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At least 991 records · Page 55Linked to original sources

Development of the Global Earthquake Model’s neotectonic fault database

The Global Earthquake Model (GEM) aims to develop uniform, openly available, standards, datasets and tools for worldwide seismic risk assessment through global collaboration, transparent communication and adapting state-of-the-art science. GEM Faulted Earth (GFE) is one of GEM’s global hazard module projects. This paper describes GFE’s development of a modern neotectonic fault database and a unique graphical interface for the compilation of new fault data. A key design principle is that of an electronic field notebook for capturing observations a geologist would make about a fault. The database is designed to accommodate abundant as well as sparse fault observations. It features two layers, one for capturing neotectonic faults and fold observations, and the other to calculate potential earthquake fault sources from the observations. In order to test the flexibility of the database structure and to start a global compilation, five preexisting databases have been uploaded to the first layer and two to the second. In addition, the GFE project has characterised the world’s approximately 55,000 km of subduction interfaces in a globally consistent manner as a basis for generating earthquake event sets for inclusion in earthquake hazard and risk modelling. Following the subduction interface fault schema and including the trace attributes of the GFE database schema, the 2500-km-long frontal thrust fault system of the Himalaya has also been characterised. We propose the database structure to be used widely, so that neotectonic fault data can make a more complete and beneficial contribution to seismic hazard and risk characterisation globally.

Natural Hazards↗

The state of human dimensions capacity for natural resource management: needs, knowledge, and resources

The social sciences have become increasingly important in understanding natural resource management contexts and audiences, and are essential in design and delivery of effective and durable management strategies. Yet many agencies and organizations do not have the necessary resource management. We draw on the textbook definition of HD: how and why people value natural resources, what benefits people seek and derive from those resources, and how people affect and are affected by those resources and their management (Decker, Brown, and Seimer 2001). Clearly articulating how HD information can be used and integrated into natural resource management planning and decision-making is an important challenge faced by the HD field. To address this challenge, we formed a collaborative team to explore the issue of HD capacity-building for natural resource organizations and to advance the HD field. We define HD capacity as activities, efforts, and resources that enhance the ability of HD researchers and practitioners and natural managers and decision-makers to understand and address the social aspects of conservation. Specifically, we sought to examine current barriers to integration of HD into natural resource management, knowledge needed to improve HD capacity, and existing HD tools, resources, and training opportunities. We conducted a needs assessment of HD experts and practitioners, developed a framework for considering HD activities that can contribute both directly and indirectly throughout any phase of an adaptive management cycle, and held a workshop to review preliminary findings and gather additional input through breakout group discussions. This paper provides highlights from our collaborative initiative to help frame and inform future HD capacity-building efforts and natural resource organizations and also provides a list of existing human dimensions tools and resources.

The George Wright Forum↗

Integrating distance sampling survey data with population indices to separate trends in abundance and temporary immigration

Managers rely on accurate estimators of wildlife abundance and trends for management decisions. Despite the focus of contemporary wildlife science on developing methods to improve inference from wildlife surveys, legacy datasets often rely on index counts that lack information about the detection process. Data integration can be a useful tool for combining index counts with data collected under more rigorous designs (i.e., designs that account for the detection process), but care is required when datasets represent different population processes or are mismatched in space and time. This can be particularly problematic in cases where animals aggregate in response to a spatially or temporally limited resource because individuals may temporarily immigrate from outside the study area and be included in the abundance index. Abundance indices based on brown bear ( Ursus arctos ) feeding aggregations within coastal meadows in early summer in Lake Clark National Park and Preserve, Alaska, USA, are one such example. These indices reflect the target population (brown bears residing within the park) and temporary immigrants (i.e., bears drawn from outside the park boundary). To properly account for the effects of temporary immigration, we integrated the index data with abundance data collected via park-wide distance sampling surveys, the latter of which properly addressed the detection process. By assuming that the distance data provide inference on abundance and the index counts represent some combination of abundance and temporary immigration processes, we were able to decompose the relative contribution of each to overall trend. We estimated that the density of brown bears within our study area was 38–54 adults/1,000 km 2 during 2003–2019 and that abundance increased at a rate of approximately 1.4%/year. The contribution of temporary immigrants to overall trend in the index was low, so we created 3 hypothetical scenarios to more fully demonstrate how the integrated approach could be useful in situations where the composite trend in meadow counts may obscure trends in abundance (e.g., opposing trends in abundance and temporary immigration). Our work represents a conceptual advance supporting the integration of legacy index data with more rigorous data streams and is broadly applicable in cases where trends in index values may represent a mixture of population processes.

