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At least 937 records · Page 52Linked to original sources

Source water controls on the character and origin of dissolved organic matter in streams of the Yukon River basin, Alaska

Climate warming and permafrost degradation at high latitudes will likely impact watershed hydrology, and consequently, alter the concentration and character of dissolved organic carbon (DOC) in northern rivers. We examined seasonal variation of DOC chemistry in 16 streams of the Yukon River basin, Alaska. Our primary objective was to evaluate the relationship between source water (shallow versus deep groundwater flow paths) and DOC chemical composition. Using base cation chemistry and principal component analysis, we observed high contributions of deep groundwater to glacial and clearwater streams, whereas blackwater streams received larger contributions from shallow groundwater sources. DOC concentration and specific ultraviolet absorbance peaked during spring snowmelt in all streams, and were consistently higher in blackwater streams than in glacial and clearwater streams. The hydrophobic acid fraction of DOC dominated across all streams and seasons, comprising between 35% and 56% of total DOC. The hydrophilic acid fraction of DOC was more prominent in glacial (23% ± 3%) and clearwater streams (19% ± 1%) than in blackwater streams (16% ± 1%), and was enriched during winter base flow (29% ± 1%) relative to snowmelt and summer base flow. We observed that an increase in the contribution of deep groundwater to streamflow resulted in decreased DOC concentration, aromaticity, and DOC-to-dissolved organic nitrogen ratio, and an increase in the proportion of hydrophilic acids relative to hydrophobic acids. Our findings suggest that future permafrost degradation and higher contributions of groundwater to streamflow may result in a higher fraction of labile DOM in streams of the Yukon basin.

Journal of Geophysical Research G: Biogeosciences↗

Modeling legacy nitrogen transport under instantaneous, steady-state, and transient groundwater flow conditions

In hydrologic settings where groundwater discharge contributes substantially to surface waters, legacy nitrogen in groundwater can confound surface water nitrogen loads estimated exclusively from current terrestrial sources. Additionally, legacy nitrogen in groundwater can contribute to lagged responses to nitrogen management efforts. Some methods of estimating groundwater contributions to surface water nitrogen loads account for legacy nitrogen, while others do not. The resulting differences are rarely quantified. We used a numerical modeling framework to compare three methods of estimating time-varying annual groundwater nitrogen loads to surface water receptors on eastern Long Island, New York. The instantaneous load method used steady-state contributing areas and includes no temporal groundwater lag. The second method used numerical simulations of nitrogen loads under steady-state flow, which captures groundwater transport lags but omits the annual variability in transient hydrologic stresses. The third method numerically simulated both transient groundwater flow and nitrogen transport to explicitly capture the effects of legacy nitrogen in groundwater. Depending on antecedent nitrogen and hydrologic conditions, historical nitrogen loads estimated from the numerical simulations were sometimes similar (<10% difference) and other times substantially different (±100%) from the instantaneous load estimates. Additionally, simulated future surface water nitrogen loads responded asymptotically over several decades following reductions in terrestrial nitrogen sources, further highlighting the effect of groundwater transport lag times. The comparison of the three methods, quantification of historical interannual variability, and prediction of lagged responses to nitrogen source reductions provide important context for decision makers using estimated groundwater nitrogen loads to help evaluate nitrogen management efficacy.

New York↗

Methane hydrate-bearing seeps as a source of aged dissolved organic carbon to the oceans

Marine sediments contain about 500–10,000 Gt of methane carbon1, 2, 3, primarily in gas hydrate. This reservoir is comparable in size to the amount of organic carbon in land biota, terrestrial soils, the atmosphere and sea water combined1, 4, but it releases relatively little methane to the ocean and atmosphere5. Sedimentary microbes convert most of the dissolved methane to carbon dioxide6, 7. Here we show that a significant additional product associated with microbial methane consumption is methane-derived dissolved organic carbon. We use Δ14C and δ13C measurements and isotopic mass-balance calculations to evaluate the contribution of methane-derived carbon to seawater dissolved organic carbon overlying gas hydrate-bearing seeps in the northeastern Pacific Ocean. We show that carbon derived from fossil methane accounts for up to 28% of the dissolved organic carbon. This methane-derived material is much older, and more depleted in 13C, than background dissolved organic carbon. We suggest that fossil methane-derived carbon may contribute significantly to the estimated 4,000–6,000 year age of dissolved organic carbon in the deep ocean8, and provide reduced organic matter and energy to deep-ocean microbial communities.

