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At least 1,135 records · Page 63Linked to original sources

A comparison of photograph-interpreted and IfSAR-derived maps of polar bear denning habitat for the 1002 Area of the Arctic National Wildlife Refuge, Alaska

Polar bears ( Ursus maritimus ) in Alaska use the Arctic National Wildlife Refuge (ANWR) for maternal denning. Pregnant bears den in snow banks for more than 3 months in winter during which they give birth to and nurture young. Denning is one of the most vulnerable times in polar bear life history as the family group cannot simply walk away from a disturbance without jeopardizing survival of newly born cubs. The ANWR includes the “1002 Area”, a region recently opened for oil and gas exploration by the U.S. Department of the Interior (DOI). As a part of its mission, the DOI “… protects and manages the Nation's natural resources …” and is therefore responsible for conserving polar bears and encouraging development of energy potential. Because future industrial activities could overlap habitats used by denning polar bears, identifying these habitats can inform the decisions of resource managers tasked to develop resources and protect polar bears. To help inform these efforts, we qualitatively compared the distribution of denning habitat identified by two different methods: previously published habitat from manual interpretation of aerial photographs, and habitat derived by computer interrogation of interferometric synthetic aperture radar (IfSAR) digital terrain models (DTM). Because photograph-interpreted methods depicted denning habitat as a line and IfSAR-derived methods depicted habitat as a polygon, we assessed agreement between the two methods with distance measurements. We found that 77.5 percent of IfSAR-derived denning habitat (79.6 km2 ; 1.2 percent of the 6,837.0 km2 1002 Area) was within 600 m of photograph-interpreted habitat (3,026.9 km), including 53.9 percent within 200 m. This distribution differed from that of randomly distributed points, as only 49.4 percent of these occurred within 600 m of photograph-interpreted habitat, including 18.3 percent within 200 m. Both methods appear to identify the major physiographic features that polar bears might select for denning. IfSAR-derived methods identified habitat at greater frequency beyond major landscape features such as coastal bluffs, river banks and lakeshores, were more likely to identify isolated pockets of putative denning habitat, and were easier to implement than deriving habitat from photograph-interpretive efforts. However, previous research suggests that photograph-interpretation methods may identify denning habitat more correctly than computer interrogation of IfSAR DTMs. Future work should quantify the distribution of IfSAR-derived denning habitat relative to actual landscape features and polar bear maternal dens in the 1002 Area, and investigate the feasibility of habitat identification from finer grained DTMs.

Alaska↗

Status and threats analysis for the Florida manatee ( Trichechus manatus latirostris ), 2016

Trichechus manatus (West Indian manatee), especially T. m. latirostris , the Florida subspecies, has been the focus of conservation efforts and extensive research since its listing under the Endangered Species Act of 1973. To determine the status of, and severity of threats to, the Florida manatee, a comprehensive revision and update of the manatee Core Biological Model was completed and used to perform a population viability analysis for the Florida manatee. The probability of the Florida manatee population falling below 500 adults on either the Gulf or East coast within the next 100 years was estimated to be 0.42 percent. This risk of quasi-extinction is low because the estimated adult survival rates are high, the current population size is greater than 2,500 on each coast, and the estimated carrying capacity for manatees is much larger than the current abundance estimates in all four regions of Florida. Three threats contribute in roughly equal measures to the risk of quasi-extinction: watercraft-related mortality, red-tide mortality, and loss of warm-water habitat. Only an increase in watercraft-related mortality has the potential to substantially increase the risk of quasi-extinction at the statewide or coastal level. Expected losses of warm-water habitat are likely to cause a major change in the distribution of the population from the regions where manatees rely heavily on power plant effluents for warmth in winter (Southwest and Atlantic regions) to the regions where manatees primarily use natural springs in winter (Northwest and Upper St. Johns regions). The chances are nearly 50 percent that manatee populations in the Southwest and Atlantic regions will decrease from their 2011 levels by at least 30 percent over the next century. A large number of scenarios were examined to explore the possible effects of potential emerging threats, and in most of them, the risk of quasi-extinction at the coastal scale within 100 years did not rise above 1 percent. The four exceptions are scenarios in which the rate of watercraft-related mortality increases, carrying capacity is only a fraction of the current estimates, a new chronic source of mortality emerges, or multiple threats emerge in concert. Even in these scenarios, however, the risk of falling below 500 adults on either the East coast or the Gulf coast within 100 years from 2011 is less than 10 percent. High adult survival provides the population with strong resilience to a variety of current and future threats. On the basis of these analyses, we conclude that if these threats continue to be managed effectively, manatees are likely to persist on both coasts of Florida and remain an integral part of the coastal Florida ecosystem through the 21st century. If vigilance in management is reduced, however, the scenarios in which manatees could face risk of decline become more likely.