Alaska↗

Rapid oxidation of geothermal arsenic(III) in streamwaters of the eastern Sierra Nevada

Arsenic redox cycling was examined in source waters of the Los Angeles Aqueduct, specifically at Hot Creek, a tributary of the Owens River. Elevated arsenic concentrations in Hot Creek result from geothermal inputs. Total arsenic and As(III) concentrations were determined in the creek and in hot spring pools along its banks. Samples were processed in the field using anion-exchange columns to separate inorganic As(III) and As(V) species. Downstream of the geothermal inputs, decreasing contributions of As(III) to total arsenic concentrations indicated rapid in-stream oxidation of As(III) to As(V) with almost complete oxidation occurring within 1200 m. Based on assumed plug flow transport and a flow velocity of about 0.4 m/s, the pseudo- first-order half-life calculated for this reaction was approximately 0.3 h. Conservative transport of total dissolved arsenic was observed over the reach. Pseudo-first-order reaction rates determined for As(III) oxidation in batch studies conducted in the field with aquatic macrophytes and/or macrophyte surface matter were comparable to the in-stream oxidation rate observed along Hot Creek. In batch kinetic studies, oxidation was not observed after sterile filtration or after the addition of antibiotics, which indicates that bacteria attached to submerged macrophytes are mediating the rapid As(III) oxidation reaction.Arsenic redox cycling was examined in source waters of the Los Angeles Aqueduct, specifically at Hot Creek, a tributary of the Owens River. Elevated arsenic concentrations in Hot Creek result from geothermal inputs. Total arsenic and As(III) concentrations were determined in the creek and in hot spring pools along its banks. Samples were processed in the field using anion-exchange columns to separate inorganic As(III) and As(V) species. Downstream of the geothermal inputs, decreasing contributions of As(III) to total arsenic concentrations indicated rapid in-stream oxidation of As(III) to As(V) with almost complete oxidation occurring within 1200 m. Based on assumed plug flow transport and a flow velocity of about 0.4 m/s, the pseudo-first-order half-life calculated for this reaction was approximately 0.3 h. Conservative transport of total dissolved arsenic was observed over the reach. Pseudo-first-order reaction rates determined for As(III) oxidation in batch studies conducted in the field with aquatic macrophytes and/or macrophyte surface matter were comparable to the in-stream oxidation rate observed along Hot Creek. In batch kinetic studies, oxidation was not observed after sterile filtration or after the addition of antibiotics, which indicates that bacteria attached to submerged macrophytes are mediating the rapid As(III) oxidation reaction.

Environmental Science & Technology↗

Magnetic monitoring of earth and space

For centuries, navigators of the world’s oceans have been familiar with an effect of Earth’s magnetic field: It imparts a directional preference to the needle of a compass. Although in some settings magnetic orientation remains important, the modern science of geomagnetismhas emerged from its romantic nautical origins and developed into a subject of great depth and diversity. The geomagnetic field is used to explore the dynamics of Earth’s interior and its surrounding space environment, and geomagnetic data are used for geophysical mapping, mineral exploration, risk mitigation, and other practical applications. A global distribution of ground-based magnetic observatories supports those pursuits by providing accurate records of the magnetic-field direction and intensity at fixed locations and over long periods of time. Magnetic observatories were first established in the early 19th century in response to the influence of Alexander von Humboldt and Carl Friedrich Gauss. Since then, magnetic measurement has advanced significantly, progressing from simple visual readings of magnetic survey instruments to include automatic photographic measurement and modern electronic acquisition. To satisfy the needs of the scientific community, observatories are being upgraded to collect data that meet ever more stringent standards, to achieve higher acquisition frequencies, and to disseminate data in real time. To appreciate why data from magnetic observatories can be used for so many purposes, one needs only to recall that the geomagnetic field is a continuum, connecting the different parts of Earth to each other and to nearby space. Beneath our feet and above our heads, electric currents generate magnetic fields that contribute to the totality of the geomagnetic field measured at an observatory on Earth’s surface. The many physical processes that operate in each geophysical domain give rise to a complicated field that exhibits a wide variety of time-dependent behavior. In this article I review the status of the global community of magnetic observatories, show how Earth and space can be monitored for purposes of scientific understanding and practical application, and highlight the role played by magnetic observatories in the history of geomagnetism research.

