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At least 1,153 records · Page 64Linked to original sources

Seismic refraction profile, Kingdom of Saudi Arabia: field operations, instrumentation, and initial results

In February 1978 a seismic deep-refraction profile was recorded by the USGS along a 1000-km line across the Arabian Shield in western Saudi Arabia. The line begins in Paleozoic and Mesozoic cover rocks near Riyadh on the Arabian Platform, leads southwesterly across three major Precambrian tectonic provinces, traverses Cenozoic rocks of the coastal plain near Jizan (Tihamat Asir), and terminates at the outer edge of the Farasan Bank in the southern Red Sea. More than 500 surveyed recording sites were occupied, including 19 in the Farasan Islands. Six shot points were used--five on land, with charges placed mostly below water table in drill holes, and one at sea, with charges placed on the sea floor and fired from a ship. The total charge consumed was slightly in excess of 61 metric tons in 21 discrete firings. Seismic energy was recorded by means of a set of 100 newly developed portable seismic stations. Each station consists of a standard 2-Hz vertical geophone coupled to a self-contained analog recording instrument equipped with a magnetic-tape cassette. The stations were deployed in groups of 20 by five observer teams, each generally consisting of two scientist-technicians and a surveyor-guide. On the day prior to deployment, the instruments were calibrated and programmed for automatic operation by means of a specially designed device called a hand-held tester. At each of ten pre-selected recording time windows on a designated firing day, the instruments were programmed to turn on, stabilize, record internal calibration signals, record the seismic signals at three levels of amplification, and then deactivate. After the final window in the firing sequence, all instruments were retrieved and their data tapes removed for processing. A specially designed, field tape- dubbing system was utilized at shot point camps to organize and edit data recorded on the cassette tapes. The main functions of this system are to concatenate all data from each shot on any given day onto a single shot tape, and to provide hard copy for monitoring recorder performance so that any problems can be corrected prior to the next deployment. Composite digital record sections were produced from the dubbed tapes for each shot point by a portable processing and plotting system. The heart of this system is a DEC PDP 11VO3 computer, which controls a cassette playback unit identical to those used in the recorders and dubbers, a set of discriminators, a time-code translator, a digitizer, and a digital plotter. The system was used to maintain various informational data sets and to produce tabulations and listings of various sorts during the field operations, in addition to its main task of producing digital record sections. Two master clocks, both set to time signals broadcast by the British Broadcasting Corporation, provided absolute time for the recording operations. One was located on the ship and the other was stationed at a base camp on the mainland. The land-based master clock was used to set three additional master clocks located at the other active shot points a few days in advance of each firing, and these clocks were then used to set the internal clocks in the portable seismic stations via the hand-held tester. A master clock signal was also linked to the firing system at each shot point for determination of the absolute shot instant. It is possible to construct a generalized crustal model from examination of the six shot point composite record sections obtained in the field. Such a model rests upon a number of simplifying assumptions and will almost certainly be modified at a later stage of interpretation. The main assumptions are that the crust consists of two homogeneous isotropic layers having no velocity inversion,, that the Mohorovicic discontinuity is sharp, and that effects of surface inhomogeneities and elevation changes can be ignored. The main characteristics of the tentative model are the following: (1) The thickness of th

Open-File Report↗

Social equity shapes zone-selection: Balancing aquatic biodiversity conservation and ecosystem services delivery in the transboundary Danube River Basin

