, especially as frequency and magnitudes of inflows to bays and estuaries, (3) providing a better understanding of the ecological needs of native species to offset the often unintended consequences of benefiting non-native species or their impact on flows, (4) improving our understanding of the non-use economic value to balance consumptive economic values, and (5) increasing our understanding of the stakeholder socioeconomic spatial distribution of attitudes and perceptions across the landscape. Environmental flow science is still an emerging interdisciplinary field and by integrating socioeconomic disciplines and developing new frameworks to accommodate our altered landscapes, we should help advance environmental flow science and likely increase successful implementation of flow standards.

Environmental Management↗

Organizing environmental flow frameworks to meet hydropower mitigation needs

The global recognition of the importance of natural flow regimes to sustain the ecological integrity of river systems has led to increased societal pressure on the hydropower industry to change plant operations to improve downstream aquatic ecosystems. However, a complete reinstatement of natural flow regimes is often unrealistic when balancing water needs for ecosystems, energy production, and other human uses. Thus, stakeholders must identify a prioritized subset of flow prescriptions that meet ecological objectives in light of realistic constraints. Yet, isolating aspects of flow regimes to restore downstream of hydropower facilities is among the greatest challenges of environmental flow science due, in part, to the sheer volume of available environmental flow tools in conjunction with complex negotiation-based regulatory procedures. Herein, we propose an organizational framework that structures information and existing flow paradigms into a staged process that assists stakeholders in implementing environmental flows for hydropower facilities. The framework identifies areas where regulations fall short of the needed scientific process, and provide suggestions for stakeholders to ameliorate those situations through advanced preparation. We highlight the strengths of existing flow paradigms in their application to hydropower settings and suggest when and where tools are most applicable. Our suggested framework increases the effectiveness and efficiency of the e-flow implementation process by rapidly establishing a knowledge base and decreasing uncertainty so more time can be devoted to filling knowledge gaps. Lastly, the framework provides the structure for a coordinated research agenda to further the science of environmental flows related to hydropower environments.

Environmental Management↗

Identifying policy-relevant indicators for assessing landscape vegetation patterns to inform planning and management on multiple use public lands

Understanding the structure and composition of landscapes can empower agencies to effectively manage public lands for multiple uses while sustaining land health. Many landscape metrics exist, but they are not often used in public land decision-making. Our objectives were to (1) develop and (2) apply a process for identifying a core set of indicators that public land managers can use to understand landscape-level resource patterns on and around public lands. We first developed a process for identifying indicators that are grounded in policy, feasible to quantify using existing data and resources, and useful for managers. We surveyed landscape monitoring efforts by other agencies, gathered science and agency input on monitoring goals, and quantified the prevalence of potential indicators in agency land health standards to identify five landscape indicators: amount, distribution, patch size, structural connectivity, and diversity of vegetation types. We then conducted pilot applications in four bureau of land management (BLM) field offices in Arizona, California, and Colorado to refine procedures for quantifying the indicators and assess the utility of the indicators for managers. Results highlighted the dominance of upland and the limited extent of riparian/wetland vegetation communities, moderate connectivity of priority vegetation patches, and lower diversity of native vegetation types on BLM compared to non-BLM lands. Agency staff can use the indicators to inform the development of quantitative resource management objectives in land use plans, evaluate progress in meeting those objectives, quantify potential impacts of proposed actions, and as a foundation for an all-lands approach to landscape-level management across public lands.

Environmental Management↗

Reframing fish passage prioritization for human nutrition outcomes

Water control infrastructure forms barriers that fragment river habitats, reducing aquatic biodiversity and the ecosystem services it provides. Irrigation infrastructure, for example, although implemented to support food production, highlights problematic trade-offs against wild food systems like inland fisheries which are a critical food resource for tens of millions of people, particularly in tropical countries. To reduce fragmentation at a broad range of barriers, fish passage technology is sometimes implemented to support migrating fish, aided by frameworks designed to prioritize barriers for remediation. This study critically evaluated 93 fish passage barrier prioritization frameworks globally to explore how they could strategically guide fish passage investments in tropical contexts and identify criteria relevant to delivering on nutrition security outcomes. Results showed prioritization frameworks were ill-equipped to support the broader human development goals that may drive fish passage investments in tropical countries, such as supporting human nutrition under United Nations Sustainable Development Goal (SDG) 2: Zero Hunger. Tropical contexts were underrepresented despite substantial recent fish passage investment, whereas temperate and conservation focused frameworks, particularly from North America, dominated. These findings prompt reflection on the inherent biases in fish passage barrier prioritization frameworks and criteria. Improving understanding of and collaboration with local partners to integrate SDG 2 into future prioritization frameworks could improve fish passage infrastructure and help support better nutrition and food production for communities.