Physics Today↗

Investigation and hazard assessment of the 2003 and 2007 Staircase Falls rock falls, Yosemite National Park, California, USA

Since 1857 more than 600 rock falls, rock slides, debris slides, and debris flows have been documented in Yosemite National Park, with rock falls in Yosemite Valley representing the majority of the events. On 26 December 2003, a rock fall originating from west of Glacier Point sent approximately 200 m 3 of rock debris down a series of joint-controlled ledges to the floor of Yosemite Valley. The debris impacted talus near the base of Staircase Falls, producing fragments of flying rock that struck occupied cabins in Curry Village. Several years later on 9 June 2007, and again on 26 July 2007, smaller rock falls originated from the same source area. The 26 December 2003 event coincided with a severe winter storm and was likely triggered by precipitation and/or frost wedging, but the 9 June and 26 July 2007 events lack recognizable triggering mechanisms. We investigated the geologic and hydrologic factors contributing to the Staircase Falls rock falls, including bedrock lithology, weathering, joint spacing and orientations, and hydrologic processes affecting slope stability. We improved upon previous geomorphic assessment of rock-fall hazards, based on a shadow angle approach, by using STONE, a three-dimensional rock-fall simulation computer program. STONE produced simulated rock-fall runout patterns similar to the mapped extent of the 2003 and 2007 events, allowing us to simulate potential future rock falls from the Staircase Falls detachment area. Observations of recent rock falls, mapping of rock debris, and simulations of rock fall runouts beneath the Staircase Falls detachment area suggest that rock-fall hazard zones extend farther downslope than the extent previously defined by mapped surface talus deposits.

Natural Hazards and Earth System Sciences↗

Examining spring wet slab and glide avalanche occurrence along the Going-to-the-Sun Road corridor, Glacier National Park, Montana, USA

Wet slab and glide snow avalanches are dangerous and yet can be particularly difficult to predict. Wet slab and glide avalanches are presumably triggered by free water moving through the snowpack and the subsequent interaction with layer or ground interfaces, and typically occur in the spring during warming and subsequent melt periods. In Glacier National Park (GNP), Montana, both types of avalanches can occur in the same year and affect the spring opening operations of the Going-to-the-Sun Road (GTSR). We investigated the timing of wet slab and glide avalanche occurrence along the GTSR from 2003 to 2011 using meteorological and snowpack data from two high-elevation weather stations, one SNOTEL site, and an avalanche database to characterize 55 wet slab and 182 glide avalanches. Daily wet slab and glide avalanche occurrence were combined to represent an avalanche day and were compared to non-avalanche days (no avalanche occurrence) for 60 variables (both direct and derived measurements) using a univariate analysis. A classification tree (CART) was then trained to capture the most important variables for examining specific meteorological and snowpack variables that contribute to these types of wet snow avalanches. The CART was 10-fold cross validated using the data for 2003–2010 seasons and resulted in overall predictive accuracy of 73%. We then used the statistically optimal CART as a predictive model for the spring avalanche season of 2011, which resulted in an overall predictive accuracy of 82% for both avalanche and non-avalanche days, and a predictive accuracy of 91% for avalanche days. The results suggest that the role of air temperature and snowpack settlement appear to be the most important variables in wet slab and glide avalanche occurrence. When applied to the 2011 season, the results of the CART model are encouraging and they enhance our understanding of some of the required meteorological and snowpack conditions for wet slab and glide avalanche occurrence.

