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At least 1,027 records · Page 57Linked to original sources

Blue snowflakes in a warming world: Karner blue butterfly climate change vulnerability synthesis and best practices for adaptation

This report—developed at the request of the United States Fish and Wildlife Service-led Karner Blue Butterfly Recovery Team by Recovery Team members and partners—provides a Karner blue butterfly climate change vulnerability synthesis, explores a range of potential responses, and presents best practices for climate change-informed conservation of the species. The three decades since the Karner blue butterfly’s (Lycaeides [Plebejus] melissa samuelis Nabokov) listing as federally endangered in the United States have seen a diverse and dedicated research and management community coalesce around the species’ recovery. This geographically expansive conservation collaboration has broken new ground for threatened and endangered species recovery. Many Karner blue recovery areas are making steady progress towards recovery goals, but some are not. An extremely hot and dry 2012, perhaps aided by adverse longer-term climate trends such as declining snow cover, extirpated the Karner blue from Indiana Dunes National Park and the surrounding Indiana Dunes Karner Blue Butterfly Recovery Unit—the southernmost recovery unit and once host to one of the species’ largest populations—as well as from northwest Ohio. Because of the fundamental challenge that climate change represents to Karner blue butterfly recovery and of the general need for endangered species conservation plans to better address climate change, the United States Fish and Wildlife Service-led Karner Blue Butterfly Recovery Team tasked a subset of the team to: Explore the species’ climate change sensitivity and adaptive capacity, review ongoing and projected climate change across the Karner blue range and associated uncertainties, and develop and suggest best practices concerning long-term adaptation strategies. Consistent with that mandate, this report synthesizes what is known about Karner blue climate change vulnerability and applies current thinking in climate change adaptation to help foster strategic, long-term, climate change-informed Karner blue recovery and conservation. It develops and explores a range of potential climate change-informed butterfly- and habitat-stewardship responses, using the resist-accept-direct (RAD) framework to foster a broad range of approaches, and provides guidance regarding how they may be pursued. The report also provides suggestions for improving the climate change-exposure component of Karner blue vulnerability assessment.

Natural Resource Report↗

Solar-system-wide significance of Mars polar science

1. The North Polar Layered Deposits contain thousands of ice layers that record accumulation and climate history for at least several million years, making the most accessible and most complete climate record aside from the Earth’s – and the only one to record the impact of large obliquity shifts. 2. Mars Polar Science is a diverse and integrated system spanning much of the planet, above and below the surface: geographic poles, mid- and high-latitudes, numerous active volatile processes that interact with the near-surface, and the lower and middle atmosphere circulations, even influencing the upper atmosphere and atmospheric escape. 3. Mars polar processes serves as an analogue and scientific link to numerous solar system bodies. Mars has two volatile cycles that influence surface processes, atmospheric processes, and climate cycles. Mars, with many data sets and observations, serves as a proxy for outer planets and moons that undergo the same physics but with other volatile species. Additionally, technology designed for Mars polar exploration benefits exploration elsewhere. 4. Mars Polar and Atmospheric Science results are critical for future human exploration and in situ resources and the study of planetary habitability.

Bulletin of the AAS↗

Computer modelling for ecosystem service assessment

Computer models are simplified representations of the environment that allow biophysical, ecological, and/or socio-economic characteristics to be quantified and explored. Modelling approaches differ from mapping approaches (Chapter 5) as (i) they are not forcibly spatial (although many models do produce spatial outputs); (ii) they focus on understanding and quantifying the interactions between different components of social and/or environmental systems and (iii) by changing parameters within models, they are capable of exploring both alternative scenarios and internal model dynamics. When applied to the assessment of ecosystem services (ES), models are important tools which can quantify the relationships that underpin ES supply, demand and flows and, in some cases, produce maps representing these factors. Furthermore, as models can explore scenarios, trade-offs that result from different scenarios can be assessed. This chapter provides a broad overview of different types of models that have been applied to ES assessments and discusses, with examples, the ways that these models have the potential to be used in practice. In the context of ES, there are a number of ways of distinguishing between different types of models. Here, we distinguish between individual models focussing on single ES and modelling frameworks that can assess multiple ES within the framework of a single modelling tool.