Environmental Management↗

Population trends of king and common eiders from spring migration counts at Point Barrow, Alaska between 1994 and 2016

Most king ( Somateria spectabilis ) and common eiders ( S. mollissima v-nigra) breeding in the northwestern Nearctic migrate past Point Barrow, Alaska. Spring migration counts have been conducted there since 1953; during 1976–1996, both species declined > 50% for unknown reasons. To evaluate population trends, counts in 2003, 2004, 2015, and 2016 were compared to earlier counts. King eider estimates were 304,966 (95% CI ± 76,254) in 2003, 591,961 (± 172,011) in 2004, 796,419 (± 304,011) in 2015, and 322,381 (± 145,833) in 2016. Common eider estimates were 114,998 (± 28,566) in 2003, 110,561 (± 32,087) in 2004, 96,775 (± 39,913) in 2015, and 130,390 (± 34,548) in 2016. The 2016 estimate was likely biased low for king eiders due to weather (causing large pulses of king eiders to pass within 2 days) and early ice break-up (causing observers to count at greater distances from the flocks). Using all estimates, populations of both species were statistically stable during 1994–2016. Excluding the 2016 count for king eiders indicated a significant increase of 18.63%/year in that population. Photo analysis of flocks in 2016 indicated that observer counts averaged 4% lower, species detection was not different, but females’ counts were underestimated by 25%. Methods should be refined to reduce bias and variability. Ice-based spring counts are becoming more difficult due to earlier break-up, less stable ice, and new techniques or locations; or a switch to land-based summer/fall migration counts are needed. Population monitoring is needed to ensure sustainability of harvests for these valuable subsistence resources.

Alaska↗

Basanite-nephelinite suite from early Kilauea: Carbonated melts of phlogopite-garnet peridotite at Hawaii's leading magmatic edge

A basanite-nephelinite glass suite from early submarine Kilauea defines a continuous compositional array marked by increasing concentrations of incompatible components with decreasing SiO 2 , MgO, and Al 2 O 3 . Like peripheral and post-shield strongly alkalic Hawaiian localities (Clague et al. in J Volcanol Geotherm Res 151:279-307, 2006; Dixon et al. in J Pet 38:911-939, 1997), the early Kilauea basanite-nephelinite glasses are interpreted as olivine fractionation products from primary magnesian alkalic liquids. For early Kilauea, these were saturated with a garnet-phlogopite-sulfide peridotite assemblage, with elevated dissolved CO 2 contents responsible for the liquids' distinctly low-SiO 2 concentrations. Reconstructed primitive liquids for early Kilauea and other Hawaiian strongly alkalic localities are similar to experimental 3 GPa low-degree melts of moderately carbonated garnet lherzolite, and estimated parent magma temperatures of 1,350-1,400??C (olivine-liquid geothermometry) match the ambient upper mantle geotherm shortly beneath the base of the lithosphere. The ???3 GPa source regions were too hot for stable crystalline carbonate and may have consisted of ambient upper mantle peridotite containing interstitial carbonate-silicate or carbonatitic liquid, possibly (Dixon et al. in Geochem Geophys Geosyst 9(9):Q09005, 2008), although not necessarily, from the Hawaiian mantle plume. Carbonate-enriched domains were particularly susceptible to further melting upon modest decompression during upward lithospheric flexure beneath the advancing Hawaiian Arch, or by conductive heating or upward drag by the Hawaiian mantle plume. The early Kilauea basanite-nephelinite suite has a HIMU-influenced isotopic character unlike other Hawaiian magmas (Shimizu et al. in EOS Tran Amer Geophys Union 82(47): abstr V12B-0962, 2001; Shimizu et al. in Geochim Cosmochim Acta 66(15A):710, 2002) but consistent with oceanic carbonatite involvement (Hoernle et al. in Contrib Mineral Petrol 142:520-542, 2002). It may represent the melting products of a fertile domain in the ambient upper mantle impinged upon and perturbed by the sustained plume source that feeds later shield-stage magmatism. ?? US Government 2009.