Cold Regions Science and Technology↗

Trace element abundances in major minerals of Late Permian coals from southwestern Guizhou province, China

Fourteen samples of minerals were separated by handpicking from Late Permian coals in southwestern Guizhou province, China. These 14 minerals were nodular pyrite, massive recrystallized pyrite, pyrite deposited from low-temperature hydrothermal fluid and from ground water; clay minerals; and calcite deposited from low-temperature hydrothermal fluid and from ground water. The mineralogy, elemental composition, and distribution of 33 elements in these samples were studied by optical microscopy, scanning electron microscope equipped with energy-dispersive X-ray spectrometer (SEM-EDX), X-ray diffraction (XRD), cold-vapor atomic absorption spectrometry (CV-AAS), atomic fluorescence spectrometry (AFS), inductively coupled-plasma mass spectrometry (ICP-MS), and ion-selective electrode (ISE). The results show that various minerals in coal contain variable amounts of trace elements. Clay minerals have high concentrations of Ba, Be, Cs, F, Ga, Nb, Rb, Th, U, and Zr. Quartz has little contribution to the concentration of trace elements in bulk coal. Arsenic, Mn, and Sr are in high concentrations in calcite. Pyrite has high concentrations of As, Cd, Hg, Mo, Sb, Se, Tl, and Zn. Different genetic types of calcite in coal can accumulate different trace elements; for example Ba, Co, Cr, Hg, Ni, Rb, Sn, Sr, and Zn are in higher concentrations in calcite deposited from low-temperature hydrothermal fluid than in that deposited from ground water. Furthermore, the concentrations of some trace elements are quite variable in pyrite; different genetic types of pyrites (Py-A, B, C, D) have different concentrations of trace elements, and the concentrations of trace elements are also different in pyrite of low-temperature hydrothermal origin collected from different locations. The study shows that elemental concentration is rather uniform in a pyrite vein. There are many micron and submicron mosaic pyrites in a pyrite vein, which is enriched in some trace elements, such as As and Mo. The content of trace element in pyrite vein depends upon the content of mosaic pyrite and of trace elements in it. Many environmentally sensitive trace elements are mainly contained in the minerals in coal, and hence the physical coal cleaning techniques can remove minerals from coal and decrease the emissions of potentially hazardous trace elements. ?? 2002 Elsevier Science B.V. All rights reserved.

International Journal of Coal Geology↗

Contaminant exposure and transport from three potential reuse waters within a single watershed

Global demand for safe and sustainable water supplies necessitates a better understanding of contaminant exposures in potential reuse waters. In this study, we compared exposures and load contributions to surface water from the discharge of three reuse waters (wastewater effluent, urban stormwater, and agricultural runoff). Results document substantial and varying organic-chemical contribution to surface water from effluent discharges (e.g., disinfection byproducts [DBP], prescription pharmaceuticals, industrial/household chemicals), urban stormwater (e.g., polycyclic aromatic hydrocarbons, pesticides, nonprescription pharmaceuticals), and agricultural runoff (e.g., pesticides). Excluding DBPs, episodic storm-event organic concentrations and loads from urban stormwater were comparable to and often exceeded those of daily wastewater-effluent discharges. We also assessed if wastewater-effluent irrigation to corn resulted in measurable effects on organic-chemical concentrations in rain-induced agricultural runoff and harvested feedstock. Overall, the target-organic load of 491 g from wastewater-effluent irrigation to the study corn field during the 2019 growing season did not produce substantial dissolved organic-contaminant contributions in subsequent rain-induced runoff events. Out of the 140 detected organics in source wastewater-effluent irrigation, only imidacloprid and estrone had concentrations that resulted in observable differences between rain-induced agricultural runoff from the effluent-irrigated and nonirrigated corn fields. Analyses of pharmaceuticals and per-/polyfluoroalkyl substances in at-harvest corn-plant samples detected two prescription antibiotics, norfloxacin and ciprofloxacin, at concentrations of 36 and 70 ng/g, respectively, in effluent-irrigated corn-plant samples; no contaminants were detected in noneffluent irrigated corn-plant samples.