Book chapter↗

The geobiology of sediment-hosted mineral deposits

The role of biological processes in the formation of sediment-hosted ore deposits has long been recognized. In this review, we focus on the biogeochemical cycling of C, Mn, Fe, and S as they relate to the formation of sediment-hosted Mn and Fe deposits, metalliferous black shales, clastic-dominated (CD) Pb-Zn deposits, and phosphorites. Biological mediation of ore-forming processes occurs over large spans of space and time. The most important step is oxygenic photosynthesis, a biological innovation dating from the Archean Eon that releases free oxygen into the surface oceans and atmosphere and delivers chemical potential, in the form of reduced carbon, to the seafloor. Photosynthetic oxygen is available to precipitate dissolved Fe 2 + and Mn 2 +, and therefore it augments the formation of sedimentary Mn and Fe deposits, and drives oxidative weathering of exposed crust, thereby delivering sulfate and transition metals to the ocean. Where reduced carbon accumulates in the deep oceans and on the seafloor, bacterial sulfate reduction produces hydrogen sulfide thereby facilitating the formation of metalliferous black shales, sediment-hosted Pb and Zn sulfide deposits, and phosphorites. Thus, an understanding of major biogeochemical processes and how they have evolved over time is required in order to refine genetic models for sediment-hosted ore deposits and to guide future mineral exploration. A close secular relationship between deposit formation and trends in major biogeochemical cycles provides a potentially powerful tool for mineral resource assessment. Sedimentary basins that formed during a time that is known to lack deposits of a particular metal can be eliminated during exploration programs, whereas others of permissive ages should be considered priorities. For example, sedimentary basins older than ca. 1.8 Ga are unlikely to contain large CD Pb-Zn deposits, and basins that formed between 1.6 and 0.6 Ga are not prospective for phosphorites. Recent technological advances in the application of nanometer-, micron-, and bulk-scale analytical techniques allow for imaging of complex biological structures and have provided new insights into the role of bacteria, not only in direct formation of mineral deposits, but also in leaching of metals from ore and mineralized rocks. Future exploration for, and exploitation of, mineral deposits may include offshore or land-based, low-grade, high-tonnage targets; understanding the role of bacteria in mineral growth, mineral dissolution, and redox transformations will aid in predicting where such deposits exist, and how metal extraction from ores can be enhanced.

Book chapter↗

Long-term ocean observing for international capacity development around tsunami early warning

The 2004 magnitude (M) 9.1 Sumatra-Andaman Islands earthquake in the Indian Ocean triggered the deadliest tsunami ever, killing more than 230,000 people. In response, the United Nations Educational, Scientific, and Cultural Organization (UNESCO) established three additional Intergovernmental Coordination Groups (ICGs) for the Tsunami and Other Coastal Hazards Early Warning System: for the Caribbean and Adjacent Regions (ICG/CARIBE-EWS), for the Indian Ocean, and for the Northeastern Atlantic, Mediterranean, and Connected Seas. Along with the ICG for the Pacific Ocean, which was established in 1965, one of the goals of the new ICGs was to improve earthquake and tsunami monitoring and early warning. This need was further demonstrated by the 2011 Great East Japan (Tōhoku-oki) earthquake and tsunami, which killed more than 20,000 people, and other destructive tsunamis that occurred in the Solomon Islands, Samoa, Tonga, Chile, Indonesia, and Peru. In response to the call to action by the UN Decade of Ocean Science for Sustainable Development (2021–2030), as well as the desired safe ocean outcome (von Hillebrandt-Andrade et al., 2021), the Intergovernmental Oceanographic Commission (IOC) of UNESCO approved the Ocean Decade Tsunami Programme in June 2021. One of its goals is to develop the capability to issue actionable alerts for tsunamis from all sources with minimum uncertainty within 10 minutes (Angove et al., 2019). While laudable, this goal presents complexities. Currently, warning depends on quick detection as well as the location and initial magnitude estimates of an earthquake that may generate a tsunami. Other factors that affect tsunamis, such as the faulting mechanism (how the faults slide past each other) and areal extent of the earthquake, currently take at least 20–30 minutes to forecast and are still subject to large uncertainties. Hence, agencies charged with tsunami early warning need to broadcast public alerts within minutes after an earthquake occurs but may struggle to meet this 10-minute goal without further technological advances, some of which are outlined in this article. To reduce loss of life through adequate tsunami warning requires global ocean-based seismic, sea level, and geodetic initiatives to detect high-impact earthquakes and tsunamis, combined with sufficient communication and education so that people know how to respond when they receive alerts and warnings. The United Nations International Strategy for Disaster Reduction defines an early warning system as “a set of capacities needed to generate and disseminate timely and meaningful warning information to enable individuals, communities, and organizations threatened by a hazard to prepare and to act appropriately and in sufficient time to reduce the possibility of harm or loss” (UNISDR, 2012). In short, a successful early warning system requires technology coupled with human factors (Kelman and Glantz, 2014). In this article, we explore case studies from Japan and Canada, where scientists are leading the way in incorporating ocean observing capabilities in their early warning systems. We also explore advancements and challenges in the Caribbean, an area with a complex tectonic environment that would benefit greatly from increased global ocean observing capabilities. We also explore physical and social science interventions necessary to reduce loss of life.