Freshwater biodiversity is declining, despite national and international efforts to manage and protect freshwater ecosystems. Ecosystem-based management (EBM) has been proposed as an approach that could more efficiently and adaptively balance ecological and societal needs. However, this raises the question of how social and ecological objectives can be included in an integrated management plan. Here, we present a generic model-coupling framework tailored to address this question for freshwater ecosystems, using three components: biodiversity, ecosystem services (ESS), and a spatial prioritisation that aims to balance the spatial representation of biodiversity and ESS supply and demand. We illustrate this model-coupling approach within the Danube River Basin using the spatially explicit, potential distribution of (i) 85 fish species as a surrogate for biodiversity as modelled using hierarchical Bayesian models, and (ii) four estimated ESS layers produced by the Artificial Intelligence for Ecosystem Services (ARIES) platform (with ESS supply defined as carbon storage and flood regulation, and demand specified as recreation and water use). These are then used for (iii) a joint spatial prioritisation of biodiversity and ESS employing Marxan with Zones, laying out the spatial representation of multiple management zones. Given the transboundary setting of the Danube River Basin, we also run comparative analyses including the country-level purchasing power parity (PPP)-adjusted gross domestic product (GDP) and each country's percent cover of the total basin area as potential cost factors, illustrating a scheme for balancing the share of establishing specific zones among countries. We demonstrate how emphasizing various biodiversity or ESS targets in an EBM model-coupling framework can be used to cost-effectively test various spatially explicit management options across a multi-national case study. We further discuss possible limitations, future developments, and requirements for effectively managing a balance between biodiversity and ESS supply and demand in freshwater ecosystems.

Science of the Total Environment↗

The CEOS-Land Surface Imaging Constellation Portal for GEOSS: A resource for land surface imaging system information and data access

The Committee on Earth Observation Satellites is an international group that coordinates civil space-borne observations of the Earth, and provides the space component of the Global Earth Observing System of Systems (GEOSS). The CEOS Virtual Constellations concept was implemented in an effort to engage and coordinate disparate Earth observing programs of CEOS member agencies and ultimately facilitate their contribution in supplying the space-based observations required to satisfy the requirements of the GEOSS. The CEOS initially established Study Teams for four prototype constellations that included precipitation, land surface imaging, ocean surface topography, and atmospheric composition. The basic mission of the Land Surface Imaging (LSI) Constellation [1] is to promote the efficient, effective, and comprehensive collection, distribution, and application of space-acquired image data of the global land surface, especially to meet societal needs of the global population, such as those addressed by the nine Group on Earth Observations (GEO) Societal Benefit Areas (SBAs) of agriculture, biodiversity, climate, disasters, ecosystems, energy, health, water, and weather. The LSI Constellation Portal is the result of an effort to address important goals within the LSI Constellation mission and provide resources to assist in planning for future space missions that might further contribute to meeting those goals.

earthzine, an IEEE online publication↗

Broadscale distribution, abundance and habitat associations of the invasive Asian clam (Corbicula fluminea) in the lower Columbia River, USA

The Asian clam, Corbicula fluminea , is an invasive freshwater bivalve that has established populations across the globe and is known to have deleterious effects on natural and human systems. Yet, despite being present in the Columbia River (CR) for nearly a century, little is known about this invader's basic biology and ecology in this large river system. Thus, we undertook a field study to assess its i) broadscale distribution and abundance, and ii) associations with habitat characteristics in the lower CR. During 2019-20, C. fluminea were collected from 27 shore-based stations spanning 481 river kilometers of the lower CR, along with several habitat characteristics (bank slope, temperature, dissolved oxygen, pH, salinity, conductivity, chlorophyll- a concentration, and sediment composition and % organic matter). C. fluminea abundance ranged from 0-430 ind. m -2 . Most sites with abundances >100 ind. m -2 were located downstream of Bonneville Dam, while most sites with abundances < 100 ind. m -2 were located upstream. Generalized linear models predicting the abundance of C. fluminea indicated significantly positive correlations with water temperature and % sand, and negative correlations with bank slope and sedimentary % organic matter. We also reviewed the global literature on abundance and habitat associations of C. fluminea and compared this with our own results. Our investigation represents the greatest spatial extent at which C. fluminea has been studied in the CR and our results provide a better understanding of the basic biology and ecology of this global invader, as well as provide natural resource managers with information on habitat conditions favorable for this invasive bivalve within temperate river ecosystems.