Oklahoma↗

Quantifying gas emissions from the 946 CE Millennium Eruption of Paektu volcano, Democratic People's Republic of Korea/China

Paektu volcano (Changbaishan) is a rhyolitic caldera that straddles the border between the Democratic People's Republic of Korea (DPRK) and China. Its most recent large eruption was the Millennium Eruption (ME; 23 km3 DRE) circa 946 CE, which resulted in the release of copious magmatic volatiles (H2O, CO2, sulfur, and halogens). Accurate quantification of volatile yield and composition is critical in assessing volcanogenic climate impacts but is elusive, particularly for pre-historic or unmonitored eruptions. Here we employ a geochemical technique to quantify volatile composition and yield from the ME by examining trends in incompatible trace and volatile element concentrations in crystal-hosted melt inclusions. We estimate a maximum of 45 Tg S was injected into the stratosphere during the ME. If true yields are close to this maximum, this equates to more than 1.5 times the S released during the 1815 eruption of Tambora, which contributed to the "Year Without a Summer". Our maximum gas yield estimates place the ME among the strongest emitters of climate forcing gases in recorded human history in stark contrast to ice core records that indicate minimal atmospheric sulfate loading after the eruption. We conclude that the potential lack of strong climate forcing occurred in spite of the substantial S yield and suggest that other factors predominated in minimizing climatic effects. This paradoxical case in which high S emissions do not result in substantial climate forcing may present a way forward in building more generalized models for predicting which volcanic eruptions will produce large climate impacts.

Paektu volcano↗

The story of the Hawaiian Volcano Observatory -- A remarkable first 100 years of tracking eruptions and earthquakes

The year 2012 marks the centennial of the Hawaiian Volcano Observatory (HVO). With the support and cooperation of visionaries, financiers, scientists, and other individuals and organizations, HVO has successfully achieved 100 years of continuous monitoring of Hawaiian volcanoes. As we celebrate this milestone anniversary, we express our sincere mahalo—thanks—to the people who have contributed to and participated in HVO’s mission during this past century. First and foremost, we owe a debt of gratitude to the late Thomas A. Jaggar, Jr., the geologist whose vision and efforts led to the founding of HVO. We also acknowledge the pioneering contributions of the late Frank A. Perret, who began the continuous monitoring of Kīlauea in 1911, setting the stage for Jaggar, who took over the work in 1912. Initial support for HVO was provided by the Massachusetts Institute of Technology (MIT) and the Carnegie Geophysical Laboratory, which financed the initial cache of volcano monitoring instruments and Perret’s work in 1911. The Hawaiian Volcano Research Association, a group of Honolulu businessmen organized by Lorrin A. Thurston, also provided essential funding for HVO’s daily operations starting in mid-1912 and continuing for several decades. Since HVO’s beginning, the University of Hawaiʻi (UH), called the College of Hawaii until 1920, has been an advocate of HVO’s scientific studies. We have benefited from collaborations with UH scientists at both the Hilo and Mänoa campuses and look forward to future cooperative efforts to better understand how Hawaiian volcanoes work. The U.S. Geological Survey (USGS) has operated HVO continuously since 1947. Before then, HVO was under the administration of various Federal agencies—the U.S. Weather Bureau, at the time part of the Department of Agriculture, from 1919 to 1924; the USGS, which first managed HVO from 1924 to 1935; and the National Park Service from 1935 to 1947. For 76 of its first 100 years, HVO has been part of the USGS, the Nation’s premier Earth science agency. It currently operates under the direction of the USGS Volcano Science Center, which now supports five volcano observatories covering six U.S. areas—Hawaiʻi (HVO), Alaska and the Northern Mariana Islands (Alaska Volcano Observatory), Washington and Oregon (Cascades Volcano Observatory), California (California Volcano Observatory), and the Yellowstone region (Yellowstone Volcano Observatory). Although the National Park Service (NPS) managed HVO for only 12 years, HVO has enjoyed a close working relationship with Hawaiʻi Volcanoes National Park (named Hawaii National Park until 1961) since the park’s founding in 1916. Today, as in past years, the USGS and NPS work together to ensure the safety and education of park visitors. We are grateful to all park employees, particularly Superintendent Cindy Orlando and Chief Ranger Talmadge Magno and their predecessors, for their continuing support of HVO’s mission. HVO also works closely with the Hawaiʻi County Civil Defense. During volcanic and earthquake crises, we have appreciated the support of civil defense staff, especially that of Harry Kim and Quince Mento, who administered the agency during highly stressful episodes of Kīlauea's ongoing eruption. Our work in remote areas on Hawaiʻi’s active volcanoes is possible only with the able assistance of Hawaiʻi County and private pilots who have safely flown HVO staff to eruption sites through the decades. A special mahalo goes to David Okita, who has been HVO’s principal helicopter pilot for more than two decades. Many commercial and Civil Air Patrol pilots have also assisted HVO by reporting their observations during various eruptive events. Hawaiʻi’s news media—print, television, radio, and online sources—do an excellent job of distributing volcano and earthquake information to the public. Their assistance is invaluable to HVO, especially during times of crisis. HVO’s efforts to provide timely and accurate scientific information about Hawaiian volcanoes and earthquakes succeed only because of you, our receptive and keenly aware public. By following the activity of Hawaiʻi’s active volcanoes through our daily eruption updates posted on the HVO website, viewing HVO webcam images, reading our weekly “Volcano Watch” articles, and attending our public lectures, you help us to ensure that you can live safely with Hawaiʻi’s dynamic volcanoes. To everyone who has shared in HVO’s reaching this milestone—100 years of continuous volcano monitoring—we extend our deepest gratitude. Mahalo nui loa!