Oceanography↗

Regime shifts and panarchies in regional scale social-ecological water systems

In this article we summarize histories of nonlinear, complex interactions among societal, legal, and ecosystem dynamics in six North American water basins, as they respond to changing climate. These case studies were chosen to explore the conditions for emergence of adaptive governance in heavily regulated and developed social-ecological systems nested within a hierarchical governmental system. We summarize resilience assessments conducted in each system to provide a synthesis and reference by the other articles in this special feature. We also present a general framework used to evaluate the interactions between society and ecosystem regimes and the governance regimes chosen to mediate those interactions. The case studies show different ways that adaptive governance may be triggered, facilitated, or constrained by ecological and/or legal processes. The resilience assessments indicate that complex interactions among the governance and ecosystem components of these systems can produce different trajectories, which include patterns of (a) development and stabilization, (b) cycles of crisis and recovery, which includes lurches in adaptation and learning, and (3) periods of innovation, novelty, and transformation. Exploration of cross scale (Panarchy) interactions among levels and sectors of government and society illustrate that they may constrain development trajectories, but may also provide stability during crisis or innovation at smaller scales; create crises, but may also facilitate recovery; and constrain system transformation, but may also provide windows of opportunity in which transformation, and the resources to accomplish it, may occur. The framework is the starting point for our exploration of how law might play a role in enhancing the capacity of social-ecological systems to adapt to climate change.

Ecology and Society↗

Home range and travels

The concept of home range was expressed by Seton (1909) in the term 'home region,' which Burr (1940, 1943) clarified with a definition of home range and exemplified in a definitive study of Peromyscus in the field. Burt pointed out the ever-changing characteristics of home-range area and the consequent absence of boundaries in the usual sense--a finding verified by investigators thereafter. In the studies summarized in this paper, sizes of home ranges of Peromyscus varied within two magnitudes, approximately from 0.1 acre to ten acres, in 34 studies conducted in a variety of habitats from the seaside dunes of Florida to the Alaskan forests. Variation in sizes of home ranges was correlated with both environmental and physiological factors; with habitat it was conspicuous, both in the same and different regions. Food supply also was related to size of home range, both seasonally and in relation to habitat. Home ranges generally were smallest in winter and largest in spring, at the onset of the breeding season. Activity and size also were affected by changes in weather. Activity was least when temperatures were low and nights were bright. Effects of rainfall were variable. Sizes varied according to sex and age; young mice remained in the parents' range until they approached maturity, when they began to travel more widely. Adult males commonly had larger home ranges than females, although there were a number of exceptions. An inverse relationship between population density and size of home range was shown in several studies and probably is the usual relationship. A basic need for activity and exploration also appeared to influence size of home range. Behavior within the home range was discussed in terms of travel patterns, travels in relation to home sites and refuges, territory, and stability of size of home range. Travels within the home range consisted of repeated use of well-worn trails to sites of food, shelter, and refuge, plus more random exploratory travels. Peromyscus generally used and maintained several or many different home sites and refuges in various parts of their home ranges, and frequently shifted about so that their principal activities centered on different sets of holes at different times. Once established, many Peromyscus remained in the same general area for a long time, perhaps for the duration of their lives. Extent of their travels in different directions and intensity of use of different portions of their home ranges varied within a general area in response to habitat changes, loss of neighbors, or other factors. Various authors have obtained both direct and indirect evidence of territoriality, in some degree, among certain species of Peromyscus. Young mice dispersed from their birth sites to establish home ranges of their own. Adults also sometimes left their home areas; some re-established elsewhere; others returned after exploratory travels. Most populations contained a certain proportion of transients; these may have been wanderers or individuals exploring out from established home ranges or seeking new ones. When areas were depopulated by removal trapping, other Peromyscus invaded. Invasion rates generally followed seasonal trends of reproduction and population density. Peromyscus removed from their home areas and released elsewhere returned home from various distances, but fewer returned from greater distances than from nearby; speed of return increased with successive trials. The consensus from present evidence is that ho-ming is made possible by a combination of random wandering and familiarity with a larger area than the day-to-day range. Records of juvenile wanderings during the dispersal phase and of adult explorations very nearly encompassed the distances over which any substantial amount of successful homing occurred. Methods of measuring sizes of home ranges and the limitations of these measurements were discussed in brief synopsis. It was co

Book chapter↗

US Rockies gas focus points up need for access, risk takers, infrastructure

The last 20 yr of the Rocky Mountains oil and gas exploration and production business have been turbulent. Most of the major companies have left; they have been replaced with, independents and small to larger private and public companies. Natural gas become the primary focus of exploration. A discussion covers the shift of interest from drilling for oil to gas exploration and development in the Rockies since 1980; resource pyramid, showing relative volumes, reserves, resources, and undiscovered gas; the Wyoming fields that boost US gas supply, i.e., Jonah (6-12 tcf), Pinedale Anticline (10-20 tcf); Big Piney-LaBarge (15-25 tcf), Madden (3-5 tcf), and Powder river (24-27 tcf); and the future.

Oil & Gas Journal↗

Need for new sensors to map lithologic units

One of the most important contributions that remote sensing can make to mineral energy explorations to provide data from satellites to augment regional geological mapping. Geologic maps, which show information on the subsurface, are the main basis for formulating models of resource genesis that guide exploration. However, conventional compilation procedures are time-consuming and therefore often slow the pace of exploration, especially in large, inaccessible areas. Landsat Multispectral Scanner (MSS) images have been applied to a wide variety of specific geological problems, including discrimination of lithologic and delineation of previously unrecognized tectonic features. However, these lithologic distinctions are based on brightness, spectral reflectance, and, less commonly, the morphology of the unit, which in the wavelength region of MSS images are only rarely diagnostic of specific mineralogical content. Limonite is the only lithological material that can be identified be analyzing MSS spectral radiance.