Florida↗

An interactive viewer to improve operational aftershock forecasts

The U.S. Geological Survey (USGS) issues forecasts for aftershocks about 20 minutes after most earthquakes above M 5 in the United States and its territories, and updates these forecasts 75 times during the first year. Most of the forecasts are issued automatically, but some forecasts require manual intervention to maintain accuracy. It is important to identify the sequences whose forecasts will benefit from a modified approach so the USGS can provide accurate information to the public. The oaftools R package ( Paris and Michael, 2022 ) includes functions that analyze and plot earthquake sequences and their forecasts to identify which sequences require such intervention. The package includes the Operational Aftershock Forecast (OAF) Viewer, which incorporates the functions into an interactive web environment that can be used to explore aftershock sequences. The OAF Viewer starts with a global map and table of mainshocks. After a mainshock has been selected, the map and a new table show its aftershocks and the OAF Viewer generates five analytical plots: (1) magnitude–time, which is used to look for patterns in the data; (2) cumulative number, to see how the productivity of the sequence compares to a Reasenberg and Jones (1989) aftershock model over time; (3) magnitude–frequency, to compare the ratio of large to small magnitudes and extrapolate to higher magnitudes with sparse data and lower magnitudes with incomplete data; (4) forecast success, to compare the forecasts with observations for a sequence; and (5) parameter–time, which examines the temporal evolution of the forecast model parameters. The user can interact with the functions provided by the oaftools package through the OAF Viewer or by incorporating the functions into their own analysis methods. The OAF Viewer will help seismologists understand complexities in the data, communicate with the public and emergency managers, and improve the OAF system by maintaining operational awareness.

Seismological Research Letters↗

Observed and simulated hydrologic response for a first-order catchment during extreme rainfall 3 years after wildfire disturbance

Hydrologic response to extreme rainfall in disturbed landscapes is poorly understood because of the paucity of measurements. A unique opportunity presented itself when extreme rainfall in September 2013 fell on a headwater catchment (i.e., <1 ha) in Colorado, USA that had previously been burned by a wildfire in 2010. We compared measurements of soil-hydraulic properties, soil saturation from subsurface sensors, and estimated peak runoff during the extreme rainfall with numerical simulations of runoff generation and subsurface hydrologic response during this event. The simulations were used to explore differences in runoff generation between the wildfire-affected headwater catchment, a simulated unburned case, and for uniform versus spatially variable parameterizations of soil-hydraulic properties that affect infiltration and runoff generation in burned landscapes. Despite 3 years of elapsed time since the 2010 wildfire, observations and simulations pointed to substantial surface runoff generation in the wildfire-affected headwater catchment by the infiltration-excess mechanism while no surface runoff was generated in the unburned case. The surface runoff generation was the result of incomplete recovery of soil-hydraulic properties in the burned area, suggesting recovery takes longer than 3 years. Moreover, spatially variable soil-hydraulic property parameterizations produced longer duration but lower peak-flow infiltration-excess runoff, compared to uniform parameterization, which may have important hillslope sediment export and geomorphologic implications during long duration, extreme rainfall. The majority of the simulated surface runoff in the spatially variable cases came from connected near-channel contributing areas, which was a substantially smaller contributing area than the uniform simulations.