Hawai'i↗

The shallow stratigraphy and sand resources offshore from Cat Island, Mississippi

In collaboration with the U.S. Army Corps of Engineers, scientists from the U.S. Geological Survey (USGS) St. Petersburg Coastal and Marine Science Center collected over 487 line kilometers (> 300 miles) of high-resolution geophysical data around Cat Island, Mississippi, to improve understanding of the island's geologic evolution and identify potential sand resources for coastal restoration. In addition, 40 vibracores were collected on and around the island, generating more than 350 samples for grain-size analysis. The results indicate that the geologic evolution of Cat Island has been influenced by deltaic, lagoonal/estuarine, tidal, and oceanographic processes, resulting in a stratigraphic record that is quite complex. The region north of the island is dominated by lagoonal/estuarine deposition, whereas the region south of the island is dominated by deltaic and tidal deposition. In general, the veneer of modern sediment surrounding the island is composed of newly deposited sediment and highly reworked relict sediments. The region east of the island shows the interplay of antecedent barrier-island change with delta development despite a significant ravinement of sediments. The data show from little to no modern sediment east of the island, exposing relict sediments at the seafloor. Finally, the data reveal four subaqueous sand units around the island. Two of the units are northwest of the modern island and one is southwest. Given the dominant, westward, longshore transport along the Mississippi and Alabama barrier islands, the geographic location of these three units suggests that they do not contribute to the modern sediment budget of Cat Island. The last unit is directly east of the island and represents the antecedent island platform that has supplied sand over geologic time for creation of the spits that form the eastern shoreline. Because of its location east of the island, the antecedent island unit may still supply sediment to the island today.

Mississippi↗

Widespread landslide activity in an extreme wet season and implications for regional sediment management, eastern San Francisco Bay area, California

Watershed sediment production is expected to increase in a warmer future with more extreme rain, with cascading effects throughout drainage and sediment-transport networks. This study investigated landscape-scale sediment movement in the eastern San Francisco Bay area, California, USA, during the extreme 2016–2017 wet season that brought major rainfall, landslides, and flooding. Mapping 8,928 landslides across a 1,050-km 2 study area revealed new sediment yield of 510–956 t/km 2 , equivalent to denudation of 193–361 mm/ky. These results correspond closely to long-term denudation rates in the northern and central California Coast Ranges, indicating that mass wasting in very wet years dominates long-term sediment mobilization. However, due to long residence times in drainage networks, the 2017 landslides contributed at most ∼1%–2% of the estimated locally derived fluvial sediment transport to San Francisco Bay. Although the amount of sediment mobilized did not threaten municipal water supplies, small rangeland impoundments in this mixed-use landscape lost storage capacity to new sedimentation. Considering regional sediment supply and demand, even the exceptionally large sediment delivery in an extreme wet year cannot meet the need for sediment to accrete tidal wetlands in the bay. To keep pace with rising sea levels, this abnormally high terrestrial sediment input would need to occur in 50 of the next 75 years, an unlikely occurrence due to the prevalence of recent drought years. Shoreline protection and restoration in the bay would need additional sources of sediment, such as through management of dredged sediment through beneficial-reuse programs.