Oregon, Washington↗

A new analysis of Mars "Special Regions": findings of the Second MEPAG Special Regions Science Analysis Group (SR-SAG2)

A committee of the Mars Exploration Program Analysis Group (MEPAG) has reviewed and updated the description of Special Regions on Mars as places where terrestrial organisms might replicate (per the COSPAR Planetary Protection Policy). This review and update was conducted by an international team (SR-SAG2) drawn from both the biological science and Mars exploration communities, focused on understanding when and where Special Regions could occur. The study applied recently available data about martian environments and about terrestrial organisms, building on a previous analysis of Mars Special Regions (2006) undertaken by a similar team. Since then, a new body of highly relevant information has been generated from the Mars Reconnaissance Orbiter (launched in 2005) and Phoenix (2007) and data from Mars Express and the twin Mars Exploration Rovers (all 2003). Results have also been gleaned from the Mars Science Laboratory (launched in 2011). In addition to Mars data, there is a considerable body of new data regarding the known environmental limits to life on Earth&mdash;including the potential for terrestrial microbial life to survive and replicate under martian environmental conditions. The SR-SAG2 analysis has included an examination of new Mars models relevant to natural environmental variation in water activity and temperature; a review and reconsideration of the current parameters used to define Special Regions; and updated maps and descriptions of the martian environments recommended for treatment as "Uncertain" or "Special" as natural features or those potentially formed by the influence of future landed spacecraft. Significant changes in our knowledge of the capabilities of terrestrial organisms and the existence of possibly habitable martian environments have led to a new appreciation of where Mars Special Regions may be identified and protected. The SR-SAG also considered the impact of Special Regions on potential future human missions to Mars, both as locations of potential resources and as places that should not be inadvertently contaminated by human activity.

Astrobiology↗

The offshore benthic fish community

Lake Ontario’s offshore benthic fish community includes primarily slimy sculpin, lake whitefish, rainbow smelt, lake trout, burbot, and sea lamprey. Of these, lake trout have been the focus of an international restoration effort for more than three decades (Elrod et al. 1995; Lantry and Lantry 2008). The deepwater sculpin and three species of deepwater ciscoes (Coregonus spp.) that were historically important in the offshore benthic zone became rare or were extirpated by the 1960s (Christie 1973; Owens et al. 2003; Lantry et al. 2007b; Roth et al. 2013). Ecosystem changes continue to influence the offshore benthic fish community, including the effects of dreissenid mussels, the near disappearance of burrowing amphipods (Diporeia spp.) (Dermott et al. 2005; Watkins et al. 2007), and the increased abundance and expanded geographic distribution of round goby (see Nearshore Fish Community chapter) (Lantry et al. 2007b). The fish-community objectives for the offshore benthic fish community, as described by Stewart et al. (1999), are: The offshore benthic fish community will be composed of self-sustaining native fishes characterized by lake trout as the top predator, a population expansion of lake whitefish from northeastern waters to other areas of the lake, and rehabilitated native prey fishes.

New York↗

Viscosity and finite strength of the mantle as determined from water and ice loads

Some recent examples of transient Earth loads (Lake Bonneville, Utah; Glacier Bay, Alaska; northeast Greenland) indicate that both the viscosity and finite strength of the mantle are lower than is commonly presumed. A time constant (1/ e ) of 4000 years is estimated for Lake Bonneville, and of 1000 years for northeast Greenland. A strain rate of 10 −14 is typical. These figures imply viscosities in a homogeneous half space ranging from 10 20 to 10 21 poises. An upper limit of finite strength is set by Lake Bonneville at a few times 10 6 dyn/cm 2 . If mountain ranges like the Sierra Nevada or Himalaya are regarded as dynamically supported rather than static systems, this low value is not incompatible with other geologic observations.

Alaska, Utah↗

Radio-tracer techniques for the study of flow in saturated porous materials

An experiment was conducted by the U.S. Geological Survey to determine the feasibility of using a radioactive substance as a tracer in the study of microscopic flow in a saturated porous solid. A radioactive tracer was chosen in preference to dye or other chemical in order to eliminate effects of the tracer itself on the flow system such as those relating to density, viscosity and surface tension. The porous solid was artificial “sandstone” composed of uniform fine grains of sand bonded together with an epoxy adhesive. The sides of the block thus made were sealed with an epoxy coating compound to insure water-tightness. Because of the chemical inertness of the block it was possible to use radioactive phosphorus (P 32 ). Ion-exchange equilibrium was created between the block and nonradioactive phosphoric acid. Then a tracer tagged with P 32 was injected into the block in the desired geometric configuration, in this case, a line source. After equilibrium in isotopic exchange was reached between the block and the line source, the block was rinsed, drained and sawn into slices. It was found that a quantitative analysis of the flow system may be made by assaying the dissected block.