Contributions to Mineralogy and Petrology↗

Poor population recovery of Lake Washington Chinook Salmon (Oncorhynchus tshawytscha) in Pacific Northwestern USA may be associated with disease caused by Ceratonova shasta in an urban-influenced watershed

Understanding the effects of anthropogenic changes on fish disease is vital for supporting mitigative actions for fisheries population recovery. The Lake Washington watershed in the Pacific Northwestern United States is influenced by high urban development and climate change, compromising the sustainability of anadromous salmon. We investigated Ceratonova shasta , a myxozoan parasite, in Chinook Salmon Oncorhynchus tshawytscha to determine the impacts of C. shasta -induced enteronecrosis during salmon freshwater migrations within this watershed. All sampled adult Chinook Salmon returning to an enhancement hatchery to spawn were infected with genotype I C. shasta with a high prevalence of severe enteritis and enteronecrosis. Parasite loads and associated pathology were more severe in adult fish succumbing to prespawn mortality than in fish that spawned. Natural prespawn mortality of Chinook Salmon in the Cedar River was also associated with high C. shasta loads. Sentinel exposure studies with Chinook Salmon juveniles in the spring and fall demonstrated high levels of C. shasta genotype II actinospores in the Lake Washington Ship Canal, a human engineered canal that salmon must traverse in their freshwater migrations from the Puget Sound. The sentinel juvenile Chinook Salmon succumbed to clinical disease and high mortality from genotype II C. shasta , suggesting that these stocks have high susceptibility to this genotype. The results show that both genotypes I and II pose disease risks to adult and juvenile stages of Chinook Salmon in the watershed, and that the Lake Washington Ship Canal could be a C. shasta ‘hot spot’ for genotype II that may increase disease risk for juveniles during smolt emigration.

Washington↗

Urbanization’s influence on the distribution of mange in a carnivore revealed with multistate occupancy models

Increasing urbanization and use of urban areas by synanthropic wildlife has increased human and domestic animal exposure to zoonotic diseases and exacerbated epizootics within wildlife populations. Consequently, there is a need to improve wildlife disease surveillance programs to rapidly detect outbreaks and refine inferences regarding spatiotemporal disease dynamics. Multistate occupancy models can address potential shortcomings in surveillance programs by accounting for imperfect detection and the misclassification of disease states. We used these models to explore the relationship between urbanization, slope, and the spatial distribution of sarcoptic mange in coyotes ( Canis latrans ) inhabiting Fort Irwin, California, USA. We deployed remote cameras across 180 sites within the desert surrounding the populated garrison and classified sites by mange presence or absence depending on whether a symptomatic or asymptomatic coyote was photographed. Coyotes selected flatter sites closer to the urban area with a high probability of use (0.845, 95% credible interval (CRI): 0.728, 0.944); site use decreased as the distance to urban areas increased (standardized β ^ "> β ˆ β^ = − 1.354, 95% CRI − 2.423, − 0.619). The probability of correctly classifying mange presence at a site also decreased further from the urban area and was probably related to the severity of mange infection. Severely infected coyotes, which were more readily identified as symptomatic, resided closer to the urban area and were most likely dependent on urban resources for survival; urban resources probably contributed to sustaining the disease. Multistate occupancy models represent a flexible framework for estimating the occurrence and spatial extent of observable infectious diseases, which can improve wildlife disease surveillance programs.