Sixth Annual Pecora Symposium and Exposition↗

Results of the second phase of the drought-disaster test-drilling program near Morristown, N.J.

The continued drought in northeastern New Jersey through the summer of 1966 with its attendant water-supply problems resulted in an extension of the drought-disaster test-drilling program originally requested by the Office of Emergency Planning on August 30, 1965. Authorization to continue test drilling was fiven by the Office of Emergency Planning on September 26, 1966, with the stipulation that all field work be complete by January 31, 1977. Contractural costs were paid by the Office of Emergency Planning, whereas personnel costs were shared by the U.S. Geological Survey and the New Jersey Department of Conservation and Economic Development, Division of Water Policy and Supply. The work undertaken in 1965 by the Geological Survey was "...to preform the necessary drilling and testing of wells to identify the extent and nature of a reserve ground-water source in the vicinity of the Passaic River near the northern New Jersey metropolitan area." Results of this first phase were made available in the fall of 1966 in Water Resources Circular 16 of the New Jersey Department of Conservation and Economic Development. Three of the five areas tested (figure 1)--two in Parsippany-Troy Hills Township (areas 2 and 4) and one in East Hanover Township (area 1), Morris County--proved capable of providing an aggregate sustained yield of 7.5 million gallons daily (mgd) from wells constructed in sand and gravel deposits. Because significant supplies of ground water for emergency use were located in the first phase of the exploratory test-drilling program, it was though desirable to extend the originally planned studies so as to obtain maximum practicable information on emergency supplies. During this second phase of the investigation, drilling was conducted in 16 sites in Chatham, Madison, and Florham Park Boroughs and in Hanover and East Hanover Townships, Morris County. (See figure 2.) The drilling in Hanover and East Hanover Townships, and part of the drilling done in Florham Park was to explore the availability of large undeveloped ground-water supplies. Drilling in Chatham, Madison, and Florham Park Boroughs was done primarily to determine the extent and continuity of buried valley-fill aquifers, so that a full evaluation of the effects of pumpage from other areas on these already heavily pumped areas could be made. In addition, it was anticipated that the drilling could help in defining the feasibility of artificial recharge of the heavily pumped areas and in the determination of the prospective method of recharge and points of emplacement. Arrangements for easements with landowners, preparation of specifications for well drilling and seismic work, and supervision of well drilling and seismic contracts were all performed by the New Jersey District, Water Resources Division of the Geological Survey. Prior to the test drilling, seismic exploration under contract with Alpine Geophysical Associates of Norwood, N. J. was conducted at five locations in the Chatham-Madison-Florham Park area and at one place in Parsippany-Troy Hills Township. The seismic work was done to determine the most favorable location for a test well at several potential test-well sites and to help in the interpretation of subsurface geology between test sites. Contracts for the drilling of the test holes were awarded during November and drilling commences on November 30. Kaye Well drilling, Inc. of Jackson, N. J. was the recipient of a contract for eight of the test holes, and a second contract was awarded to Rinbrand Well Drilling Co., Inc. of Glen Rock, N. J.--also for eight test holes. Acknowledgment is due to the many public officials of Chatham, Madison, Florham Park, Morristown, and East Hanover Township as well as officials of the Braidburn Corporation and Esso Research and Engineering Co., who cooperated by making their lands available for exploration.

New Jersey↗

Geomorphology, active tectonics, and landscape evolution in the Mid-Atlantic region

In 2014, the geomorphology community marked the 125th birthday of one of its most influential papers, “The Rivers and Valleys of Pennsylvania” by William Morris Davis. Inspired by Davis’s work, the Appalachian landscape rapidly became fertile ground for the development and testing of several grand landscape evolution paradigms, culminating with John Hack’s dynamic equilibrium in 1960. As part of the 2015 GSA Annual Meeting, the Geomorphology, Active Tectonics, and Landscape Evolution field trip offers an excellent venue for exploring Appalachian geomorphology through the lens of the Appalachian landscape, leveraging exciting research by a new generation of process-oriented geomorphologists and geologic field mapping. Important geomorphologic scholarship has recently used the Appalachian landscape as the testing ground for ideas on long- and short-term erosion, dynamic topography, glacial-isostatic adjustments, active tectonics in an intraplate setting, river incision, periglacial processes, and soil-saprolite formation. This field trip explores a geologic and geomorphic transect of the mid-Atlantic margin, starting in the Blue Ridge of Virginia and proceeding to the east across the Piedmont to the Coastal Plain. The emphasis here will not only be on the geomorphology, but also the underlying geology that establishes the template and foundation upon which surface processes have etched out the familiar Appalachian landscape. The first day focuses on new and published work that highlights Cenozoic sedimentary deposits, soils, paleosols, and geomorphic markers (terraces and knickpoints) that are being used to reconstruct a late Cenozoic history of erosion, deposition, climate change, and active tectonics. The second day is similarly devoted to new and published work documenting the fluvial geomorphic response to active tectonics in the Central Virginia seismic zone (CVSZ), site of the 2011 M 5.8 Mineral earthquake and the integrated record of Appalachian erosion preserved on the Coastal Plain. The trip concludes on Day 3, joining the Kirk Bryan Field Trip at Great Falls, Virginia/ Maryland, to explore and discuss the dramatic processes of base-level fall, fluvial incision, and knickpoint retreat.