Nature Geoscience↗

Episodic swell growth inferred from variable uplift of the Cape Verde hotspot islands

On the Beagle voyage, Charles Darwin first noted the creation and subsidence of ocean islands 1 , establishing in geology’s infancy that island freeboard changes with time. Hotspot ocean islands have an obvious mechanism for freeboard change through the growth of the bathymetric anomaly, or swell 2 , on which the islands rest. Models for swell development indicate that flexural 9 , thermal 2 , 3 or dynamic pressure 4 , 5 , 6 , 8 contributions, as well as spreading of melt residue from the hotspot 7 , can all contribute to island uplift. Here we test various models for swell development using the uplift histories for the islands of the Cape Verde hotspot, derived from isotopic dating of marine terraces and subaerial to submarine lava-flow morphologies. The island uplift histories, in conjunction with inter-island spacing, uplift rate and timing differences, rule out flexural, thermal or dynamic pressure contributions. We also find that uplift cannot be reconciled with models that advocate the spreading of melt residue in swell development unless swell growth is episodic. Instead, we infer from the uplift histories that two processes have acted to raise the islands during the past 6 Myr. During an initial phase, mantle processes acted to build the swell. Subsequently, magmatic intrusions at the island edifice caused 350 m of local uplift at the scale of individual islands. Finally, swell-wide uplift contributed a further 100 m of surface rise.

Nature Geoscience↗

Quantifying acoustic doppler current profiler discharge uncertainty: A Monte Carlo based tool for moving-boat measurements

This paper presents a method using Monte Carlo simulations for assessing uncertainty of moving-boat acoustic Doppler current profiler (ADCP) discharge measurements using a software tool known as QUant , which was developed for this purpose. Analysis was performed on 10 data sets from four Water Survey of Canada gauging stations in order to evaluate the relative contribution of a range of error sources to the total estimated uncertainty. The factors that differed among data sets included the fraction of unmeasured discharge relative to the total discharge, flow nonuniformity, and operator decisions about instrument programming and measurement cross section. As anticipated, it was found that the estimated uncertainty is dominated by uncertainty of the discharge in the unmeasured areas, highlighting the importance of appropriate selection of the site, the instrument, and the user inputs required to estimate the unmeasured discharge. The main contributor to uncertainty was invalid data, but spatial inhomogeneity in water velocity and bottom-track velocity also contributed, as did variation in the edge velocity, uncertainty in the edge distances, edge coefficients, and the top and bottom extrapolation methods. To a lesser extent, spatial inhomogeneity in the bottom depth also contributed to the total uncertainty, as did uncertainty in the ADCP draft at shallow sites. The estimated uncertainties from QUant can be used to assess the adequacy of standard operating procedures. They also provide quantitative feedback to the ADCP operators about the quality of their measurements, indicating which parameters are contributing most to uncertainty, and perhaps even highlighting ways in which uncertainty can be reduced. Additionally, QUant can be used to account for self-dependent error sources such as heading errors, which are a function of heading. The results demonstrate the importance of a Monte Carlo method tool such as QUant for quantifying random and bias errors when evaluating the uncertainty of moving-boat ADCP measurements.

Conference Paper↗

Effects of harvest and climate on population dynamics of northern bobwhites in south Florida

Context: Hunting-related (hereafter harvest) mortality is assumed to be compensatory in many exploited species. However, when harvest mortality is additive, hunting can lead to population declines, especially on public land where hunting pressure can be intense. Recent studies indicate that excessive hunting may have contributed to the decline of a northern bobwhite ( Colinus virginianus ) population in south Florida. Aims: This study aimed to estimate population growth rates to determine potential and actual contribution of vital rates to annual changes in population growth rates, and to evaluate the role of harvest and climatic variables on bobwhite population decline. Methods: We used demographic parameters estimated from a six-year study to parameterise population matrix models and conduct prospective and retrospective perturbation analyses. Key results: The stochastic population growth rate (λ S = 0.144) was proportionally more sensitive to adult winter survival and survival of fledglings, nests and broods from first nesting attempts; the same variables were primarily responsible for annual changes in population growth rate. Demographic parameters associated with second nesting attempts made virtually no contribution to population growth rate. All harvest scenarios consistently revealed a substantial impact of harvest on bobwhite population dynamics. If the lowest harvest level recorded in the study period (i.e. 0.08 birds harvested per day per km 2 in 2008) was applied, λ S would increase by 32.1%. Winter temperatures and precipitation negatively affected winter survival, and precipitation acted synergistically with harvest in affecting winter survival. Conclusions: Our results suggest that reduction in winter survival due to overharvest has been an important cause of the decline in our study population, but that climatic factors might have also played a role. Thus, for management actions to be effective, assessing the contribution of primary (e.g. harvesting) but also secondary factors (e.g. climate) to population decline may be necessary. Implications: Reducing hunting pressure would be necessary for the recovery of the bobwhite population at our study site. In addition, an adaptive harvest management strategy that considers weather conditions in setting harvest quota would help reverse the population decline further.

