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The National Map: from geography to mapping and back again

When the means of production for national base mapping were capital intensive, required large production facilities, and had ill-defined markets, Federal Government mapping agencies were the primary providers of the spatial data needed for economic development, environmental management, and national defense. With desktop geographic information systems now ubiquitous, source data available as a commodity from private industry, and the realization that many complex problems faced by society need far more and different kinds of spatial data for their solutions, national mapping organizations must realign their business strategies to meet growing demand and anticipate the needs of a rapidly changing geographic information environment. The National Map of the United States builds on a sound historic foundation of describing and monitoring the land surface and adds a focused effort to produce improved understanding, modeling, and prediction of land-surface change. These added dimensions bring to bear a broader spectrum of geographic science to address extant and emerging issues. Within the overarching construct of The National Map, the U.S. Geological Survey (USGS) is making a transition from data collector to guarantor of national data completeness; from producing paper maps to supporting an online, seamless, integrated database; and from simply describing the Nation’s landscape to linking these descriptions with increased scientific understanding. Implementing the full spectrum of geographic science addresses a myriad of public policy issues, including land and natural resource management, recreation, urban growth, human health, and emergency planning, response, and recovery. Neither these issues nor the science and technologies needed to deal with them are static. A robust research agenda is needed to understand these changes and realize The National Map vision. Initial successes have been achieved. These accomplishments demonstrate the utility of The National Map to the Nation and give confidence in evolving its future applications.

Photogrammetric Engineering and Remote Sensing↗

Measuring distance “as the horse runs”: Cross-scale comparison of terrain-based metrics

Distance metrics play significant roles in spatial modeling tasks, such as flood inundation (Tucker and Hancock 2010), stream extraction (Stanislawski et al. 2015), power line routing (Kiessling et al. 2003) and analysis of surface pollutants such as nitrogen (Harms et al. 2009). Avalanche risk is based on slope, aspect, and curvature, all directly computed from distance metrics (Gutiérrez 2012). Distance metrics anchor variogram analysis, kernel estimation, and spatial interpolation (Cressie 1993). Several approaches are employed to measure distance. Planar metrics measure straight line distance between two points (“as the crow flies”) and are simple and intuitive, but suffer from uncertainties. Planar metrics assume that Digital Elevation Model (DEM) pixels are rigid and flat, as tiny facets of ceramic tile approximating a continuous terrain surface. In truth, terrain can bend, twist and undulate within each pixel. Work with Light Detection and Ranging (lidar) data or High Resolution Topography to achieve precise measurements present challenges, as filtering can eliminate or distort significant features (Passalacqua et al. 2015). The current availability of lidar data is far from comprehensive in developed nations, and non-existent in many rural and undeveloped regions. Notwithstanding computational advances, distance estimation on DEMs has never been systematically assessed, due to assumptions that improvements are so small that surface adjustment is unwarranted. For individual pixels inaccuracies may be small, but additive effects can propagate dramatically, especially in regional models (e.g., disaster evacuation) or global models (e.g., sea level rise) where pixels span dozens to hundreds of kilometers (Usery et al 2003). Such models are increasingly common, lending compelling reasons to understand shortcomings in the use of planar distance metrics. Researchers have studied curvature-based terrain modeling. Jenny et al. (2011) use curvature to generate hierarchical terrain models. Schneider (2001) creates a ‘plausibility’ metric for DEM-extracted structure lines. d’Oleire- Oltmanns et al. (2014) adopt object-based image processing as an alternative to working with DEMs; acknowledging the pre-processing involved in converting terrain into an object model is computationally intensive, and likely infeasible for some applications. This paper compares planar distance with surface adjusted distance, evolving from distance “as the crow flies” to distance “as the horse runs”. Several methods are compared for DEMs spanning a range of resolutions for the study area and validated against a 3 meter (m) lidar data benchmark. Error magnitudes vary with pixel size and with the method of surface adjustment. The rate of error increase may also vary with landscape type (terrain roughness, precipitation regimes and land settlement patterns). Cross-scale analysis for a single study area is reported here. Additional areas will be presented at the conference.