Water Resources Research↗

Comparing seasonal dynamics of the Lake Huron zooplankton community between 1983-1984 and 2007 and revisiting the impact of Bythotrephes planktivory

Zooplankton community composition can be influenced by lake productivity as well as planktivory by fish or invertebrates. Previous analyses based on long-term Lake Huron zooplankton data from August reported a shift in community composition between the 1980s and 2000s: proportional biomass of calanoid copepods increased while that of cyclopoid copepods and herbivorous cladocerans decreased. Herein, we used seasonally collected data from Lake Huron in 1983–1984 and 2007 and reported similar shifts in proportional biomass. We also used a series of generalized additive models to explore differences in seasonal abundance by species and found that all three cyclopoid copepod species ( Diacyclops thomasi, Mesocylops edax, Tropocyclops prasinus mexicanus ) exhibited higher abundance in 1983–1984 than in 2007. Surprisingly, only one ( Epischura lacustris ) of seven calanoid species exhibited higher abundance in 2007. The results for cladocerans were also mixed with Bosmina spp. exhibiting higher abundance in 1983–1984, while Daphnia galeata mendotae reached a higher level of abundance in 2007. We used a subset of the 2007 data to estimate not only the vertical distribution of Bythotrephes longimanus and their prey, but also the consumption by Bythotrephes in the top 20 m of water. This epilimnetic layer was dominated by copepod copepodites and nauplii, and consumption either exceeded (Hammond Bay site) or equaled 65% (Detour site) of epilimnetic zooplankton production. The lack of spatial overlap between Bythotrephes and herbivorous cladocerans and cyclopoid copepod prey casts doubt on the hypothesis that Bythotrephes planktivory was the primary driver underlying the community composition changes in the 2000s.

Lake Huron↗

What 25+ years of "Did You Feel It" intensities tell us about shaking in California

“When will the Big One happen?” is a question that people often have for earthquake scientists. But while waiting for the “Big One” to occur, people will usually experience frightening or damaging shaking from multiple relatively smaller‐magnitude earthquakes. Given this context, it raises the question: “Where does most of the damage come from?” Could smaller, yet more frequent, earthquakes account for the majority of reported impactful shaking? To explore this question, we consider reports of earthquake damage and felt shaking experiences from a catalog of community‐collected intensity values from the U.S. Geological Survey’s “Did You Feel It?” system. Comparing these intensities to expectations from a ground‐motion model, we find that earthquakes of magnitudes smaller than expected are responsible for most reported intensities of community decimal intensities (CDI) 4.5 and above (moderate and higher shaking intensity levels). (Here “expected value” is meant in its mathematical sense of the mean or equivalently median shaking intensity.) We also present a regional analysis of observed earthquake shaking for specific areas, detailing the maximum intensity experienced within a predetermined area. We identify several instances of M < 4.5 events that generated maximum intensities of CDI > 5 in regions in California surrounding the cities of Eureka, San Francisco, Los Angeles, and San Diego. Our results motivate the need to include smaller‐magnitude earthquakes in communications about earthquake hazard and risk reduction.

California↗

Marine distribution and foraging habitat highlight potential threats at sea for Endangered Bermuda Petrel Pterodroma cahow

Marine spatial planning relies on detailed spatial information of marine areas to ensure effective conservation of species. To enhance our understanding of marine habitat use by the highly pelagic Bermuda petrel Pterodroma cahow , we deployed GPS tags on 6 chick-rearing adults in April 2019 and constructed a habitat suitability model using locations classified as foraging to explore functional responses to a selection of marine environmental variables. We defined 15 trips for 5 individuals, ranging from 1-6 trips per bird, that included both short and long foraging excursions indicative of a dual foraging strategy that optimizes chick feeding and self maintenance. The maximum distance birds flew from Bermuda during foraging trips ranged from 61 to 2513 km (total trip lengths: 186-14051 km). Behaviourally deduced foraging habitat was best predicted at shorter distances from the colony, under warmer sea surface temperature, greater sea surface height, and in deeper water compared to transiting locations; our model results indicated that suitable foraging habitat exists beyond the core home range of the population, as far north as the highly productive Gulf Stream frontal system, and within the territorial waters of both the USA and Canada. Our results are crucial to inform management decisions and international conservation efforts by better identifying potential threats encountered at sea by this globally rare seabird and highlighting jurisdictions potentially responsible for mitigating those threats.