Virginia↗

Estimating the impacts of oil spills on polar bears

The polar bear is the apical predator and universal symbol of the Arctic. They occur throughout the Arctic marine environment wherever sea ice is prevalent. In the southern Beaufort Sea, polar bears are most common within the area of the outer continental shelf, where the hunt for seals along persistent leads and openings in the ice. Polar bears are a significant cultural and subsistence component of the lifestyles of indigenous people. They may also be one of the most important indicators of the health of the Arctic marine environment. Polar bears have a late age of maturation, a long inter0brth period, and small liter sizes. These life history features make polar bear populations susceptible to natural and human perturbations. Petroleum exploration and extraction have been in progress along the coast of northern Alaska for more than 25 years. Until recently, most activity has taken place on the mainland or at sites connected to the shore by a causeway. In 1999, BP Exploration-Alaska began constructing the first artificial production island designed to transport oil through sub-seafloor pipelines. Other similar projects have been proposed to begin in the next several years. The proximity of oil exploration and development to principal polar bear habitats raises concerns, and with the advent of true off-shore development projects, these concerns are compounded. Contact with oil and other industrial chemicals by polar bears, through grooming, consumption of tainted food, or direct consumption of chemicals, may be lethal. The active ice where polar bears hunt is also where spilled oil may be expected to concentrate during spring break-up and autumn freeze-up. Because of this, we could expect that an oil spill in the waters and ice of the continental shelf would have profound effects on polar bears. Assessments of the effects of spills, however, have not been done. This report described a promising method for estimating the effects of oil spills on polar bears in the Arctic marine environment. It uses enough real data to illuminate necessary calculations and illustrate the value of the methods. The results and conclusions presented here are only examples of possible scenarios resulting from a new estimation method. Final assessment of the potential impacts to polar bears of an oil spill remains a work in progress.

Alaska, Northwest Territories, Yukon↗

Undiscovered oil and gas resources and leasing status of forestlands in Wyoming

All of four national forests, one national grassland, and parts of four additional forests lie within the State of Wyoming. Some of these National Forest System lands have moderate to high potential for undiscovered oil and gas resources. In the 1989 National Assessment of undiscovered oil and gas and in various Open-File Reports, the U.S. Geological Survey described oil and gas plays and presented estimates of recoverable conventional oil and gas resources for these plays. Estimated resources in plays affecting NFS lands in Wyoming are substantial. Of special significance are undiscovered recoverable conventional resources (mean estimate) of approximately 1,010 million barrels of oil, 10,611 billion cubic feet of gas, and 188 million barrels of natural gas liquids assessed in ten plays that include National Forest System lands in the Thunder Basin National Grassland and the Bridger-Teton, Targhee, Caribou, and Shoshone National Forests in Wyoming. Approximately 5,715,570 acres in the forests and grassland are available for leasing or are expected to be available for leasing by mid-1993. Poor accessibility, environmental concerns, and geologic factors such as complex structure and greater drilling depths to potential reservoirs may cause higher exploration risks and operating costs on NFS lands. However, cooperative arrangements with the U.S. Forest Service, in addition to carefully planned exploration and development programs, can facilitate operations in remote and environmentally sensitive areas, and could result in opening new exploration frontiers in Wyoming.