Conference Paper↗

Fish stocking in protected areas: Summary of a workshop

Native and nonnative sport fish have been introduced into the majority of historically fishless lakes in wilderness, generating conflicts between managing wilderness as natural ecosystems and providing opportunities for recreation. Managers faced with controversial and difficult decisions about how to manage wilderness lakes may not always have ready access to research relevant to these decisions. To address this problem, and to expose scientists to the concerns and constraints of managers and wilderness users, a workshop was held in October 1998 at the Flathead Lake Biological Station in Polson, Montana. Participants included 43 scientists, state and federal managers, wilderness users and advocates and students. Four subject areas were addressed: federal, state, tribal and user perspectives, community and ecosystem effects, species effects and management recommendations. Papers from the workshop are being developed for an issue of the journal Ecosystems.

Proceedings↗

Coastal-change and glaciological maps of Antarctica

Changes in the area and volume of polar ice sheets are intricately linked to changes in global climate, and the resulting changes in sea level may severely impact the densely populated coastal regions on Earth. Melting of the West Antarctic part alone of the Antarctic ice sheet could cause a sea-level rise of approximately 6 meters (m). The potential sea-level rise after melting of the entire Antarctic ice sheet is estimated to be 65 m (Lythe and others, 2001) to 73 m (Williams and Hall, 1993). In spite of its importance, the mass balance (the net volumetric gain or loss) of the Antarctic ice sheet is poorly known; it is not known for certain whether the ice sheet is growing or shrinking. In a review paper, Rignot and Thomas (2002) concluded that the West Antarctic part of the Antarctic ice sheet is probably becoming thinner overall; although the western part is thickening, the northern part is thinning. Joughin and Tulaczyk (2002), based on analysis of ice-flow velocities derived from synthetic aperture radar, concluded that most of the Ross ice streams (ice streams on the east side of the Ross Ice Shelf) have a positive mass balance. The mass balance of the East Antarctic is unknown, but thought to be in near equilibrium. Measurement of changes in area and mass balance of the Antarctic ice sheet was given a very high priority in recommendations by the Polar Research Board of the National Research Council (1986), in subsequent recommendations by the Scientific Committee on Antarctic Research (SCAR) (1989, 1993), and by the National Science Foundation's (1990) Division of Polar Programs. On the basis of these recommendations, the U.S. Geological Survey (USGS) decided that the archive of early 1970s Landsat 1, 2, and 3 Multispectral Scanner (MSS) images of Antarctica and the subsequent repeat coverage made possible with Landsat and other satellite images provided an excellent means of documenting changes in the coastline of Antarctica (Ferrigno and Gould, 1987). The availability of this information provided the impetus for carrying out a comprehensive analysis of the glaciological features of the coastal regions and changes in ice fronts of Antarctica (Swithinbank, 1988; Williams and Ferrigno, 1988). The project was later modified to include Landsat 4 and 5 MSS and Thematic Mapper (TM) (and in some areas Landsat 7 Enhanced Thematic Mapper Plus (ETM+)), RADARSAT images, and other data where available, to compare changes over a 20- to 25- or 30-year time interval (or longer where data were available, as in the Antarctic Peninsula). The results of the analysis are being used to produce a digital database and a series of USGS Geologic Investigations Series Maps consisting of 24 maps at 1:1,000,000 scale and 1 map at 1:5,000,000 scale, in both paper and digital format (Williams and others, 1995; Williams and Ferrigno, 1998; and Ferrigno and others, 2002).