Florida↗

Variable impacts of contemporary versus legacy agricultural phosphorus on US river water quality

Phosphorus (P) fertilizer has contributed to the eutrophication of freshwater ecosystems. Watershed-based conservation programs aiming to reduce external P loading to surface waters have not resulted in significant water-quality improvements. One factor that can help explain the lack of water-quality response is remobilization of accumulated legacy (historical) P within the terrestrial-aquatic continuum, which can obscure the beneficial impacts of current conservation efforts. We examined how contemporary river P trends (between 1992 and 2012) responded to estimated changes in contemporary agricultural P balances [(fertilizer + manure inputs)—crop uptake and harvest removal] for 143 watersheds in the conterminous United States, while also developing a proxy estimate of legacy P contribution, which refers to anthropogenic P inputs before 1992. We concluded that legacy sources contributed to river export in 49 watersheds because mean contemporary river P export exceeded mean contemporary agricultural P balances. For the other 94 watersheds, agricultural P balances exceeded river P export, and our proxy estimate of legacy P was inconclusive. If legacy contributions occurred in these locations, they were likely small and dwarfed by contemporary P sources. Our continental-scale P mass balance results indicated that improved incentives and strategies are needed to promote the adoption of nutrient-conserving practices and reduce widespread contemporary P surpluses. However, a P surplus reduction is only 1 component of an effective nutrient plan as we found agricultural balances decreased in 91 watersheds with no consistent water-quality improvements, and balances increased in 52 watersheds with no consistent water-quality degradation.

PNAS↗

Temporal variability in irrigated land and climate influences on salinity loading across the Upper Colorado River Basin, 1986-2017

Freshwater salinization is a growing global concern impacting human and ecosystem needs with impacts to water availability for human and ecological uses. In the Upper Colorado River Basin (UCRB), dissolved solids in streams compound ongoing water supply challenges to further limit water availability and cause economic damages. Much effort has been dedicated to understanding dissolved solid sources, transport, and management in the region, yet temporal variability in loading from key sources such as irrigated lands and the influence of climate on dissolved solids loading remains unknown. Quantifying the contributions and temporal variability of dissolved solids loads from irrigated lands may benefit salinity management efforts. This study applies a time-varying (dynamic) modeling approach to predict annual dissolved solids loads across the UCRB from 1986 through 2017. Between 66% and 82% of the total accumulated dissolved solids load in the basin is from groundwater (storage and baseflow). Our findings link climate, irrigation, and groundwater, and confirm large storage contributions that have declined slightly with time. Dissolved solids loads increase during wet periods and decrease during dry periods, although the relative contributions of different sources vary little with time. Irrigation enhances loading efficiency relative to unirrigated areas through runoff and groundwater, and can locally be a major source of dissolved solids where irrigation occurs. Results indicate that loads from irrigated areas increase when irrigated area and/or water available for runoff increase. Increased regional aridification over the study period may have contributed to decreasing stream salinity through both quicker surface runoff and lagged groundwater storage processes. Study results may be relevant to salinity management in arid environments where water availability is limited and where irrigation influences salinity loading to streams.

Upper Colorado River Basin↗

Offspring of translocated individuals drive the successful reintroduction of Columbian Sharp-tailed Grouse in Nevada, USA