Book chapter↗

A review of silver-rich mineral deposits and their metallogeny

Mineral deposits with large inventories or high grades of silver are found in four genetic groups: (1) volcanogenic massive sulfide (VMS), (2) sedimentary exhalative (SEDEX), (3) lithogene, and, (4) magmatichydrothermal. Principal differences between the four groups relate to source rocks and regions, metal associations, process and timing of mineralization, and tectonic setting. These four groups may be subdivided into specific metal associations on ternary diagrams based on relative metal contents. The VMS deposits rarely contain more than 15,600 t Ag (500 Moz). Grades average 33 g/t Ag. Variable Ag- Pb-Zn-Cu-Au ± Sn concentrations are interpreted as having been derived both from shallow plutons and by leaching of the volcanic rock pile in regions of thin or no continental crust and the mineralization is syngenetic. Higher silver grades are associated with areas of abundant felsic volcanic rocks. The SEDEX deposits rarely contain more than 15,600 t Ag (500 Moz). Grades average 46 g/t Ag. Silver, lead, and zinc in relatively consistent proportions are leached from sedimentary rocks filling rift-related basins, where the continental crust is thin, and deposited as syngenetic to diagenetic massive sulfides. Pre-mineral volcanic rocks and their detritus may occur deep within the basin and gold is typically absent. Lithogene silver-rich deposits are epigenetic products of varying combinations of compaction, dewatering, meteoric water recharge, and metamorphism of rift basin-related clastic sedimentary and interbedded volcanic rocks. Individual deposits may contain more than 15,600 t Ag (500 Moz) at high grades. Ores are characterized by four well-defined metal associations, including Ag, Ag-Pb-Zn, Ag-Cu, and Ag-Co-Ni-U. Leaching, transport, and deposition of metals may occur both in specific sedimentary strata and other rock types adjacent to the rift. Multiple mineralizing events lasting 10 to 15 m.y., separated by as much as 1 b.y., may occur in a single basin. Gold is absent at economic levels. The magmatic-hydrothermal silver-rich deposits are epigenetic and related to cordilleran igneous and volcanic suites. Six magmatic-hydrothermal districts each contain more than 31,000 t Ag (1,000 Moz) with grades of veins >600 g/t Ag. Mineralization occurs as veins, massive sulfides in carbonate rocks, and disseminated deposits including porphyry silver deposits, a proposed exploration model. Most deposits are epithermal with low-sulfidation alteration assemblages. Deposits are often telescoped and well-zoned. All large and high-grade magmatic-hydrothermal deposits appear confined to regions of relatively thick continental crust above Cenozoic consuming plate margins on the eastern side of the Pacific Rim. Silver in these deposits may be partly derived by hydrothermal leaching of rocks under or adjacent to the deposits. Specific metal associations in SEDEX and lithogene deposits may reflect confinement of fluid flow to and derivation of metals from specific source rock types. Variable metal associations in VMS and magmatichydrothermal deposits may reflect derivation of metals from a more diverse suite of rocks by convecting hydrothermal systems and processes related to the generation of magma. The discovery rate for silver-rich deposits has accelerated during the past decade, with new deposit types, metal associations, and exploration models being identified that provide numerous exploration and research opportunities.

Book chapter↗

Multiscale hyperspectral imaging of the Orange Hill Porphyry Copper Deposit, Alaska, USA, with laboratory-, field-, and aircraft-based imaging spectrometers

In the past decade, use of hyperspectral imaging (imaging spectroscopy) for mineral exploration and mining operations has been increasing at different spatial scales. In this paper, we focus on recent trends in applying imaging spectrometer data to: 1) airborne imaging of high latitude deposits, 2) field-based imaging of outcrops, and 3) laboratory-level imaging of geologic samples. Comparing mineral information derived from imaging spectrometer data acquired at these three scales in Alaska in areas of exposed porphyry Cu-Au-Mo deposits, Orange Hill and Bond Creek, we find notable consistency in identifications of spectrally predominant minerals, including white mica, chlorite, clays, and gypsum. Variations in the wavelength position of white mica 2200 nm Al-OH absorption seen at the airborne level are echoed by finerscale field and laboratory imaging, with wavelength positions spanning the 2199 to 2207 nm range. The longerwavelength micas associated with porphyry formation are more phengitic in composition, and thus distinct from mica in plutonic and volcanic arc rocks not affected by magmatic-hydrothermal fluids. The hillside imagery, collected on a cloudy day that would have precluded aircraft survey, gave comparable result to airborne and laboratory data, indicating field-based imaging spectroscopy can be a feasible alternative to airborne survey for accessible targets. Direct spectral observation of molybdenite in rocks collected from the Orange Hill deposit demonstratesthat additional important mineral information can be revealed with laboratory level imaging spectroscopy that is difficult to obtain in coarser scale data, commonly due to low areal extent of target minerals. The spatial association of the clinochlore + white mica and long wavelength white mica spectral classes to multi-element Cu-Mo-Au anomalies from geochemical analyses of rocks and sediments support a causative relationship with magmatic-hydrothermal alteration. Mineral maps from the airborne data were used to guide field sampling that found additional CuMo-Au mineralized areas, which were previously unknown or unreported. The results from this study provide support for utilization of imaging spectroscopy for assisting mineral exploration in other portions of the state of Alaska as well as other areas at high latitudes. Imaging spectroscopy has the potential to provide targeting information for follow-up sampling and investigations, potentially reducing subsequent exploration costs.