International Journal of Applied Radiation and Iso↗

Determining CO 2 storage potential during miscible CO 2 enhanced oil recovery: Noble gas and stable isotope tracers

Rising atmospheric carbon dioxide (CO 2 ) concentrations are fueling anthropogenic climate change. Geologic sequestration of anthropogenic CO 2 in depleted oil reservoirs is one option for reducing CO 2 emissions to the atmosphere while enhancing oil recovery. In order to evaluate the feasibility of using enhanced oil recovery (EOR) sites in the United States for permanent CO 2 storage, an active multi-stage miscible CO 2 flooding project in the Permian Basin (North Ward Estes Field, near Wickett, Texas) was investigated. In addition, two major natural CO 2 reservoirs in the southeastern Paradox Basin (McElmo Dome and Doe Canyon) were also investigated as they provide CO 2 for EOR operations in the Permian Basin. Produced gas and water were collected from three different CO 2 flooding phases (with different start dates) within the North Ward Estes Field to evaluate possible CO 2 storage mechanisms and amounts of total CO 2 retention. McElmo Dome and Doe Canyon were sampled for produced gas to determine the noble gas and stable isotope signature of the original injected EOR gas and to confirm the source of this naturally-occurring CO 2 . As expected, the natural CO 2 produced from McElmo Dome and Doe Canyon is a mix of mantle and crustal sources. When comparing CO 2 injection and production rates for the CO 2 floods in the North Ward Estes Field, it appears that CO 2 retention in the reservoir decreased over the course of the three injections, retaining 39%, 49% and 61% of the injected CO 2 for the 2008, 2010, and 2013 projects, respectively, characteristic of maturing CO 2 miscible flood projects. Noble gas isotopic composition of the injected and produced gas for the flood projects suggest no active fractionation, while &delta; 13 C CO 2 values suggest no active CO 2 dissolution into formation water, or mineralization. CO 2 volumes capable of dissolving in residual formation fluids were also estimated along with the potential to store pure-phase supercritical CO 2 . Using a combination of dissolution trapping and residual trapping, both volumes of CO 2 currently retained in the 2008 and 2013 projects could be justified, suggesting no major leakage is occurring. These subsurface reservoirs, jointly considered, have the capacity to store up to 9 years of CO 2 emissions from an average US powerplant.

International Journal of Greenhouse Gas Control↗

Satellite embeddings for crop type classification: A comparative examination

Embedding datasets encode complex relationships among multiple sources of Earth observation data into a compact format. Here, we evaluated the utility of a 10-m global Satellite Embedding product (SE) for classifying crop types in central California for the year 2020. We compared the classification accuracy of a random forest model based exclusively on the SE layer to an existing random forest model with multiple imagery inputs. Our results showed the SE-based classification had higher agreement with the reference dataset (California Department of Water Resources crop map) than the classification based on Landsat and National Agricultural Imagery Program inputs (94.7% versus. 91.9% overall accuracy, respectively). The performance of individual crop types was consistent across models, ranging from high agreement for rice (98.4% versus 98% accuracy) to lower agreement for pasture, grain, and fallow/young perennial classes (< 65% accuracy in both models). The SE-based workflow used three times less cloud-based computational resources and represented substantial savings of predictor development time. Geospatial embedding products can aid classification efforts by reducing predictor development time and processing demands while maintaining classification accuracy.