IMAP↗

Coastal-change and glaciological map of the Eights Coast area, Antarctica, 1972-2001

Changes in the area and volume of polar ice sheets are intricately linked to changes in global climate, and the resulting changes in sea level may severely impact the densely populated coastal regions on Earth. Melting of the West Antarctic part alone of the Antarctic ice sheet could cause a sea-level rise of approximately 6 meters (m). The potential sea-level rise after melting of the entire Antarctic ice sheet is estimated to be 65 m (Lythe and others, 2001) to 73 m (Williams and Hall, 1993). In spite of its importance, the mass balance (the net volumetric gain or loss) of the Antarctic ice sheet is poorly known; it is not known for certain whether the ice sheet is growing or shrinking. In a review paper, Rignot and Thomas (2002) concluded that the West Antarctic part of the Antarctic ice sheet is probably becoming thinner overall; although the western part is thickening, the northern part is thinning. Joughin and Tulaczyk (2002), based on analysis of ice-flow velocities derived from synthetic aperture radar, concluded that most of the Ross ice streams (ice streams on the east side of the Ross Ice Shelf) have a positive mass balance. The mass balance of the East Antarctic is unknown, but thought to be in near equilibrium. Measurement of changes in area and mass balance of the Antarctic ice sheet was given a very high priority in recommendations by the Polar Research Board of the National Research Council (1986), in subsequent recommendations by the Scientific Committee on Antarctic Research (SCAR) (1989, 1993), and by the National Science Foundation's (1990) Division of Polar Programs. On the basis of these recommendations, the U.S. Geological Survey (USGS) decided that the archive of early 1970s Landsat 1, 2, and 3 Multispectral Scanner (MSS) images of Antarctica and the subsequent repeat coverage made possible with Landsat and other satellite images provided an excellent means of documenting changes in the coastline of Antarctica (Ferrigno and Gould, 1987). The availability of this information provided the impetus for carrying out a comprehensive analysis of the glaciological features of the coastal regions and changes in ice fronts of Antarctica (Swithinbank, 1988; Williams and Ferrigno, 1988). The project was later modified to include Landsat 4 and 5 MSS and Thematic Mapper (TM) (and in some areas Landsat 7 Enhanced Thematic Mapper Plus (ETM+)), RADARSAT images, and other data where available, to compare changes over a 20- to 25- or 30-year time interval (or longer where data were available, as in the Antarctic Peninsula). The results of the analysis are being used to produce a digital database and a series of USGS Geologic Investigations Series Maps consisting of 24 maps at 1:1,000,000 scale and 1 map at 1:5,000,000 scale, in both paper and digital format (Williams and others, 1995; Williams and Ferrigno, 1998; and Ferrigno and others, 2002).

IMAP↗

Coastal-change and glaciological map of the Saunders Coast area, Antarctica: 1972-1997

Changes in the area and volume of polar ice sheets are intricately linked to changes in global climate, and the resulting changes in sea level may severely impact the densely populated coastal regions on Earth. Melting of the West Antarctic part alone of the Antarctic ice sheet could cause a sea-level rise of approximately 6 meters (m). The potential sea-level rise after melting of the entire Antarctic ice sheet is estimated to be 65 m (Lythe and others, 2001) to 73 m (Williams and Hall, 1993). In spite of its importance, the mass balance (the net volumetric gain or loss) of the Antarctic ice sheet is poorly known; it is not known for certain whether the ice sheet is growing or shrinking. In a review paper, Rignot and Thomas (2002) concluded that the West Antarctic part of the Antarctic ice sheet is probably becoming thinner overall; although the western part is thickening, the northern part is thinning. Joughin and Tulaczyk (2002), based on analysis of ice-flow velocities derived from synthetic aperture radar, concluded that most of the Ross ice streams (ice streams on the east side of the Ross Ice Shelf) have a positive mass balance. The mass balance of the East Antarctic is unknown, but thought to be in near equilibrium. Measurement of changes in area and mass balance of the Antarctic ice sheet was given a very high priority in recommendations by the Polar Research Board of the National Research Council (1986), in subsequent recommendations by the Scientific Committee on Antarctic Research (SCAR) (1989, 1993), and by the National Science Foundation?s (1990) Division of Polar Programs. On the basis of these recommendations, the U.S. Geological Survey (USGS) decided that the archive of early 1970s Landsat 1, 2, and 3 Multispectral Scanner (MSS) images of Antarctica and the subsequent repeat coverage made possible with Landsat and other satellite images provided an excellent means of documenting changes in the coastline of Antarctica (Ferrigno and Gould, 1987). The availability of this information provided the impetus for carrying out a comprehensive analysis of the glaciological features of the coastal regions and changes in ice fronts of Antarctica (Swithinbank, 1988; Williams and Ferrigno, 1988). The project was later modified to include Landsat 4 and 5 MSS and Thematic Mapper (TM) (and in some areas Landsat 7 Enhanced Thematic Mapper Plus (ETM+)), RADARSAT images, and other data where available, to compare changes over a 20- to 25- or 30-year time interval (or longer where data were available, as in the Antarctic Peninsula). The results of the analysis are being used to produce a digital database and a series of USGS Geologic Investigations Series Maps consisting of 24 maps at 1:1,000,000 scale and 1 map at 1:5,000,000 scale, in both paper and digital format (Williams and others, 1995; Williams and Ferrigno, 1998; and Ferrigno and others, 2002).