Nonsuch Island, Horn Rock↗

A comparison of methods for the long-term harness-based attachment of radio-transmitters to juvenile Japanese quail (Coturnix japonica)

Background While the period from fledging through first breeding for waterbird species such as terns (e.g., genus Sterna, Sternula) is of great interest to researchers and conservationists, this period remains understudied due in large part to the difficulty of marking growing juveniles with radio transmitters that remain attached for extended periods. Methods In an effort to facilitate such research, we examined the impact of various combinations of harness types (backpack, leg-loop, and 3D-printed harnesses), harness materials (Automotive ribbon, Elastic cord, and PFTE ribbon), and transmitter types (center-weighted and rear-weighted) on a surrogate for juvenile terns, 28-day-old Japanese quail ( Coturnix japonica; selected due to similarities in adult mass and downy feathering of juveniles ), in a 30-day experiment. We monitored for abrasion at points of contact and tag gap issues via daily exams while also recording mass and wing cord as indices of growth. This study was designed to serve as an initial examination of the impacts of marking on the growth and development of young birds and does not account for any impacts of tags on movement or behavior. Results While we found that treatment (the specific combination of the transmitter type, harness type, and harness material) had no impact on bird growth relative to unmarked control birds ( P ≥ 0.05), we did observe differences in abrasion and tag gap between treatments ( P ≤ 0.05). Our results suggest that leg-loop harnesses constructed from elastic cord and backpack harnesses from PFTE ribbon are suitable options for long-term attachment to growing juveniles. Conversely, we found that automotive ribbon led to extensive abrasion with these small-bodied birds, and that elastic cord induced blisters when used to make a backpack harness. Conclusions While these results indicate that long-term tagging of juvenile birds is possible with limited impacts on growth, this work does not preclude the need for small-scale studies with individual species. Instead, we hope this provides an informed starting point for further exploration of this topic.

Animal Biotelemetry↗

Field experiment provides ground truth for surface nuclear magnetic resonance measurement

The need for sustainable management of fresh water resources is one of the great challenges of the 21st century. Since most of the planet's liquid fresh water exists as groundwater, it is essential to develop non-invasive geophysical techniques to characterize groundwater aquifers. A field experiment was conducted in the High Plains Aquifer, central United States, to explore the mechanisms governing the non-invasive Surface NMR (SNMR) technology. We acquired both SNMR data and logging NMR data at a field site, along with lithology information from drill cuttings. This allowed us to directly compare the NMR relaxation parameter measured during logging, T 2 , to the relaxation parameter T 2 * measured using the SNMR method. The latter can be affected by inhomogeneity in the magnetic field, thus obscuring the link between the NMR relaxation parameter and the hydraulic conductivity of the geologic material. When the logging T 2 data were transformed to pseudo- T 2 * data, by accounting for inhomogeneity in the magnetic field and instrument dead time, we found good agreement with T 2 * obtained from the SNMR measurement. These results, combined with the additional information about lithology at the site, allowed us to delineate the physical mechanisms governing the SNMR measurement. Such understanding is a critical step in developing SNMR as a reliable geophysical method for the assessment of groundwater resources.