California↗

Plant diversity increases with the strength of negative density dependence at the global scale

Theory predicts that higher biodiversity in the tropics is maintained by specialized interactions among plants and their natural enemies that result in conspecific negative density dependence (CNDD). By using more than 3000 species and nearly 2.4 million trees across 24 forest plots worldwide, we show that global patterns in tree species diversity reflect not only stronger CNDD at tropical versus temperate latitudes but also a latitudinal shift in the relationship between CNDD and species abundance. CNDD was stronger for rare species at tropical versus temperate latitudes, potentially causing the persistence of greater numbers of rare species in the tropics. Our study reveals fundamental differences in the nature of local-scale biotic interactions that contribute to the maintenance of species diversity across temperate and tropical communities.

Science↗

PeRL: A circum-Arctic Permafrost Region Pond and Lake database

Ponds and lakes are abundant in Arctic permafrost lowlands. They play an important role in Arctic wetland ecosystems by regulating carbon, water, and energy fluxes and providing freshwater habitats. However, ponds, i.e., waterbodies with surface areas smaller than 1. 0 × 10 4 m 2 , have not been inventoried on global and regional scales. The Permafrost Region Pond and Lake (PeRL) database presents the results of a circum-Arctic effort to map ponds and lakes from modern (2002–2013) high-resolution aerial and satellite imagery with a resolution of 5 m or better. The database also includes historical imagery from 1948 to 1965 with a resolution of 6 m or better. PeRL includes 69 maps covering a wide range of environmental conditions from tundra to boreal regions and from continuous to discontinuous permafrost zones. Waterbody maps are linked to regional permafrost landscape maps which provide information on permafrost extent, ground ice volume, geology, and lithology. This paper describes waterbody classification and accuracy, and presents statistics of waterbody distribution for each site. Maps of permafrost landscapes in Alaska, Canada, and Russia are used to extrapolate waterbody statistics from the site level to regional landscape units. PeRL presents pond and lake estimates for a total area of 1. 4 × 10 6 km 2 across the Arctic, about 17 % of the Arctic lowland ( < 300 m a.s.l.) land surface area. PeRL waterbodies with sizes of 1. 0 × 10 6 m 2 down to 1. 0 × 10 2 m 2 contributed up to 21 % to the total water fraction. Waterbody density ranged from 1. 0 × 10 to 9. 4 × 10 1 km −2 . Ponds are the dominant waterbody type by number in all landscapes representing 45–99 % of the total waterbody number. The implementation of PeRL size distributions in land surface models will greatly improve the investigation and projection of surface inundation and carbon fluxes in permafrost lowlands. Waterbody maps, study area boundaries, and maps of regional permafrost landscapes including detailed metadata are available at https://doi.pangaea.de/10.1594/PANGAEA.868349 .

Earth System Science Data↗

A multi-source satellite data approach for modelling Lake Turkana water level: Calibration and validation using satellite altimetry data

Lake Turkana is one of the largest desert lakes in the world and is characterized by high degrees of inter- and intra-annual fluctuations. The hydrology and water balance of this lake have not been well understood due to its remote location and unavailability of reliable ground truth datasets. Managing surface water resources is a great challenge in areas where in-situ data are either limited or unavailable. In this study, multi-source satellite-driven data such as satellite-based rainfall estimates, modelled runoff, evapotranspiration, and a digital elevation dataset were used to model Lake Turkana water levels from 1998 to 2009. Due to the unavailability of reliable lake level data, an approach is presented to calibrate and validate the water balance model of Lake Turkana using a composite lake level product of TOPEX/Poseidon, Jason-1, and ENVISAT satellite altimetry data. Model validation results showed that the satellite-driven water balance model can satisfactorily capture the patterns and seasonal variations of the Lake Turkana water level fluctuations with a Pearson's correlation coefficient of 0.90 and a Nash-Sutcliffe Coefficient of Efficiency (NSCE) of 0.80 during the validation period (2004–2009). Model error estimates were within 10% of the natural variability of the lake. Our analysis indicated that fluctuations in Lake Turkana water levels are mainly driven by lake inflows and over-the-lake evaporation. Over-the-lake rainfall contributes only up to 30% of lake evaporative demand. During the modelling time period, Lake Turkana showed seasonal variations of 1–2 m. The lake level fluctuated in the range up to 4 m between the years 1998–2009. This study demonstrated the usefulness of satellite altimetry data to calibrate and validate the satellite-driven hydrological model for Lake Turkana without using any in-situ data. Furthermore, for Lake Turkana, we identified and outlined opportunities and challenges of using a calibrated satellite-driven water balance model for (i) quantitative assessment of the impact of basin developmental activities on lake levels and for (ii) forecasting lake level changes and their impact on fisheries. From this study, we suggest that globally available satellite altimetry data provide a unique opportunity for calibration and validation of hydrologic models in ungauged basins.