IMAP↗

Biostratigraphy of selected K/T boundary sections in southwestern North Dakota, USA: Toward a refinement of palynological identification criteria

The Cretaceous/Tertiary ( K / T ) boundary corresponds to one of the very few unique events in the geological record discovered to date, representing a single traceable timeline across the world. This timeline, coincident with the geochemical and mineralogical singularities caused by the impact of a large extraterrestrial body, is also coincident with the end-Cretaceous extinction event in North America. This precise timeline gives an ideal context for comparing the trends recorded by the different groups of the terrestrial fossil record during the K / T extinction event. However, in southwestern North Dakota , numerous studies conducted on excellent exposures of the K / T boundary showed that the geochemical and mineralogical criteria associated with the impact are rarely preserved. For that reason, palynology is preferred as a simple and efficient way for identifying the K / T boundary . In this context, a previously undescribed outcrop section from southwestern North Dakota was found to preserve an extensive record of the continental K / T boundary with miospores and plant megafossils, as well as microvertebrates and large vertebrate elements. Preliminary studies on the fossil associations recovered from this site showed an inconsistency between the Paleocene age given by the vertebrate and megafloral component and the Cretaceous age given by the palynological record. This issue is investigated in this paper, with a major emphasis on the description and analysis of the palynological record associated with sedimentological and paleoenvironmental data. Results shows that palynologically, the K / T boundary is placed more accurately using relative abundance variations of selected taxa.

North Dakota↗

Southern San Andreas Fault evaluation field activity: approaches to measuring small geomorphic offsets--challenges and recommendations for active fault studies

In southern California, where fast slip rates and sparse vegetation contribute to crisp expression of faults and microtopography, field and high‐resolution topographic data (<1 m/pixel) increasingly are used to investigate the mark left by large earthquakes on the landscape (e.g., Zielke et al., 2010; Zielke et al., 2012; Salisbury, Rockwell, et al., 2012, Madden et al., 2013). These studies measure offset streams or other geomorphic features along a stretch of a fault, analyze the offset values for concentrations or trends along strike, and infer that the common magnitudes reflect successive surface‐rupturing earthquakes along that fault section. Wallace (1968) introduced the use of such offsets, and the challenges in interpreting their “unique complex history” with offsets on the Carrizo section of the San Andreas fault; these were more fully mapped by Sieh (1978) and followed by similar field studies along other faults (e.g., Lindvall et al., 1989; McGill and Sieh, 1991). Results from such compilations spurred the development of classic fault behavior models, notably the characteristic earthquake and slip‐patch models, and thus constitute an important component of the long‐standing contrast between magnitude–frequency models (Schwartz and Coppersmith, 1984; Sieh, 1996; Hecker et al., 2013). The proliferation of offset datasets has led earthquake geologists to examine the methods and approaches for measuring these offsets, uncertainties associated with measurement of such features, and quality ranking schemes (Arrowsmith and Rockwell, 2012; Salisbury, Arrowsmith, et al., 2012; Gold et al., 2013; Madden et al., 2013). In light of this, the Southern San Andreas Fault Evaluation (SoSAFE) project at the Southern California Earthquake Center (SCEC) organized a combined field activity and workshop (the “Fieldshop”) to measure offsets, compare techniques, and explore differences in interpretation. A thorough analysis of the measurements from the field activity will be provided separately; this paper discusses the complications presented by such offset measurements using two channels from the San Andreas fault as illustrative cases. We conclude with best approaches for future data collection efforts based on input from the Fieldshop.