Geophysical Research Letters↗

Arc-related porphyry molybdenum deposit model

This report provides a descriptive model for arc-related porphyry molybdenum deposits. Presented within are geological, geochemical, and mineralogical characteristics that differentiate this deposit type from porphyry copper and alkali-feldspar rhyolite-granite porphyry molybdenum deposits. The U.S. Geological Survey's effort to update existing mineral deposit models spurred this research, which is intended to supplement previously published models for this deposit type that help guide mineral-resource and mineral-environmental assessments. Arc-related porphyry molybdenum deposits are a substantial resource for molybdenum metal and may have anomalous concentrations of tungsten. The deposits contain low-grade ore (0.03-0.22 percent molybdenum) as molybdenite, but are large-tonnage, making them amenable to bulk mining open-pit techniques. The mineralizing system usually has fluorine contents of less than 0.1 percent. The cogenetic intrusion is a differentiated calc-alkaline granitoid, typically granodiorite to quartz monzonite in composition, with low rubidium and niobium, and moderate to high strontium concentrations. Metals and hydrothermal fluids are sourced from these intrusions, with an additional meteoric fluid component contributing to peripheral alteration but not adding more metal. The lithology of the surrounding country rocks is not important to the formation of these deposits, but a surrounding carbonate unit may be altered to skarn that contains economic mineralization. The creation of contact-metamorphosed hornfels adjacent to the intrusion is common. Formation of arc-related porphyry molybdenum deposits typically occurs within a continental arc environment related to arc-continent or continent-continent collision and subduction. Few deposits are found in an island arc setting. Most classified arc-related porphyry molybdenum deposits are located in the western cordillera of North America, notably in British Columbia and Alaska. Hydrothermal alteration provides a key component to the identification of a deposit. Alteration usually is zoned from a core of potassic plus/minus silicic alteration outwards through phyllic to propylitic alteration. Argillic alteration may be irregular in shape and will overprint earlier hydrothermal alteration. Exploration should be limited to magmatic arc belts that have been unroofed and eroded to levels of a few kilometers depth. Important geological vectors toward areas of higher grade mineralization include intensity of hydrothermal alteration, veining, and faulting. Anomalous levels of molybdenum, tungsten, copper, lead, or zinc in soils, tills, stream sediments, and drainage waters may indicate the presence of an arc-related porphyry molybdenum deposit. Geophysical exploration techniques have been met with minimal success because of the overall low concentration of associated sulfide and oxide minerals. Geoenvironmental concerns are generally low because of low volumes of sulfide minerals. Most deposits are marginally acid-generating to non-acid-generating with drainage waters being near-neutral pH because of the acid generating potential of pyrite being partially buffered by late-stage calcite-bearing veins. The low ore content results in a waste:ore ratio of nearly 1:1 and large tailings piles from the open-pit method of mining.

Scientific Investigations Report↗

Exploring drivers of regional water-quality change using differential spatially referenced regression – A pilot study in the Chesapeake Bay watershed

An understanding of riverine water-quality dynamics in regional mixed-land use watersheds is the foundation for advances in landscape biogeochemistry and informed land management. A differential implementation of the statistical/process-based model SPAtially Referenced Regressions on Watershed attributes (SPARROW; Smith et al., https://doi.org/10.1029/97wr02171 ) is proposed to empirically relate a regional pattern of changes in flow-normalized constituent flux, over a multiyear period, to contemporaneous changes in spatially referenced explanatory variables. In a pilot application, the differential model, called Spatiotemporal Watershed Accumulation of Net effects (SWAN), is used to explore factors influencing changes in flow-normalized flux of total nitrogen over the period 1990–2010 at 43 sites in the nontidal Chesapeake Bay watershed. A seven-parameter model explains 80% of the transformed variability in independently estimated flux changes, indicating that storage effects having characteristic time scales greater than 20 years had a small influence, relative to changes in inputs, on regional water-quality response. Results suggest that 1990–2010 changes in total-nitrogen flux are largely the outcome of increased nonpoint-source pollution associated with urban and suburban development, modulated to the point of negation by terrestrial losses stemming from widespread increases in air temperature and precipitation. The loss mechanism is qualitatively consistent with denitrification; however, increases in aboveground biomass, agricultural nitrogen exports, or hydrologic flushing are also plausible contributors. Although qualified by a small sample size and constraints on explanatory data availability, the pilot suggests that SWAN is a promising approach for broadening scientific understanding of factors driving regional water-quality change and for supporting evidence-based land-management decisions.

Chesapeake Bay watershed↗

Detecting sea-level hazards: Simple regression-based methods for calculating the acceleration of sea level