California↗

Bibliographic supplement to USGS Bulletin 1426; 1975 to June 1979

This bibliography is a supplement to U.S. Geological Survey Bulletins 1426 (Bergquist, 1976) and 1263 (Heath and Tabacchi, 1968). The titles listed result from work undertaken in cooperation with national agencies partly through technical assistance projects under the auspices of the Agency for International Development, U.S. Department of State; partly under reimbursable assistance projects with other governments on behalf of the Department of State; partly under assistance projects sponsored by international organizations; and partly under scientific exchange projects supported by U.S. agencies such as the National Science Foundation. This report includes titles published during the period 1975 through June 1979, but is not necessarily complete, as an exhaustive search was not made; however, it is being released in open file in order to make the data available to the public on an interim basis. Seven geographic regions and 71 countries are represented. A few titles published prior to 1975 have been found that are not included in Bulletins 1263 or 1426. Only reports authored solely or in part by USGS members, or jointly by USGS and counterpart staff members, are listed. The reports are listed alphabetically by author, under the appropriate country; reports of wider scope are given under the continent or geographic region, for example, Africa, Central and South America, or CENTO region. Reports not classifiable by geographic location are listed separately under the heading "General." All references to reports on water resources and hydrology were provided by J. R. Jones or R. M. Beall, USGS. The reports and maps are available only through the listed source. Copies of articles published in scientific journals or by other governments or agencies cannot be ordered from the USGS. Instructions for ordering publications of the USGS follow.

Open-File Report↗

Nicotine, acetanilide and urea multi-level 2 H-, 13 C- and 15 N-abundance reference materials for continuous-flow isotope ratio mass spectrometry

Accurate determinations of stable isotope ratios require a calibration using at least two reference materials with different isotopic compositions to anchor the isotopic scale and compensate for differences in machine slope. Ideally, the S values of these reference materials should bracket the isotopic range of samples with unknown S values. While the practice of analyzing two isotopically distinct reference materials is common for water (VSMOW-SLAP) and carbonates (NBS 19 and L-SVEC), the lack of widely available organic reference materials with distinct isotopic composition has hindered the practice when analyzing organic materials by elemental analysis/isotope ratio mass spectrometry (EA-IRMS). At present only L-glutamic acids USGS40 and USGS41 satisfy these requirements for ?? 13 C and ?? 13 N, with the limitation that L-glutamic acid is not suitable for analysis by gas chromatography (GC). We describe the development and quality testing of (i) four nicotine laboratory reference materials for on-line (i.e. continuous flow) hydrogen reductive gas chromatography-isotope ratio mass-spectrometry (GC-IRMS), (ii) five nicotines for oxidative C, N gas chromatography-combustion-isotope ratio mass-spectrometry (GC-C-IRMS, or GC-IRMS), and (iii) also three acetanilide and three urea reference materials for on-line oxidative EA-IRMS for C and N. Isotopic off-line calibration against international stable isotope measurement standards at Indiana University adhered to the 'principle of identical treatment'. The new reference materials cover the following isotopic ranges: ?? 2 H nicotine -162 to -45%o, ?? 13 C nicotine -30.05 to +7.72%, ?? 15 N nicotine -6.03 to +33.62%; ?? 15 N acetanilide +1-18 to +40.57%; ?? 13 C urea -34.13 to +11.71%, ?? 15 N urea +0.26 to +40.61% (recommended ?? values refer to calibration with NBS 19, L-SVEC, IAEA-N-1, and IAEA-N-2). Nicotines fill a gap as the first organic nitrogen stable isotope reference materials for GC-IRMS that are available with different ?? 13 N values. Comparative ?? 13 C and ?? 15 N on-line EA-IRMS data from 14 volunteering laboratories document the usefulness and reliability of acetanilides and ureas as EA-IRMS reference materials.

Rapid Communications in Mass Spectrometry↗

Developing conceptual hydrogeological model for Potsdam sandstones in southwestern Quebec, Canada

A hydrogeological study was conducted in Potsdam sandstones on the international border between Canada (Quebec) and the USA (New York). Two sandstone formations, arkose and conglomerate (base) and well-cemented quartz arenite (upper), underlie the study area and form the major regional aquifer unit. Glacial till, littoral sand and gravel, and marine silt and clay discontinuously overlie the aquifer. In both sandstone formations, sub-horizontal bedding planes are ubiquitous and display significant hydraulic conductivities that are orders of magnitude more permeable than the intact rock matrix. Aquifer tests demonstrate that the two formations have similar bulk hydrologic properties, with average hydraulic conductivities ranging from 2 ?? 10-5 to 4 ?? 10-5 m/s. However, due to their different lithologic and structural characteristics, these two sandstones impose rather different controls on groundwater flow patterns in the study area. Flow is sustained through two types of fracture networks: sub-horizontal, laterally extensive fractures in the basal sandstone, where hydraulic connectivity is very good horizontally but very poor vertically and each of the water-bearing bedding planes can be considered as a separate planar two-dimensional aquifer unit; and the more fractured and vertically jointed system found in the upper sandstone that promotes a more dispersed, three-dimensional movement of groundwater. ?? Springer-Verlag 2007.