California↗

The Hurricane-flood-landslide continuum-forecasting Hurricane effects at landfall

The integration of remote-sensing and in-situ observations, and assimilation of these observations into high-resolution mesoscale models was described. It was observed that the greatest loss of life and property is the direct result of the storm because of the high winds and heavy rain. The research were conducted to develop a warning system that included satellite observations to track dangerous level of precipitation and hurricane. The focus of the continuum project was to improve the ability to predict the evolution of the Earth system.

Conference Paper↗

Biology and conservation of Xantus's Murrelet: Discovery, taxonomy and distribution

The biology of Xantus's Murrelets Synthliboramphus hypoleucus is similar in many respects to better-studied Ancient Murrelets S. antiquus, especially regarding morphology and the species' precocial mode of post-hatching development. It nests mainly in rock crevices but also under shrubs on islands in southern California, United States, and northwestern Baja California, Mexico (27 o N to 34 o N). The species was discovered in 1859 by Janos Xantus. Two subspecies ( S. h. hypoleucus and S. h. scrippsi ) are recognized that show limited evidence of interbreeding. At sea, closely related Craveri's Murrelets S. craveri co-occur with Xantus's Murrelets off California and western Baja California during half the year, but the former species has a discrete breeding range in the Gulf of California, Mexico. Breeding was documented at 13 island groups between 1863 and 1976. Post-breeding dispersal as far north as central British Columbia, Canada (c. 52 o N) was observed in the 1940s to 1960s. A few Xantus's Murrelets disperse south of breeding colonies to Magdalena Bay, Baja California (c. 24 o N). The southernmost record is the type specimen collected by Xantus near Cabo San Lucas, Baja California (c. 23 o N). Chief threats to this species include introduced mammalian predators on breeding islands, heightened predation by natural predators in human-modified island habitats, and oil pollution. In January 2005, a Pacific Seabird Group special symposium, "Biology and conservation of the Xantus's Murrelet," highlighted conservation concerns and promoted publication of recent studies of this little-known alcid, with nine symposium papers published in this issue of Marine Ornithology. Much of what we know about Xantus's Murrelets has been learned in recent years, and many aspects of biology remain to be described.

Marine Ornithology: Journal of Seabird Research an↗

A thermostatic water bath for experimental studies in aqueous solutions

A temperature-controlled water bath for the study of ion-pairing equilibria and mineral solubility in aqueous solutions below 100&deg;C is described. The bath is similar to a previously described system (P. B. Hostetler and C. L. Christ, 1968, U.S. Geol. Survey Prof. Paper 600-D, p. D217-D221) but incorporates several significant improvements. Included among these are a more efficient stirring mechanism, a potentially larger solid-to-solution ratio, and improved equilibration of the gas phase with the solution.

Journal of Research of the U.S. Geological Survey↗

Future for polar bears in a declining sea ice environment: What do we know?

During an April 22, 2006, interview on the CBC radio program &ldquo;The House,&rdquo; Tim Flannery, author of the recent book &ldquo;The Weathermakers,&rdquo; stated, &ldquo;Projections of the polar bear specialists are that by about 2030, around that date, the species will be extinct because of global warming induced changes in the Arctic sea ice.&rdquo; That statement was followed on May 4th by quotations in the Toronto Globe and Mail from Dr. Mitch Taylor, a polar bear researcher in Nunavut, Canada, claiming, &ldquo;polar bears have survived both warmer times and colder times than these,&rdquo; that &ldquo;nothing has melted the Arctic sea ice for 30 million years,&rdquo; that &ldquo;polar bears are remarkably adaptable,&rdquo; and that &ldquo;a warming climate might even benefit polar bears.&rdquo;

Conference Paper↗

Applied Geochemistry Special Issue on Environmental geochemistry of modern mining