This report documents the development of statistical tools used to quantify the hazard presented by the response of sea-level elevation to natural or anthropogenic changes in climate and ocean circulation. A hazard is a physical process (or processes) that, when combined with vulnerability (or susceptibility to the hazard), results in risk. This study presents the development and comparison of new and existing sea-level analysis methods, exploration of the strengths and weaknesses of the methods using synthetic time series, and when appropriate, synthesis of the application of the method to observed sea-level time series. These reports are intended to enhance material presented in peer-reviewed journal articles where it is not always possible to provide the level of detail that might be necessary to fully support or recreate published results. The purpose of this report is to document and compare three simple methodologies that have previously been used to provide estimates with associated errors of the acceleration of sea-level elevation. These techniques have been used by coastal scientists and planners in assessing coastal risk over a wide range of spatial and temporal scales. Because relative sea-level (SL) elevation time series contain energetic fluctuations at many time scales, extracting what can be relatively small rate and acceleration signals (along with estimates of the error) from much larger &ldquo;noise&rdquo; has proven to be both difficult and controversial. Acceleration is a preferred measure of SL response to recent changes in the Earth&rsquo;s climate because over time scales of 100 years or less slow vertical land motions (such as glacial isostatic adjustment) contribute only to the linear signal and not to acceleration, thus reducing the complexity of the analysis. Hence acceleration is useful if the goal of a study is to characterize and quantify the hazard associated with the changing relative elevation of water with respect to land on decadal time scales. Although in some cases it may be necessary to determine the cause of relative sea level rise, as a first step, it is important to accurately estimate the magnitude of the threat. Most researchers agree that global sea level (GSL) rose persistently through much of the 20th century at about 1.5&ndash;2.0 millimeters per year (mm/yr). There is far less agreement about whether the rate of sea-level rise (SLR) is increasing (that is, an acceleration in SL). Recent studies, and most of their predecessors, use tide gage data to quantify SL acceleration, A SL (t). In the current study, three techniques were used to calculate acceleration from tide gage data, and of those examined, it was determined that the two techniques based on sliding a regression window through the time series are more robust compared to the technique that fits a single quadratic form to the entire time series, particularly if there is temporal variation in the magnitude of the acceleration. The single-fit quadratic regression method has been the most commonly used technique in determining acceleration in tide gage data. The inability of the single-fit method to account for time-varying acceleration may explain some of the inconsistent findings between investigators. Properly quantifying A SL (t) from field measurements is of particular importance in evaluating numerical models of past, present, and future SLR resulting from anticipated climate change.

Open-File Report↗

Causes of distal volcano-tectonic seismicity inferred from hydrothermal modeling

Distal volcano-tectonic (dVT) seismicity typically precedes eruption at long-dormant volcanoes by days to years. Precursory dVT seismicity may reflect magma-induced fluid-pressure pulses that intersect critically stressed faults. We explored this hypothesis using an open-source magmatic-hydrothermal code that simulates multiphase fluid and heat transport over the temperature range 0 to 1200 °C. We calculated fluid-pressure changes caused by a small (0.04 km 3 ) intrusion and explored the effects of flow geometry (channelized vs. radial flow), magma devolatilization rates (0–15 kg/s), and intrusion depths (5 and 7.5 km, above and below the brittle-ductile transition). Magma and host-rock permeabilities were key controlling parameters and we tested a wide range of permeability ( k ) and permeability anisotropies ( k h / k v ), including k constant, k ( z ), k ( T ), and k ( z , T , P ) distributions, examining a total of ~ 1600 realizations to explore the relevant parameter space. Propagation of potentially causal pressure changes (Δ P ≥ 0.1 bars) to the mean dVT location (6 km lateral distance, 6 km depth) was favored by channelized fluid flow, high devolatilization rates, and permeabilities similar to those found in geothermal reservoirs ( k ~ 10 − 16 to 10 − 13 m 2 ). For channelized flow, magma-induced thermal pressurization alone can generate cases of ∆ P ≥ 0.1 bars for all permeabilities in the range 10 − 16 to 10 − 13 m 2 , whereas in radial flow regimes thermal pressurization causes ∆ P < 0.1 bars for all permeabilities. Changes in distal fluid pressure occurred before proximal pressure changes given modest anisotropies ( k h / k v ~ 10–100). Invoking k ( z , T , P ) and high, sustained devolatilization rates caused large dynamic fluctuations in k and P in the near-magma environment but had little effect on pressure changes at the distal dVT location. Intrusion below the brittle-ductile transition damps but does not prevent pressure transmission to the dVT site.

Journal of Volcanology and Geothermal Research↗

Relationships among seismic velocity, metamorphism, and seismic and aseismic fault slip in the Salton Sea Geothermal Field region