Hydrogeology Journal↗

State of the Earth’s cryosphere at the beginning of the 21st century: Glaciers, global snow cover, floating ice, and permafrost and periglacial environments

This chapter is the tenth in a series of 11 book-length chapters, collectively referred to as &ldquo;this volume,&rdquo; in the series U.S. Geological Survey Professional Paper 1386, Satellite Image Atlas of Glaciers of the World. In the other 10 chapters, each of which concerns a specific glacierized region of Earth, the authors used remotely sensed images, primarily from the Landsat 1, 2, and 3 series of spacecraft, in order to analyze that glacierized region and to monitor changes in its glaciers. Landsat images, acquired primarily during the period 1972 through 1981, were used by an international team of glaciologists and other scientists to study the various glacierized regions and (or) to discuss related glaciological topics. In each glacierized region, the present distribution of glaciers within its geographic area is compared, wherever possible, with historical information about their past areal extent. The atlas provides an accurate regional inventory of the areal extent of glacier ice on our planet during the 1970s as part of an expanding international scientific effort to measure global environmental change on the Earth&rsquo;s surface. However, this chapter differs from the other 10 in its discussion of observed changes in all four elements of the Earth&rsquo;s cryosphere (glaciers, snow cover, floating ice, and permafrost) in the context of documented changes in all components of the Earth System. Human impact on the planet at the beginning of the 21st century is pervasive. The focus of Chapter A is on changes in the cryosphere and the importance of long-term monitoring by a variety of sensors carried on Earth-orbiting satellites or by a ground-based network of observatories in the case of permafrost. The chapter consists of five parts. The first part provides an introduction to the Earth System, including the interrelationships of the geosphere (cryosphere, hydrosphere, lithosphere, and atmosphere), the biosphere, climate processes, biogeochemical cycles, and the critically important hydrologic cycle, in which glacier ice is the second largest reservoir of water after the oceans. The second part assesses the state of glaciers in all of the glacierized regions of the planet, primarily as drawn in the other 10 chapters. It includes sections on ice cores and the climate record they contain, volumetric changes in glaciers, harnessing spaceborne sensors to measure changes in glaciers, and related topics. The third part summarizes trends in global snow cover. The fourth part summarizes long-term changes in area and thickness of floating ice, including polar sea ice and freshwater (lake and river) ice. The fifth part assesses the loss of permafrost and changes in periglacial environments at high latitudes and high altitudes.

Professional Paper↗

Preventing volcanic catastrophe; the U.S. International Volcano Disaster Assistance Program

When the seismograph began to record the violent earth-shaking caused by yet another eruption of the Nevado del Ruiz volcano in Colombia, no one thought that a few hours later more than 23,000 people would be dead, killed by lahars (volcanic debris flows) in towns and villages several tens of kilometers away from the volcano. Before the fatal eruption the volcano was being monitored by scientists at a seismic station located 9 km from the summit, and information about the volcano's activity was being sent to Colombian emergency-response coordinators who were charged with alerting the public of the danger from the active volcano. Furthermore, area known to be in the pathways lahars had already been identified on maps and communities at risk had been told of their precarious locations. Unfortunately, a storm on November 13, 1985, obscured the glacier-clad summit of Nevado del Ruiz. On that night an explosive eruption tore through the summit and spewed approximately 20 million cubic meters of hot ash and rocks across the snow-covered glacier. These materials were transported across the snow pack by avalanches of hot volcanic debris (pyroclastic flows) and fast-moving, hot, turbulent clouds of gas and ash (pyroclastic surges). The hot pyroclastic flows and surges caused rapid melting of the snow and ice and created large volumes of water that swept down canyons leading away from the summit. As these floods of water descended the volcano, they picked up loose debris and soil from the canyon floors and walls, growing both in volume and density, to form hot lahars. In the river valleys farther down the volcano's flanks, the lahars were as much as 40 m thick and traveled at velocities as fast as 50 km/h. Two and a half hours after the start of the eruption one of the lahars reachered Armero, 74 km from the explosion crater. In a few short minutes most of the town was swept away or buried in a torrent of mud and boulders, and three quaters of the townspeople perished.