Lake Turkana↗

A rock-magnetic record from Lake Baikal, Siberia: Evidence for Late Quaternary climate change

Rock-magnetic measurements of sediment cores from the Academician Ridge region of Lake Baikal, Siberia show variations related to Late Quaternary climate change. Based upon the well-dated last glacial-interglacial transition, variations in magnetic concentration and mineralogy are related to glacial-interglacial cycles using a conceptual model. Interglacial intervals are characterized by low magnetic concentrations and a composition that is dominated by low coercivity minerals. Glacial intervals are characterized by high magnetic concentrations and increased amounts of high coercivity minerals. The variation in magnetic concentration is consistent with dilution by diatom opal during the more productive interglacial periods. We also infer an increased contribution of eolian sediment during the colder, windier, and more arid glacial conditions when extensive loess deposits were formed throughout Europe and Asia. Eolian transport is inferred to deliver increased amounts of high coercivity minerals as staining on eolian grains during the glacial intervals. Variations in magnetic concentration and mineralogy of Lake Baikal sediment correlate to the SPECMAP marine oxygen-isotope record. The high degree of correlation between Baikal magnetic concentration/mineralogy and the SPECMAP oxygen-isotope record indicates that Lake Baikal sediment preserves a history of climate change in central Asia for the last 250 ka. This correlation provides a method of estimating the age of sediment beyond the range of the radiocarbon method. Future work must include providing better age control and additional climate proxy data, thereby strengthening the correlation of continental and marine climate records. ?? 1994.

Lake Baikal↗

The geochemistry of loess: Asian and North American deposits compared

Loess is widely distributed over Asia and North America and constitutes one of the most important surficial deposits that serve as terrestrial records of the Quaternary. The oldest Pleistocene loess in China is likely ∼2.6 Ma, thus spanning much or all of the Pleistocene. In North America, most loess is no older than the penultimate glacial period, with the exception of Alaska, where the record may go back to ∼3.0 Ma. On both continents, loess deposits date primarily to glacial periods, and interglacial or interstadial periods are represented by paleosols. Both glacial and non-glacial sources of silts that comprise the bulk of loess deposits are found on both continents. Although loess has been considered to be representative of the average upper continental crust, there are regionally distinctive compositions of loess in both Asia and North America. Loess deposits in Asia from Yakutia, Tajikistan, and China have compositionally distinct major element compositions, due to varying abundances of silicate minerals, carbonate minerals, and clay minerals. In North America, loess in the Mississippi River valley, the Great Plains, and Alaska are also distinguishable with regard to major element composition that reflects highly diverse source sediments. Trace element geochemistry (Sc-Th-Zr and the rare earth elements) also shows regional diversity of loess bodies, in both Asia and North America. On both continents, most loess bodies show significant contributions from later-cycle, altered sedimentary rocks, as opposed to direct derivation from igneous rocks. Further, some loess bodies have detectable contributions from mafic igneous rocks as well as major contributions from average, upper-crustal, felsic rocks. Intercalated paleosols in loess sections show geochemical compositions that differ significantly from the underlying loess parent materials. Ratios of soluble-to-insoluble elements show depletions in paleosols due to chemical weathering losses of calcite, dolomite, plagioclase, mica, apatite, and smectite. In Asia and North America, the last interglacial paleosol is more weathered than equivalent modern soils, which could be due either to a climate that was warmer and more humid, a longer period of pedogenesis, or both. In Asia, early Pleistocene loess and paleosols are both more weathered than those from the middle and late Pleistocene, forming prior to a mid-Pleistocene aridification of Asia from uplift of the Tibetan Plateau. Understanding the geochemistry of loess and paleosols can tell us much about past atmospheric circulation, past temperature and moisture regimes, and even tectonic processes.

Journal of Asian Earth Sciences↗