The Salton Sea Geothermal Field is one of the most geothermally and seismically active areas in California and presents an opportunity to study the effect of high-temperature metamorphism on the properties of seismogenic faults. The area includes numerous active tectonic faults that have recently been imaged with active source seismic reflection and refraction. We utilize the active source surveys, along with the abundant microseismicity data from a dense borehole seismic network, to image the 3-D variations in seismic velocity in the upper 5 km of the crust. There are strong velocity variations, up to ~30%, that correlate spatially with the distribution of shallow heat flow patterns. The combination of hydrothermal circulation and high-temperature contact metamorphism has significantly altered the shallow sandstone sedimentary layers within the geothermal field to denser, more feldspathic, rock with higher P wave velocity, as is seen in the numerous exploration wells within the field. This alteration appears to have a first-order effect on the frictional stability of shallow faults. In 2005, a large earthquake swarm and deformation event occurred. Analysis of interferometric synthetic aperture radar data and earthquake relocations indicates that the shallow aseismic fault creep that occurred in 2005 was localized on the Kalin fault system that lies just outside the region of high-temperature metamorphism. In contrast, the earthquake swarm, which includes all of the M > 4 earthquakes to have occurred within the Salton Sea Geothermal Field in the last 15 years, ruptured the Main Central Fault (MCF) system that is localized in the heart of the geothermal anomaly. The background microseismicity induced by the geothermal operations is also concentrated in the high-temperature regions in the vicinity of operational wells. However, while this microseismicity occurs over a few kilometer scale region, much of it is clustered in earthquake swarms that last from hours to a few days and are localized near the MCF system.

Salton Sea↗

Quartz-pebble-conglomerate gold deposits

Quartz-pebble-conglomerate gold deposits represent the largest repository of gold on Earth, largely due to the deposits of the Witwatersrand Basin, which account for nearly 40 percent of the total gold produced throughout Earth’s history. This deposit type has had a controversial history in regards to genetic models. However, most researchers conclude that they are paleoplacer deposits that have been modified by metamorphism and hydrothermal fluid flow subsequent to initial sedimentation. The deposits are found exclusively within fault-bounded depositional basins. The periphery of these basins commonly consists of granite-greenstone terranes, classic hosts for lode gold that source the detrital material infilling the basin. The gold reefs are typically located along unconformities or, less commonly, at the top of sedimentary beds. Large quartz pebbles and heavy-mineral concentrates are found associated with the gold. Deposits that formed prior to the Great Oxidation Event (circa 2.4 giga-annum [Ga]) contain pyrite, whereas younger deposits contain iron oxides. Uranium minerals and hydrocarbons are also notable features of some deposits. Much of the gold in these types of deposits forms crystalline features that are the product of local remobilization. However, some gold grains preserve textures that are undoubtedly of detrital origin. Other heavy minerals, such as pyrite, contain growth banding that is truncated along broken margins, which indicates that they were transported into place as opposed to forming by in situ growth in a hydrothermal setting. The ore tailings associated with these deposits commonly contain uranium-rich minerals and sulfides. Oxidation of the sulfides releases sulfuric acid and mobilizes various metals into the environment. The neutralizing potential of the tailings is minimal, since carbonate minerals are rare. The continuity of the tabular ore bodies, such as those of the Witwatersrand Basin, has allowed these mines to be the deepest in the world. The extreme depths create engineering complications and safety issues for the miners, such as rock bursts as a result of pressure release. The richness of these deposits makes them a desirable exploration target. However, the likelihood of future discoveries is minimal. Small deposits found in the United States include those found at Nemo in the Black Hills of South Dakota and Deep Lake in the Sierra Madre of Wyoming.

Scientific Investigations Report↗

Drivers of variability in public‐supply water use across the contiguous United States

This study explores the relationship between municipal water use and an array of climate, economic, behavioral, and policy variables across the contiguous U.S. The relationship is explored using Bayesian‐hierarchical regression models for over 2,500 counties, 18 covariates, and three higher‐level grouping variables. Additionally, a second analysis is included for 83 cities where water price and water conservation policy information is available. A hierarchical model using the nine climate regions (product of National Oceanic and Atmospheric Administration) as the higher‐level groups results in the best out‐of‐sample performance, as estimated by the Widely Available Information Criterion, compared to counties grouped by urban continuum classification or primary economic activity. The regression coefficients indicate that the controls on water use are not uniform across the nation: e.g., counties in the Northeast and Northwest climate regions are more sensitive to social variables, whereas counties in the Southwest and East North Central climate regions are more sensitive to environmental variables. For the national city‐level model, it appears that arid cities with a high cost of living and relatively low water bills sell more water per customer, but as with the county‐level model, the effect of each variable depends heavily on where a city is located.