Environmental geochemistry is an integral part of the mine-life cycle, particularly for modern mining. The critical importance of environmental geochemistry begins with pre-mining baseline characterization and the assessment of environmental risks related to mining, continues through active mining especially in water and waste management practices, and culminates in mine closure. The enhanced significance of environmental geochemistry to modern mining has arisen from an increased knowledge of the impacts that historical and active mining can have on the environment, and from new regulations meant to guard against these impacts. New regulations are commonly motivated by advances in the scientific understanding of the environmental impacts of past mining. The impacts can be physical, chemical, and biological in nature. The physical challenges typically fall within the purview of engineers, whereas the chemical and biological challenges typically require a multidisciplinary array of expertise including geologists, geochemists, hydrologists, microbiologists, and biologists. The modern mine-permitting process throughout most of the world now requires that potential risks be assessed prior to the start of mining. The strategies for this risk assessment include a thorough characterization of pre-mining baseline conditions and the identification of risks specifically related to the manner in which the ore will be mined and processed, how water and waste products will be managed, and what the final configuration of the post-mining landscape will be. In the Fall 2010, the Society of Economic Geologists held a short course in conjunction with the annual meeting of the Geological Society of America in Denver, Colorado (USA) to examine the environmental geochemistry of modern mining. The intent was to focus on issues that are pertinent to current and future mines, as opposed to abandoned mines, which have been the focus of numerous previous short courses. The geochemical challenges of current and future mines share similarities with abandoned mines, but differences also exist. Mining and ore processing techniques have changed; the environmental footprint of waste materials has changed; environmental protection has become a more integral part of the mine planning process; and most historical mining was done with limited regard for the environment. The 17 papers in this special issue evolved from the Society of Economic Geologists’ short course. The relevant geochemical processes encompass the source, transport, and fate of contaminants related to the life cycle of a mine. Contaminants include metals and other inorganic species derived from geologic sources such as ore and solid mine waste, and substances brought to the site for ore processing, such as cyanide to leach gold. Factors, such as mine-waste mineralogy, hydrologic setting, mine-drainage chemistry, and microbial activity, that affect the hydrochemical risks from mining are reviewed by Nordstrom et al. In another paper, Nordstrom discusses baseline characterization at mine sites in a regulatory framework, and emphasizes the influence of mineral deposits in producing naturally elevated concentrations of many trace elements in surface water and groundwater. Surface water quality in mineralized watersheds is influenced by a number of processes that act on daily (diel) cycles and can produce dramatic variations in trace element concentrations as described by Gammons et al. Pre-mining baseline characterization studies should strive to capture the magnitude of these diel variations. Desbarats et al., using a case study of mine drainage from a gold mine, illustrate how elements that commonly occur as negatively charged species (anions) in solution, such as arsenic as arsenate, behave in an opposite fashion than most metals, which occur as positively charged species (cations). Significant improvement in the understanding of factors that influence the toxicity of metals to aquatic organisms in surface water has highlighted the importance of aqueous chemistry, particularly dissolved organic carbon, as described by Smith et al. Stream sediment contamination is another important pathway for affecting aquatic organisms, as reviewed by Besser et al. Understanding and predicting environmental consequences from mining begins with knowing the mineralogy and mineral reactivity of the ore, the wastes, and of secondary minerals formed later. Jamieson et al. review the importance of mineralogical studies in mine planning and remediation. A number of types of site-specific studies are needed to identify environmental risks related to individual mines. Lapakko reviews the general framework of mine waste characterization studies that are integral to the mine planning process. Hageman et al. present a comparative study of several static tests commonly used to characterize mine waste. The mining and ore processing practices employed at a specific mine site will vary on the basis of the commodities being targeted, the geology of the deposit, the geometry of the deposit, and the mining and ore processing methods used. Thus, these factors, in addition to the waste management practices used, can result in a variety of end-member mine waste features, each of which has its own set of challenges. Open pit mines and underground mines require waste rock to be removed to access ore. Waste rock presents unique problems because the rock is commonly mineralized at sub-economic grades and has not been processed to remove potentially problematic minerals, such as pyrite. Amos et al. examine the salient aspects of the geochemistry of waste rock. Mill tailings – the waste material after ore minerals have been removed – are a volumetrically important solid waste at many mine sites. Their fine grain size and the options for their management make their behavior in the environment distinct from that of waste rock. Lindsay et al. describe some of these differences through three case-study examples. Subaqueous disposal of tailings is another option described by Moncur et al. Cyanide leaching for gold extraction is a common method throughout the world. Johnson describes environmental aspects of cyanidation. Uranium mining presents unique environmental challenges, particularly since in-situ recovery has seen widespread use. Campbell et al. review the environmental geochemistry of uranium mining and current research on bioremediation. Ore concentrates from many types of metal mining undergo a pyrometallurgical technique known as smelting to extract the metal. Slag is the result of smelting, and it may be an environmental liability or a valuable byproduct, as described by Piatak et al. Finally, the open pits that result from surface mining commonly reach below the water table. At the end of mining, these pits may fill to form lakes that become part of the legacy of the mine. Castendyk et al., in two papers, review theoretical aspects of the environmental limnology of pit lakes. They also describe approaches that have been used to model pit lake water balance, wall-rock contributions to pit lake chemistry, pit lake water quality, and limnological processes, such as vertical mixing, through the use of three case studies.