California↗

Complex proximal deposition during the Plinian eruptions of 1912 at Novarupta, Alaska

Proximal (<3 km) deposits from episodes II and III of the 60-h-long Novarupta 1912 eruption exhibit a very complex stratigraphy, the result of at least four transport regimes and diverse depositional mechanisms. They contrast with the relatively simple stratigraphy (and inferred emplacement mechanisms) for the previously documented, better known, medial-distal fall deposits and the Valley of Ten Thousand Smokes ignimbrite. The proximal products include alternations and mixtures of both locally and regionally dispersed fall ejecta, and numerous thin complex deposits of pyroclastic density currents (PDCs) with no regional analogs. The locally dispersed component of the fall deposits forms sector-confined wedges of material whose thicknesses halve radially from and concentrically about the vent over distances of 100-300 m (cf. several kilometers for the medial-distal fall deposits). This locally dispersed fall material (and many of the associated PDC deposits) is rich in andesitic and banded pumices and richer in shallow-derived wall-rock lithics in comparison with the coeval medial fall units of almost entirely dacitic composition. There are no marked contrasts in grain size in the near-vent deposits, however, between locally and widely dispersed beds, and all samples of the proximal fall deposits plot as a simple continuation of grain size trends for medial-distal samples. Associated PDC deposits form a spectrum of facies from fines-poor, avalanched beds through thin-bedded, landscape-mantling beds to channelized lobes of pumice-block-rich ignimbrite. The origins of the Novarupta near-vent deposits are considered within a spectrum of four transport regimes: (1) sustained buoyant plume, (2) fountaining with co-current flow, (3) fountaining with counter-current flow, and (4) direct lateral ejection. The Novarupta deposits suggest a model where buoyant, stable, regime-1 plumes characterized most of episodes II and III, but were accompanied by transient and variable partitioning of clasts into the other three regimes. Only one short period of vent blockage and cessation of the Plinian plume occurred, separating episodes II and III, which was followed by a single PDC interpreted as an overpressured "blast" involving direct lateral ejection. In contrast, regimes 2 and 3 were reflected by spasmodic sedimentation from the margins of the jet and perhaps lower plume, which were being strongly affected by short-lived instabilities. These instabilities in turn are inferred to be associated with heterogeneities in the mixture of gas and pyroclasts emerging from the vent. Of the parameters that control explosive eruptive behavior, only such sudden and asymmetrical changes in the particle concentration could operate on time scales sufficiently short to explain the rapid changes in the proximal 1912 products. Springer-Verlag 2003.

Alaska↗

Seismo-acoustic signals associated with degassing explosions recorded at Shishaldin Volcano, Alaska, 2003-2004

In summer 2003, a Chaparral Model 2 microphone was deployed at Shishaldin Volcano, Aleutian Islands, Alaska. The pressure sensor was co-located with a short-period seismometer on the volcano&rsquo;s north flank at a distance of 6.62 km from the active summit vent. The seismo-acoustic data exhibit a correlation between impulsive acoustic signals (1&ndash;2 Pa) and long-period (LP, 1&ndash;2 Hz) earthquakes. Since it last erupted in 1999, Shishaldin has been characterized by sustained seismicity consisting of many hundreds to two thousand LP events per day. The activity is accompanied by up to &sim;200 m high discrete gas puffs exiting the small summit vent, but no significant eruptive activity has been confirmed. The acoustic waveforms possess similarity throughout the data set (July 2003&ndash;November 2004) indicating a repetitive source mechanism. The simplicity of the acoustic waveforms, the impulsive onsets with relatively short (&sim;10&ndash;20 s) gradually decaying codas and the waveform similarities suggest that the acoustic pulses are generated at the fluid&ndash;air interface within an open-vent system. SO 2 measurements have revealed a low SO 2 flux, suggesting a hydrothermal system with magmatic gases leaking through. This hypothesis is supported by the steady-state nature of Shishaldin&rsquo;s volcanic system since 1999. Time delays between the seismic LP and infrasound onsets were acquired from a representative day of seismo-acoustic data. A simple model was used to estimate source depths. The short seismo-acoustic delay times have revealed that the seismic and acoustic sources are co-located at a depth of 240&plusmn;200 m below the crater rim. This shallow depth is confirmed by resonance of the upper portion of the open conduit, which produces standing waves with f =0.3 Hz in the acoustic waveform codas. The infrasound data has allowed us to relate Shishaldin&rsquo;s LP earthquakes to degassing explosions, created by gas volume ruptures from a fluid&ndash;air interface.