Water Resources Research↗

Preliminary foraminiferal biostratigraphy and correlation of selected stratigraphic sections and wells in the Gulf of Alaska Tertiary province

As part of ongoing research by the U.S. Geological Survey on the geology and resource potential of the Gulf of Alaska Tertiary Province, a vast amount of data has been accumulated over the past 25 years on the lithology and paleontology of bedded rocks in the province. This report brings together available information on the occurrence, age, and paleoecologic, significance of benthonic foraminifers and presents correlations based on these data from 16 measured stratigraphic sections and 12 exploratory wells. Relatively few reports employing modern taxonomic methods developed during the past 40 years have been published on foraminiferal biostratigraphy of the Gulf of Alaska. Reports by Cushman (1941), Cushman and Todd (1947), Tappan (1951), Todd (1953), Loeblich and Tappan (1953), Todd (1957), Rau (1963), Cooper (1964), and Todd and Low (1967) are primarily concerned with taxonomy, ecology and paleoecology, or the geologic age of assemblages from isolated outcrops. Almost no data have been published on foraminiferal correlations of measured sections and wells. The paucity of such information has prompted the synthesis and interpretation of foraminiferal data that provide the framework of correlation presented in this report. Some of the benthonic provincial stages that have been assigned to lower and middle parts of the Tertiary of other west coast areas are recognized for the Gulf of Alaska. Divisions for the upper part of the Tertiary are broad, but specific faunal occurrences are recognized as possible aids to correlations. Regional correlations presented in this report are necessarily broad and may be modified and redefined when new data become available from the current round of exploratory drilling for petroleum in the offshore part of the Gulf of Alaska Tertiary Province. It is anticipated that this report will be of particular interest to readers associated with petroleum exploration. As a convenience to them and because most foraminiferal data from wells, including those of this report, are from cuttings, all checklists are arranged to show plainly the highest occurrence of each species within each measured section and well. Furthermore, in conformity with these data, all sections and wells are described from the top to bottom. The text describes the stratigraphic and paleoecologic significance of foraminifers by biostratigraphic units and by individual sections and wells.

Alaska↗

Recent advances in environmental flows science and water management—Innovation in the Anthropocene

The implementation of environmental flow regimes offers a promising means to protect and restore riverine, wetland and estuarine ecosystems, their critical environmental services and cultural/societal values. This Special Issue expands the scope of environmental flows and water science in theory and practice, offering 20 papers from academics, agency researchers and non‐governmental organisations, each with fresh perspectives on the science and management of environmental water allocations. Contributions confront the grand challenge for environmental flows and water management in the Anthropocene—the urgent need for innovations that will help to sustain the innate resilience of social–ecological systems under dynamic and uncertain environmental and societal futures. Basin‐scale and regional assessments of flow requirements mark a necessary advance in environmental water science in the face of rapid changes in water‐resource management activities worldwide (e.g. increases in dams, diversions, retention and reuse). Techniques for regional‐scale hydrological and ecohydrological modelling support ecological risk assessment and identification of priority flow management and river restoration actions. Changing flood–drought cycles, long‐term climatic shifts and associated effects on hydrological, thermal and water quality regimes add enormous uncertainty to the prediction of future ecological outcomes, regardless of environmental water allocations. An improved capacity to predict the trajectories of ecological change in rivers degraded by legacies of past impact interacting with current conditions and future climate change is essential. Otherwise, we risk unrealistic expectations from restoration of river and estuarine flow regimes. A more robust, dynamic and predictive approach to environmental water science is emerging. It encourages the measurement of process rates (e.g. birth rate, colonisation rate) and species traits (e.g. physiological requirements, morphological adaptations) as well as ecosystem states (e.g. species richness, assemblage structure), as the variables representing ecological responses to flow variability and environmental water allocations. Another necessary development is the incorporation of other environmental variables such as water temperature and sedimentary processes in flow–ecological response models. Based on contributions to this Special Issue, several recent compilations and the wider literature, we identify six major scientific challenges for further exploration, and seven themes for advancing the management of environmental water. We see the emerging frontier of environmental flows and water science as urgent and challenging, with numerous opportunities for reinvigorated science and methodological innovation in the expanding enterprise of environmental water linked to ecological sustainability and social well‐being.

Freshwater Biology↗