Applied Geochemistry↗

Gap analysis: Concepts, methods, and recent results

Rapid progress is being made in the conceptual, technical, and organizational requirements for generating synoptic multi-scale views of the earth's surface and its biological content. Using the spatially comprehensive data that are now available, researchers, land managers, and land-use planners can, for the first time, quantitatively place landscape units - from general categories such as 'Forests' or 'Cold-Deciduous Shrubland Formation' to more categories such as 'Picea glauca-Abies balsamea-Populus spp. Forest Alliance' - in their large-area contexts. The National Gap Analysis Program (GAP) has developed the technical and organizational capabilities necessary for the regular production and analysis of such information. This paper provides a brief overview of concepts and methods as well as some recent results from the GAP projects. Clearly, new frameworks for biogeographic information and organizational cooperation are needed if we are to have any hope of documenting the full range of species occurrences and ecological processes in ways meaningful to their management. The GAP experience provides one model for achieving these new frameworks.

Landscape Ecology↗

Assessment of the NCHRP abutment scour prediction equations with laboratory and field data

The U.S. Geological Survey, in coopeation with nthe National Cooperative Highway Research Program (NCHRP) is assessing the performance of several abutment-scour predcition equations developed in NCHRP Project 24-15(2) and NCHRP Project 24-20. To accomplish this assssment, 516 laboratory and 329 fiels measurements of abutment scor were complied from selected sources and applied tto the new equations. Results will be used to identify stregths, weaknesses, and limitations of the NCHRP abutment scour equations, providing practical insights for applying the equations. This paper presents some prelimiray findings from the investigation.

Conference Paper↗

Post-fire demography of resprout and seedling establishment by Adenostoma fasciculatum in the California chaparral

Adenostoma fasciculatum (chamise) forms the dominant element of chaparral ecosystems in California. This evergreen, ericoid-leaved shrub occurs as a codominant in mixed chaparral or an overwhelming dominant in chamise chaparral, being present in over 70% of the chaparral stands in the state (Hanes 1971). No other chaparral shrub approaches A. fasciculatum in community importance. Unlike the majority of chaparral shrubs which respond to fire by either resprouting or reseeding, A. fasciculatum , utilizes both reproductive strategies (Wells 1969; Keeley and Zedler 1978; see also Hilbert in this volume). Although there have been numerous studies of succession in chamise chaparral (Horton and Kraebel 1955; Hanes 1971), no research to date has focused on the important questions of the demography of resprouting and seedling establishment by A. fasciculatum in the first few years following chaparral fires. Is there significant mortality of chamise burls during fires? How do fire seasonality and intensity affect resprout survival and growth? How do chamise seedlings compete with resprouts for establishment in postfire stands? What factors limit chamise seedling survival and growth? These are all important questions. In this paper we present results of a three-year study of the demographics of resprout mortality and growth and of seedling establishment for A. fasciculatum following burn and clip treatments at two seasons of the year in mature stands of chamise chaparral in the southern Sierra Nevada, California.