Alaska↗

Habitat suitability index model improvement recommendations

As part of the model improvement effort for the 2023 Coastal Master Plan, the Habitat Suitability Index (HSI) models used during previous master plans were reevaluated to assess how the model relationships could be improved, and to determine what species should be included in the master plan analyses. This process considered the technical reviews, comments, and suggested improvements provided by model developers, advisory groups, and other experts during previous master plans. Reviews were then conducted to determine the availability of data and information that could be used to make model improvements. As a result of this effort, a recommended list of relevant species to model is provided, and HSI model improvements are recommended that are categorized by whether the suitability index (SI) relationship to be improved is statistical-based or literature-based. The species recommended to be included in the 2023 Coastal Master Plan analyses are: eastern oyster, brown shrimp, white shrimp, blue crab, crayfish, gulf menhaden, spotted seatrout, largemouth bass, American alligator, gadwall, mottled duck, brown pelican, seaside sparrow, and bald eagle. These species were selected because they represent a range of taxonomies, life histories, trophic levels, and habitats, and most are commercially- or recreationally-important in coastal Louisiana. Most of these species were also included in the 2017 Coastal Master Plan analyses, and the models used during that effort should be further improved. Seaside sparrow and bald eagle are new for the master plan, and new models should be developed for the analyses. The 2017 fish, shrimp, and blue crab HSI models included a water quality SI that was based on statistical analyses of species catch and environmental data collected by the Louisiana Department of Wildlife and Fisheries. As suggested during the 2017 Coastal Master Plan, the modeling approach used to develop the water quality SI was revisited and alternate modeling approaches were explored. Using literature and an evaluation of the general steps of model development, three components for HSI model improvement were identified, including 1) selecting alternative modeling approach(es); 2) detecting and resolving statistical issues; and 3) improving model fit and evaluation. Multiple options for each component were explored, which resulted in a proposed multi-step phased approach for model improvement. This proposed approach entails improving the generalized linear models used for the 2017 water quality SIs and then, if desired, comparing them to alternative model approaches (e.g., generalized additive models) to explore model performance and select the best approach to use for the 2023 Coastal Master Plan HSI models. All of the existing master plan HSI models include literature-based SIs, which use information from published studies of species-habitat associations to derive suitability relationships. Similar to previous master plans, these literature-based SIs should be updated and improved for the 2023 Coastal Master Plan using recent literature and new ecological knowledge. Preliminary reviews were conducted and recent information was found that could be used to improve the eastern oyster, crayfish, and potentially brown pelican HSI models; but no appropriate recent literature was located for improvement of the American alligator, gadwall, and mottled duck HSI models. However, it is recommended that the literature reviews and information searches be continued. In addition to the statistical-based water quality SI, the 2017 fish, shrimp, and blue crab HSI models also included a structural habitat SI that was based on literature showing high densities of these species in fragmented marsh. The relationship used for this SI, however, did not account for the effects of other estuarine habitats, such as submerged aquatic vegetation and oyster reefs, which are also important to these species. Therefore, a meta-analysis approach is proposed that would estimate the relative importance of these habitats for each species, and the results of this analysis could be used to calculate a new structural habitat SI for the 2023 Coastal Master Plan.

Report↗

Cascadia Margin cold seeps: Subduction zone fluids, gas hydrates, and chemosynthetic habitats