Translocations of North American prairie-grouse (genus Tympanuchus ) present a conservation paradox wherein they are performed to augment, restore, or reintroduce populations, but translocated individuals exhibit a diminished ability to contribute to population restoration. For reintroduced populations without immigration, persistence can only be achieved through reproductive contributions by translocated individuals and their progeny. Due to the disruptive nature of translocation (e.g., physiological chronic stress), progeny produced at restoration sites may outperform founder populations in terms of demographics, but this hypothesis has yet to be tested. We reintroduced Columbian Sharp-tailed Grouse ( T. phasianellus columbianus ; CSTG) to north central Nevada from 2013 to 2017 and used integrated population models (IPMs) to evaluate the process of population establishment and estimate latent contributions of progeny hatched at the restoration site to population rate of change ( ⁠ &#x3BB; ^ "> λ ^ ⁠ ). Specifically, we used annual lek (i.e. communal breeding arenas) counts and demographic data from translocated individuals to build two separate IPMs to estimate &#x3BB; ^ "> λ ^ ⁠ . While keeping demographic contributions by translocated individuals identical between models, one IPM assumed local progeny performance was demographically similar to translocated individuals (i.e. the baseline-IPM), and the second assumed that local progeny performed demographically similar to non-translocated CSTG (i.e. the informative-IPM). The baseline-IPM predicted strong population declines following the conclusion of translocations and extirpation by 2020, and it failed to predict observed lek counts. Conversely, the informative-IPM predicted population growth rates ( ⁠ &#x3BB; ^ "> λ ^ = 1.17, 95% credible interval [CI]: 0.74–1.50) that were more similar to field observations. Offspring of translocated individuals likely perform at similar levels to non-translocated populations, and by not accounting for demographic differences between translocated individuals and non-translocated progeny hatched at the restoration site, managers could underestimate population performance and persistence. Thus, translocation practices that maximize the number of offspring immediately recruited into restoration sites are likely to be the most successful.

Nevada↗

Migratory divides coincide with reproductive barriers across replicated avian hybrid zones above the Tibetan Plateau

Migratory divides are proposed to be catalysts for speciation across a diversity of taxa. However, it is difficult to test the relative contributions of migratory behaviour vs. other divergent traits to reproductive isolation. Comparing hybrid zones with and without migratory divides offers a rare opportunity to directly examine the contribution of divergent migratory behaviour to reproductive barriers. We show that across replicate sampling transects of two pairs of barn swallow ( Hirundo rustica ) subspecies, strong reproductive isolation coincided with a migratory divide spanning 20 degrees of latitude. A third subspecies pair exhibited no evidence for a migratory divide and hybridised extensively. Within migratory divides, overwintering habitats were associated with assortative mating, implicating a central contribution of divergent migratory behaviour to reproductive barriers. The remarkable geographic coincidence between migratory divides and genetic breaks supports a long-standing hypothesis that the Tibetan Plateau is a substantial barrier contributing to the diversity of Siberian avifauna.

Tibetan Plateau↗

Remote sensing-based predictors improve distribution models of rare, early successional and broadleaf tree species in Utah

1. Compared to bioclimatic variables, remote sensing predictors are rarely used for predictive species modelling. When used, the predictors represent typically habitat classifications or filters rather than gradual spectral, surface or biophysical properties. Consequently, the full potential of remotely sensed predictors for modelling the spatial distribution of species remains unexplored. Here we analysed the partial contributions of remotely sensed and climatic predictor sets to explain and predict the distribution of 19 tree species in Utah. We also tested how these partial contributions were related to characteristics such as successional types or species traits. 2. We developed two spatial predictor sets of remotely sensed and topo-climatic variables to explain the distribution of tree species. We used variation partitioning techniques applied to generalized linear models to explore the combined and partial predictive powers of the two predictor sets. Non-parametric tests were used to explore the relationships between the partial model contributions of both predictor sets and species characteristics. 3. More than 60% of the variation explained by the models represented contributions by one of the two partial predictor sets alone, with topo-climatic variables outperforming the remotely sensed predictors. However, the partial models derived from only remotely sensed predictors still provided high model accuracies, indicating a significant correlation between climate and remote sensing variables. The overall accuracy of the models was high, but small sample sizes had a strong effect on cross-validated accuracies for rare species. 4. Models of early successional and broadleaf species benefited significantly more from adding remotely sensed predictors than did late seral and needleleaf species. The core-satellite species types differed significantly with respect to overall model accuracies. Models of satellite and urban species, both with low prevalence, benefited more from use of remotely sensed predictors than did the more frequent core species. 5. Synthesis and applications. If carefully prepared, remotely sensed variables are useful additional predictors for the spatial distribution of trees. Major improvements resulted for deciduous, early successional, satellite and rare species. The ability to improve model accuracy for species having markedly different life history strategies is a crucial step for assessing effects of global change. ?? 2007 The Authors.