Alaska↗

Directed blasts and blast-generated pyroclastic density currents: a comparison of the Bezymianny 1956, Mount St Helens 1980, and Soufrière Hills, Montserrat 1997 eruptions and deposits

We compare eruptive dynamics, effects and deposits of the Bezymianny 1956 (BZ), Mount St Helens 1980 (MSH), and Soufri&egrave;re Hills volcano, Montserrat 1997 (SHV) eruptions, the key events of which included powerful directed blasts. Each blast subsequently generated a high-energy stratified pyroclastic density current (PDC) with a high speed at onset. The blasts were triggered by rapid unloading of an extruding or intruding shallow magma body (lava dome and/or cryptodome) of andesitic or dacitic composition. The unloading was caused by sector failures of the volcanic edifices, with respective volumes for BZ, MSH, and SHV c. 0.5, 2.5, and 0.05 km 3 . The blasts devastated approximately elliptical areas, axial directions of which coincided with the directions of sector failures. We separate the transient directed blast phenomenon into three main parts, the burst phase, the collapse phase, and the PDC phase. In the burst phase the pressurized mixture is driven by initial kinetic energy and expands rapidly into the atmosphere, with much of the expansion having an initially lateral component. The erupted material fails to mix with sufficient air to form a buoyant column, but in the collapse phase, falls beyond the source as an inclined fountain, and thereafter generates a PDC moving parallel to the ground surface. It is possible for the burst phase to comprise an overpressured jet, which requires injection of momentum from an orifice; however some exploding sources may have different geometry and a jet is not necessarily formed. A major unresolved question is whether the preponderance of strong damage observed in the volcanic blasts should be attributed to shock waves within an overpressured jet, or alternatively to dynamic pressures and shocks within the energetic collapse and PDC phases. Internal shock structures related to unsteady flow and compressibility effects can occur in each phase. We withhold judgment about published shock models as a primary explanation for the damage sustained at MSH until modern 3D numerical modeling is accomplished, but argue that much of the damage observed in directed blasts can be reasonably interpreted to have been caused by high dynamic pressures and clast impact loading by an inclined collapsing fountain and stratified PDC. This view is reinforced by recent modeling cited for SHV. In distal and peripheral regions, solids concentration, maximum particle size, current speed, and dynamic pressure are diminished, resulting in lesser damage and enhanced influence by local topography on the PDC. Despite the different scales of the blasts (devastated areas were respectively 500, 600, and >10 km 2 for BZ, MSH, and SHV), and some complexity involving retrogressive slide blocks and clusters of explosions, their pyroclastic deposits demonstrate strong similarity. Juvenile material composes >50% of the deposits, implying for the blasts a dominantly magmatic mechanism although hydrothermal explosions also occurred. The character of the magma fragmented by explosions (highly viscous, phenocryst-rich, variable microlite content) determined the bimodal distributions of juvenile clast density and vesicularity. Thickness of the deposits fluctuates in proximal areas but in general decreases with distance from the crater, and laterally from the axial region. The proximal stratigraphy of the blast deposits comprises four layers named A, B, C, D from bottom to top. Layer A is represented by very poorly sorted debris with admixtures of vegetation and soil, with a strongly erosive ground contact; its appearance varies at different sites due to different ground conditions at the time of the blasts. The layer reflects intense turbulent boundary shear between the basal part of the energetic head of the PDC and the substrate. Layer B exhibits relatively well-sorted fines depleted debris with some charred plant fragments; its deposition occurred by rapid suspension sedimentation in rapidly waning, high-concentration conditions. Layer C is mainly a poorly sorted massive layer enriched by fines with its uppermost part laminated, created by rapid sedimentation under moderate-concentration, weakly tractive conditions, with the uppermost laminated part reflecting a dilute depositional regime with grain-by-grain traction deposition. By analogy to laboratory experiments, mixing at the flow head of the PDC created a turbulent dilute wake above the body of a gravity current, with layer B deposited by the flow body and layer C by the wake. The uppermost layer D of fines and accretionary lapilli is an ash fallout deposit of the finest particles from the high-rising buoyant thermal plume derived from the sediment-depleted pyroclastic density current. The strong similarity among these eruptions and their deposits suggests that these cases represent similar source, transport and depositional phenomena.