Priority Geographic Area: The outer continental shelf and upper continental slope from Canada/U.S. border offshore Washington State to the Mendocino Fracture Zone (Northern California), entirely within the U.S. Exclusive Economic Zone (EEZ), from the outermost shelf to at least 2000 m water depth (Figure 1). Description of Priority Area: Since 2015, over a thousand water column gas plumes originating at seafloor gas seeps have been discovered landward of the Cascadia deformation front (e.g., Embley et al., 2016; Johnson et al., 2015, 2019; Merle and Embley, 2016; NA-95 Cruise Report, 2018; Riedel et al., 2018), adding to those that had long been known on Hydrate Ridge (e.g., Heeschen et al., 2003; Tréhu et al., 2004). The recently-discovered seeps stretch from offshore Vancouver Island to the Mendocino Fracture Zone and from the outer shelf to ~2000 m water depth, occurring both landward and seaward of the nominal limit for gas hydrate stability zone on the upper continental slope (Figure 1). Hundreds of seeps likely remain undiscovered. Water column imaging is incomplete both within the target geographic area and farther seaward, between the 2000 m isobath and the deformation front, which is the subject of an imaging study described in a white paper by Watt et al. The recently-discovered Cascadia Margin cold seeps partially overlap an important active margin gas hydrate province (Spence et al., 2001; Tréhu et al., 2003, 2004), as well as an area where sediments on the North American plate are folded and faulted and affected by fluids generated in the subduction complex beneath the Cascadia forearc (e.g., Saffer and Tobin, 2011). Several Ocean Drilling Program expeditions have focused on hydrate systems offshore Vancouver and Oregon (e.g., Riedel et al., 2009; Tréhu et al., 2004) and on the connection between the shallow and deep hydrogeologic systems. Cabled observatories now continuously monitor physical, chemical, and venting processes on south Hydrate Ridge (OOI; e.g., Philip et al., 2016a) and offshore Vancouver Island (NEPTUNE; e.g. Römer et al., 2016). Outside of these well-studied gas hydrate areas, a subset of the recently-discovered Cascadia seeps, including some that we visited with R/V Falkor in 2019 (e.g., https://schmidtocean.org/cruise/methane-seeps-at-edge-of-hydrate-stability/), also likely emit methane associated with shallow subseafloor gas hydrate systems. Other seeps are delivering not only methane, but also deep-derived gases (Baumberger et al., 2018, 2020) to the seafloor. Many Cascadia Margin seeps have also been recognized at water depths too shallow (e.g., 175 m) to be connected to gas hydrate dynamics. These seeps are postulated to be emitting gas and fluids that originated deep in accretionary wedge before migrating up normal faults generated during forearc extension associated with large earthquakes (Johnson et al., 2019). Only a small fraction of the recently discovered U.S. Cascadia Margin water column gas plumes has so far been verified by ROVs (Hercules from E/V Nautilus in 2016 and 2018; SuBastian from R/V Falkor in 2018 and 2019) to correspond to seafloor seeps. Careful scientific mapping, investigation, and sampling at the seeps have also been limited (e.g., Baumberger et al., 2018, 2020; Merle and Embley, 2016; Seabrook et al., 2018; Greinert et al. 2019). This white paper focuses on expanding exploration of already-identified U.S. Cascadia Margin cold seeps through a multipronged and multidisciplinary discovery program that could be accomplished with a variety of NOAA assets. The goals of the proposed exploration activities are to develop high-resolution maps of seep fields from deep ocean vehicles; to verify (and sample) seafloor gas emissions at the locations of water column plumes for compositional and isotopic studies; to map, sample, and conduct analyses on chemosynthetic communities and deep-sea coral habitats near seep sites to document species distributions and habitats as a function of depth and latitude along the margin; to collect seep geologic samples that can constrain the timing of methane emissions through geochronology; and to record environmental data (e.g., CTD) near the seafloor and in the water column above the seeps. Seafloor mapping using shipboard systems (multibeam/backscatter) would be needed to characterize seafloor features near seep sites. Water column imaging (EK60/80 and/or multibeam WCD data) conducted before and after seafloor explorations would capture active methane plumes and constrain temporal variations in seep emissions (e.g., Kannberg et al., 2013; Philip et al., 2016a, 2016b), which are known to vary on time scales as rapid as tidal cycles on this margin (e.g., Römer et al., 2016). What are the characterization and data needs in this area? Check all that apply: __x_ Biology, Geology, Physical Oceanography, Chemistry ___ Marine Archaeology ___ Other Provide a list or brief description of the data needed within this area, from your perspective: 1. Water column backscatter to image active gas plumes 2. High-resolution multibeam bathymetry, seafloor backscatter, and shallow sub-bottom imaging 3. Visual characterization and ground truthing of potential seeps, including high-resolution mapping and photography from near-seafloor vehicles; collection of seep-associated species, corals, sediments, authigenic carbonates, gases, and seawater Describe relevance to national security, conservation, and/or the economy: The Cascadia margin seeps provide significant ecosystem services, including habitat for commercially important fishes and support for diversity along the continental margin. Methane seeps are also biological hotspots for krill, plankton, and crustaceans, which in turn sustain higher trophic levels (e.g., whales). Methane-derived authigenic carbonates serve as a hard substrate for deep-sea corals and sponges on millennial time scales. The studies proposed here will elucidate the relationship among seep environments, deep-sea corals, sponges, fisheries, and other organisms and provide new insight into subduction zone and hydrate-associated fluids in this important seismogenic zone. The studies address fishery management concerns and inform future conservation of sensitive species (e.g., deep-sea corals) and benthic habitats. From your perspective, what makes this area unique? The Cascadia Margin seeps are a critical component of the leaky margin that stretches from Baja California to the Aleutian Arc along the Pacific coastline of North America. Cold seeps have been intensely studied on the Gulf of Mexico and U.S. Atlantic passive margins with a focus on chemosynthetic communities, deep-sea corals, and leakage of microbially-generated and/or thermogenic hydrocarbons; however, the recently-discovered Cascadia Margin seeps, as well as active margin seep systems in general, remain more poorly characterized. Such seeps not only contribute to the ocean carbon cycle (e.g., Pohlman et al., 2011), thereby fueling the base of the food chain in these settings, but also emit subduction zone fluids that provide clues about processes within the seismogenic zone and the accretionary complex. The Cascadia seeps area allows both biological (e.g., benthic habitats, coral distributions) and physical processes (e.g., generation of subduction zone fluids) to be studied along both depth (perpendicular to the deformation front) and latitudinal gradients.

California, Oregon, Washington↗

Biology characterization breakout report

The primary goal of the biology characterization breakout group was to identify the strategies, tools, data priorities, and key partnerships needed to conduct baseline biological characterizations of deep-sea benthic environments across the U.S. EEZ in the Pacific. Discussions focused primarily on priorities for the characterization of deep-water (>200-meter depths) benthic biological communities; however, the group also emphasized that such characterizations need to be linked to efforts to characterize the overlying water column. The group was tasked with identifying how to prioritize exploration and characterization efforts, including how to identify priority geographic areas and specific methodologies needed to execute exploration activities. The expert community that provided input included representatives from various stakeholder groups actively working on deep-sea issues across the Pacific, including researchers and managers from government agencies, academic institutions, nongovernmental institutions, and the private sector. This report provides a summary of specific guidance identified as key for the successful exploration of deep-sea benthic habitats within the U.S. EEZ in the Pacific, as well as in adjacent international waters.

Conference Paper↗