Journal of Applied Ecology↗

Evaluating gull diets: A comparison of conventional methods and stable isotope analysis

Samples such as regurgitated pellets and food remains have traditionally been used in studies of bird diets, but these can produce biased estimates depending on the digestibility of different foods. Stable isotope analysis has been developed as a method for assessing bird diets that is not biased by digestibility. These two methods may provide complementary or conflicting information on diets of birds, but are rarely compared directly. We analyzed carbon and nitrogen stable isotope ratios of feathers of Glaucous Gull ( Larus hyperboreus) chicks from eight breeding colonies in northern Alaska, and used a Bayesian mixing model to generate a probability distribution for the contribution of each food group to diets. We compared these model results with probability distributions from conventional diet samples (pellets and food remains) from the same colonies and time periods. Relative to the stable isotope estimates, conventional analysis often overestimated the contributions of birds and small mammals to gull diets and often underestimated the contributions of fish and zooplankton. Both methods gave similar estimates for the contributions of scavenged caribou, miscellaneous marine foods, and garbage to diets. Pellets and food remains therefore may be useful for assessing the importance of garbage relative to certain other foods in diets of gulls and similar birds, but are clearly inappropriate for estimating the potential impact of gulls on birds, small mammals, or fish. However, conventional samples provide more species-level information than stable isotope analysis, so a combined approach would be most useful for diet analysis and assessing a predator's impact on particular prey groups.

Journal of Field Ornithology↗

The role of headwater streams in downstream water quality

Knowledge of headwater influences on the water-quality and flow conditions of downstream waters is essential to water-resource management at all governmental levels; this includes recent court decisions on the jurisdiction of the Federal Clean Water Act (CWA) over upland areas that contribute to larger downstream water bodies. We review current watershed research and use a water-quality model to investigate headwater influences on downstream receiving waters. Our evaluations demonstrate the intrinsic connections of headwaters to landscape processes and downstream waters through their influence on the supply, transport, and fate of water and solutes in watersheds. Hydrological processes in headwater catchments control the recharge of subsurface water stores, flow paths, and residence times of water throughout landscapes. The dynamic coupling of hydrological and biogeochemical processes in upland streams further controls the chemical form, timing, and longitudinal distances of solute transport to downstream waters. We apply the spatially explicit, mass-balance watershed model SPARROW to consider transport and transformations of water and nutrients throughout stream networks in the northeastern United States. We simulate fluxes of nitrogen, a primary nutrient that is a water-quality concern for acidification of streams and lakes and eutrophication of coastal waters, and refine the model structure to include literature observations of nitrogen removal in streams and lakes. We quantify nitrogen transport from headwaters to downstream navigable waters, where headwaters are defined within the model as first-order, perennial streams that include flow and nitrogen contributions from smaller, intermittent and ephemeral streams. We find that first-order headwaters contribute approximately 70% of the mean-annual water volume and 65% of the nitrogen flux in second-order streams. Their contributions to mean water volume and nitrogen flux decline only marginally to about 55% and 40% in fourth- and higher-order rivers that include navigable waters and their tributaries. These results underscore the profound influence that headwater areas have on shaping downstream water quantity and water quality. The results have relevance to water-resource management and regulatory decisions and potentially broaden understanding of the spatial extent of Federal CWA jurisdiction in U.S. waters. ?? 2007 American Water Resources Association.

Journal of the American Water Resources Associatio↗

Perceptions of parcel-level wildfire risk differ between homeowners and trained assessors in wildland-urban interface communities across the western United States

Wildfire risk mitigation on private property is central to reducing community wildfire vulnerability. Homeowners have control over many of the key factors that contribute to wildfire risk on their parcels, yet vulnerable conditions persist. One potential explanation is a misalignment between homeowners' and trained assessors' perceptions of parcel-level wildfire risk. Prior research has documented a “risk gap” in a single community wherein owners often underestimate their parcel-level wildfire risk; however, it is unclear whether such misalignments are widespread. This study replicates and expands previous research by examining the parcel-level wildfire risk gap in 38 wildland–urban interface (WUI) communities across the Western United States using paired data from household surveys and parcel-level wildfire risk assessments by trained assessors. We find that homeowners and assessors often perceive parcel characteristics differently. Homeowners may systematically mis-weight their importance, tending to underweight key controllable factors such as building materials and defensible space, leading to meaningful divergence from trained assessor ratings. Accordingly, we also find that homeowners generally underestimate overall parcel wildfire risk compared to trained assessors. These results suggest that even when homeowners recognize attributes on their parcels that contribute to wildfire risk, they may not fully grasp how much the attributes contribute to overall parcel risk, potentially failing to recognize the need to undertake meaningful mitigation actions. The findings from this study contribute to the broader natural hazards literature on expert-layperson risk perception gaps and offer insights for improving wildfire communication, education, and mitigation strategies in WUI communities.