Bezymianny, Mount St Helens, Soufriere Hills↗

Did ice-charging generate volcanic lightning during the 2016–2017 eruption of Bogoslof volcano, Alaska?

The 2016–2017 shallow submarine eruption of Bogoslof volcano in Alaska injected plumes of ash and seawater to maximum heights of ~ 12 km. More than 4550 volcanic lightning strokes were detected by the World Wide Lightning Location Network (WWLLN) and Vaisala’s Global Lightning Dataset (GLD360) over 9 months. Lightning assisted monitoring efforts by confirming ash-producing explosions in near-real time, but only 32 out of the 70 explosive events produced detectable lightning. What led to electrical activity within some of the volcanic plumes, but not others? And why did the lightning intensity wax and wane over the lifetime of individual explosions? We address these questions using multiparametric observations from ground-based lightning sensors, satellite imagery, photographs, acoustic signals, and 1D plume modeling. Detailed time-series of monitoring data show that the plumes did not produce detectable lightning until they rose higher than the atmospheric freezing level (approximated by − 20 °C temperatures). For example, on 28 May 2017 (event 40), the delayed onset of lightning coincides with modeled ice formation in upper levels of the plume. Model results suggest that microphysical conditions inside the plume rivaled those of severe thunderstorms, with liquid water contents > 5 g m −3 and vigorous updrafts > 40 m s −1 in the mixed-phase region where liquid water and ice coexist. Based on these findings, we infer that ‘thunderstorm-style’ collisional ice-charging catalyzed the volcanic lightning. However, charge mechanisms likely operated on a continuum, with silicate collisions dominating electrification in the near-vent region, and ice charging taking over in the upper-level plumes. A key implication of this study is that lightning during the Bogoslof eruption provided a reliable indicator of sustained, ash-rich plumes (and associated hazards) above the atmospheric freezing level.

Alaska↗

The historic events at Kilauea Volcano in 2018: Summit collapse, rift zone eruption, and Mw 6.9 earthquake: Preface to the special issue

Kīlauea Volcano, on the Island of Hawaiʻi, has had a prominent role in the science of volcanology, and a long history of generating new insights into how volcanoes operate (Tilling et al. 2014; Garcia 2015). Native Hawaiians shared ideas on the behavior of the volcano with early Western visitors to Kīlauea, addressing the basic geometry of magma supply and transport (Ellis 1825; Bishop 1827). The recognition that magma originated at the summit and was transferred at shallow levels to the flanks implied that these ideas were rooted in centuries of observation preceding Western contact. The lava lake activity at Kīlauea’s summit in the 1800s and early 1900s fascinated early geologists, such as James Dana (1890), who published one of the first inquiries into the fundamental processes of Hawaiian volcanoes. The sustained activity led to the 1912 founding of the Hawaiian Volcano Observatory, one of the world’s first volcano observatories, by Thomas Jaggar (Tilling et al. 2014). Kīlauea’s activity in the 20th century contributed to the development of many modern volcano monitoring techniques (Tilling et al. 2014), which helped refine conceptual models of how volcanoes behave (Eaton and Murata, 1960).

Hawaii↗

Quantifying gas emissions associated with the 2018 rift eruption of Kīlauea Volcano using ground-based DOAS measurements

Starting on 3 May 2018, a series of eruptive fissures opened in Kīlauea Volcano’s lower East Rift Zone (LERZ). Over the course of the next 3 months, intense degassing accompanied lava effusion from these fissures. Here, we report on ground-based observations of the gas emissions associated with Kīlauea’s 2018 eruption. Visual observations combined with radiative transfer modeling show that ultraviolet light could not efficiently penetrate the gas and aerosol plume in the LERZ, complicating SO 2 measurements by differential optical absorption spectroscopy (DOAS). By applying a statistical method that integrates a radiative transfer model with the DOAS retrievals, we were able to calculate sulfur dioxide (SO 2 ) emission rates along with estimates of their uncertainty. We find that sustained SO 2 emissions were highest in June and early July, when approximately 200 kt SO 2 were emitted daily. At the 68% confidence interval, we estimate that 7.1–13.6 Mt SO 2 were released from the LERZ during the entire May to September eruptive episode. Scaling our results with in situ measurements of plume composition, we calculate that 11–21 Mt H 2 O and 1.5–2.8 Mt CO 2 were also emitted. The gas and aerosol emissions caused hazardous conditions in areas proximal to the active vents, but plume dispersion modeling shows that the eruption also significantly impacted air quality hundreds of kilometers downwind. Combined with petrologic studies of the erupted lavas, our measurements indicate that 1.1–2.3 km 3 dense-rock equivalent of lava were erupted from the LERZ, which is approximately twice the concomitant collapse volume of the volcano’s summit.