California↗

Characteristics and environmental aspects of slag: a review

Slag is a waste product from the pyrometallurgical processing of various ores. Based on over 150 published studies, this paper provides an overview of mineralogical and geochemical characteristics of different types of slag and their environmental consequences, particularly from the release of potentially toxic elements to water. This chapter reviews the characteristics of both ferrous (steel and blast furnace Fe) and non-ferrous (Ag, Cu, Ni, Pb, Sn, Zn) slag. Interest in slag has been increasing steadily as large volumes, on the order of hundreds of millions of tonnes, are produced annually worldwide. Research on slag generally focuses on potential environmental issues related to the weathering of slag dumps or on its utility as a construction material or reprocessing for secondary metal recovery. The chemistry and mineralogy of slag depend on the metallurgical processes that create the material and will influence its fate as waste or as a reusable product. The composition of ferrous slag is dominated by Ca and Si. Steel slag may contain significant Fe, whereas Mg and Al may be significant in Fe slag. Calcium-rich olivine-group silicates, melilite-group silicates that contain Al or Mg, Ca-rich glass, and oxides are the most commonly reported major phases in ferrous slag. Calcite and trace amounts of a variety of sulfides, intermetallic compounds, and pure metals are typically also present. The composition of non-ferrous slag, most commonly from base-metal production, is dominated by Fe and Si with significant but lesser amounts of Al and Ca. Silicates in the olivine, pyroxene, and melilite groups, as well as glass, spinels, and SiO 2 (i.e., quartz and other polymorphs) are commonly found in non-ferrous slag. Sulfides and intermetallic compounds are less abundant than the silicates and oxides. The concentrations of some elements exceed generic USEPA soil screening levels for human contact based on multiple exposure pathways; these elements include Al, Cr, Cu, Fe, Mn, Pb, and Zn based on bulk chemical composition. Each slag type usually contains a specific suite of elements that may be of environmental concern. In general, non-ferrous slag may have a higher potential to negatively impact the environment compared to ferrous slag, and is thus a less attractive material for reuse, based on trace element chemistry, principally for base metals. However, the amount of elements released into the environment is not always consistent with bulk chemical composition. Many types of leaching tests have been used to help predict slag&rsquo;s long-term environmental behavior. Overall, ferrous slags produce an alkaline leachate due to the dissolution of Ca oxides and silicates derived from compounds originally added as fluxing agents, such as lime. Ferrous slag leachate is commonly less metal-rich than leachate from non-ferrous slag generated during base metal extraction; the latter leachate may even be acidic due to the oxidation of sulfides. Because of its characteristics, ferrous slag is commonly used for construction and environmental applications, whereas both non-ferrous and ferrous slag may be reprocessed for secondary metal recovery. Both types of slag have been a source of some environmental contamination. Research into the environmental aspects of slag will continue to be an important topic whether the goal is its reuse, recycling, or remediation.

Applied Geochemistry↗

Estimating contaminant loads in rivers: An application of adjusted maximum likelihood to type 1 censored data

This paper presents an adjusted maximum likelihood estimator (AMLE) that can be used to estimate fluvial transport of contaminants, like phosphorus, that are subject to censoring because of analytical detection limits. The AMLE is a generalization of the widely accepted minimum variance unbiased estimator (MVUE), and Monte Carlo experiments confirm that it shares essentially all of the MVUE's desirable properties, including high efficiency and negligible bias. In particular, the AMLE exhibits substantially less bias than alternative censored‐data estimators such as the MLE (Tobit) or the MLE followed by a jackknife. As with the MLE and the MVUE the AMLE comes close to achieving the theoretical Frechet‐Cramér‐Rao bounds on its variance. This paper also presents a statistical framework, applicable to both censored and complete data, for understanding and estimating the components of uncertainty associated with load estimates. This can serve to lower the cost and improve the efficiency of both traditional and real‐time water quality monitoring.

Water Resources Research↗