Alaska, Colorado, New Mexico, Utah, Wyoming↗

Geologic context of large karst springs and caves in the Ozark National Scenic Riverways, Missouri

The ONSR is a karst park, containing many springs and caves. The “jewels” of the park are large springs, several of first magnitude, that contribute significantly to the flow and water quality of the Current River and its tributaries. Completion of 1:24,000-scale geologic mapping of the park and surrounding river basin, along with synthesis of published hydrologic data, allows us to examine the spatial relationships between the springs and the geologic framework to develop a conceptual model for genesis of these springs. Based on their similarity to mapped spring conduits, many of the caves in the ONSR are fossil conduit segments. Therefore, geologic control on the evolution of the springs also applies to speleogenesis in this part of the southern Missouri Ozarks. Large springs occur in the ONSR area because: (1) the Ozark aquifer, from which they rise, is chiefly dolomite affected by solution via various processes over a long time period, (2) Paleozoic hypogenic fluid migration through these rocks exploited and enhanced flow-paths, (3) a consistent and low regional dip of the rocks off of the Salem Plateau (less than 2° to the southeast) allows integration of flow into large groundwater basins with a few discreet outlets, (4) the springs are located where the rivers have cut down into structural highs, allowing access to water from stratigraphic units deeper in the aquifer thus allowing development of springsheds that have volumetrically larger storage than smaller springs higher in the section, and (5) quartz sandstone and bedded chert in the carbonate stratigraphic succession that are locally to regionally continuous, serve as aquitards that locally confine groundwater up dip of the springs creating artesian conditions. This subhorizontal partitioning of the Ozark aquifer allows contributing areas for different springs to overlap, as evidenced by dye traces that cross adjacent groundwater basin boundaries, and possibly contributes to alternate flow routes under different groundwater flow regimes. A better understanding of the 3-dimensional hydrogeologic framework for the large spring systems in the ONSR allows more precise mapping of the contributing areas for those springs, will guide future studies of groundwater flow paths, and inform development of groundwater resource management strategies for the park.

Conference Paper↗

Acoustic telemetry as a potential tool for mixed-stock analysis of fishery harvest: A feasibility study using Lake Erie walleye

Understanding stock composition is critical for sustainable management of mixed-stock fisheries. When natural markers routinely used for stock discrimination fail, alternative techniques are required. We investigated the feasibility of using acoustic telemetry to estimate spawning population contributions to a mixed-stock fishery using Lake Erie’s summer walleye (Sander vitreus) recreational fishery as a case study. Postrelease survival was estimated after tagging and used to inform simulations to evaluate how contribution estimates could be affected by survival, sample size, and expected population contributions. Walleye experienced low short-term survival after tagging, but showed higher survival after 100 days, likely allowing fish to return to spawning areas the following spring. Based on simulations, accuracy and precision of population composition increased with an increase in the number of tagged fish released, and both appeared to stabilize when ≥200 tagged fish were released. Results supported the feasibility of using acoustic telemetry to estimate spawning population contributions to mixed-stock fisheries in Lake Erie.

Michigan, Ohio↗

Which earthquake accounts matter?

Earthquake observations contributed by human observers provide an invaluable source of information to investigate both historical and modern earthquakes. Commonly, the observers whose eyewitness accounts are available to scientists are a self‐selected minority of those who experience a given earthquake. As such these may not be representative of the overall population that experienced shaking from the event. Eyewitness accounts can contribute to modern science only if they are recorded in the first place and archived in an accessible repository. In this study, we explore the extent to which geopolitics and socioeconomic disparities can limit the number of earthquake observers whose observations can contribute to science. We first revisit a late nineteenth‐century earthquake in the central United States in 1882 that provides an illustrative example of an event that has been poorly characterized due to a reliance on English‐language archival materials. For modern earthquakes, we analyze data collected for recent earthquakes in California and India via the online “Did You Feel It?” (DYFI) system. In California, online data‐collection systems appear to be effective in gathering eyewitness accounts from a broad range of socioeconomic groups. In India, however, responses to the DYFI system reveal a strong bias toward responses from urban areas as opposed to rural settlements, as well a bias with literacy rate. The dissimilarity of our results from modern earthquakes in the United States and India provides a caution that, in some parts of the world, contributed felt reports can still potentially provide an unrepresentative view of earthquake effects, especially if online data collection systems are not designed to be broadly accessible. This limitation can in turn potentially shape our understanding of an earthquake’s impact and the characterization of seismic hazard.

Arkansas, Oklahoma, Texas↗