Hawaii↗

Incremental caldera collapse at Kīlauea Volcano recorded in ground tilt and high-rate GNSS data, with implications for collapse dynamics and the magma system

Ground deformation during caldera collapse at Kīlauea Volcano in 2018 was recorded in unprecedented detail on a network of real-time GNSS (Global Navigation Satellite System) and tilt instruments. Observations informed hazard assessments during the eruption and now yield insight into collapse dynamics and the magma system. The caldera grew in size over 78 days in a series of repeating, quasi-periodic &#x223C; "> ∼ ∼ day-long cycles. During abrupt seconds-long collapse events, fault-bounded caldera blocks subsided by meters, while the surrounding edifice moved upwards and outwards by as much as tens of centimeters. Between collapses, stations outside of the caldera moved inwards and downwards at decreasing rates, largely reversing co-collapse deformations. In total, the caldera subsided >500 m at its deepest point while the surrounding edifice subsided mostly less than 2 m chiefly in a region south of the new caldera. Ground deformation reflects magma withdrawal from the broader summit magma system and faulting processes related to collapse. Deformation cycles were caused by step-like pressurization of Kīlauea’s subcaldera magma system due to episodic, stick-slip roof rock subsidence, followed by gradual pressure reduction as magma continued to drain from the summit, stressing faults and leading to subsequent collapses. A model of piston-like subsidence implies that larger collapses increased pressure in a compressible subcaldera magma reservoir by several MPa, driving flow to the rift through a relatively wide conduit. Collapses did not fully recover precollapse pressure loss in the reservoir, and excess pressure driving the eruption was very low; the eruption was thus tenuously sustained by collapses. Important open questions remain about the relation between caldera floor subsidence and ground deformation, the role of other magma storage zones, and the interplay of summit and rift processes in controlling the evolution of the eruption.

Hawaii↗

Onset and evolution of summit lava fountaining during the Mauna Loa 2022 eruption

The start of the Mauna Loa 2022 eruption in the Mokuʻāweoweo summit caldera was entirely captured through webcam videos. We analyzed footage from the ~ 7-h summit episode, processing > 87,000 frames using a newly automated method to measure fountain heights, fissure lengths, and inflight ejecta volumes. The summit episode comprised four phases. In Phase 1 (~ 1 h ), a ~ 1 km long fissure propagated from southwest to northeast, with steady fountain heights reaching 125 m. In Phase 2 (~ 50 min ), two further fissure segments extended the total length to ~ 2.4 km, with fountains focused into point sources reaching up to 70 m. In Phase 3 (~ 70 min ), the eruption was steady with no major changes in eruptive behavior. In Phase 4 (~ 4 h ), fountains became unsteady and weak (< 30 m). Fissure growth rates varied from ~ 20 to -9 m/min, and bulk magma flux peaked at 2.7 × 10 4 m 3 /s. An inverse relationship between maximum fountain heights and fissure lengths suggests that total magma flux was nearly constant until Phase 4. We propose an interconnected feeding system for the summit episode with a preferential pathway for gas-rich magma in the southwest portion of the caldera. The sustained nature of the episode was likely driven by the fast rise of melt coupled with small bubbles, with trains of decoupled larger bubbles producing pulsations. Webcam videography was an effective tool to quantify early-stage eruption parameters and could be further explored for rapid response and fine-tuning of hazard mitigation strategies on erupting basaltic volcanoes.

Hawaii↗