Nevado del Ruiz↗

Relations between soil hydraulic properties and burn severity

Wildfire can affect soil hydraulic properties, often resulting in reduced infiltration. The magnitude of change in infiltration varies depending on the burn severity. Quantitative approaches to link burn severity with changes in infiltration are lacking. This study uses controlled laboratory measurements to determine relations between a remotely sensed burn severity metric ( dNBR , change in normalised burn ratio) and soil hydraulic properties (SHPs). SHPs were measured on soil cores collected from an area burned by the 2013 Black Forest fire in Colorado, USA. Six sites with the same soil type were selected across a range of burn severities, and 10 random soil cores were collected from each site within a 30-m diameter circle. Cumulative infiltration measurements were made in the laboratory using a tension infiltrometer to determine field-saturated hydraulic conductivity, K fs , and sorptivity, S . These measurements were correlated with dNBR for values ranging from 124 (low severity) to 886 (high severity). SHPs were related to dNBR by inverse functions for specific conditions of water repellency (at the time of sampling) and soil texture. Both functions had a threshold value for dNBR between 124 and 420, where K fs and S were unchanged and equal to values for soil unaffected by fire. For dNBR s >~420, the K fs was an exponentially decreasing function of dNBR and S was a linearly decreasing function of dNBR . These initial quantitative empirical relations provide a first step to link SHPs to burn severity, and can be used in quantitative infiltration models to predict post-wildfire infiltration and resulting runoff.

International Journal of Wildland Fire↗

Changes in agricultural cropland areas between a water-surplus year and a water-deficit year impacting food security, determined using MODIS 250 m time-series data and spectral matching techniques, in the Krishna river basin (India)

The objective of this study was to investigate the changes in cropland areas as a result of water availability using Moderate Resolution Imaging Spectroradiometer (MODIS) 250 m time-series data and spectral matching techniques (SMTs). The study was conducted in the Krishna River basin in India, a very large river basin with an area of 265 752 km 2 (26 575 200 ha), comparing a water-surplus year (2000–2001) and a water-deficit year (2002–2003). The MODIS 250 m time-series data and SMTs were found ideal for agricultural cropland change detection over large areas and provided fuzzy classification accuracies of 61–100% for various land‐use classes and 61–81% for the rain-fed and irrigated classes. The most mixing change occurred between rain-fed cropland areas and informally irrigated (e.g. groundwater and small reservoir) areas. Hence separation of these two classes was the most difficult. The MODIS 250 m-derived irrigated cropland areas for the districts were highly correlated with the Indian Bureau of Statistics data, with R 2 -values between 0.82 and 0.86. The change in the net area irrigated was modest, with an irrigated area of 8 669 881 ha during the water-surplus year, as compared with 7 718 900 ha during the water-deficit year. However, this is quite misleading as most of the major changes occurred in cropping intensity, such as changing from higher intensity to lower intensity (e.g. from double crop to single crop). The changes in cropping intensity of the agricultural cropland areas that took place in the water-deficit year (2002–2003) when compared with the water-surplus year (2000–2001) in the Krishna basin were: (a) 1 078 564 ha changed from double crop to single crop, (b) 1 461 177 ha changed from continuous crop to single crop, (c) 704 172 ha changed from irrigated single crop to fallow and (d) 1 314 522 ha changed from minor irrigation (e.g. tanks, small reservoirs) to rain-fed. These are highly significant changes that will have strong impact on food security. Such changes may be expected all over the world in a changing climate.

International Journal of Remote Sensing↗

Atlantic walrus (Odobenus rosmarus rosmarus): A literature survey and status report

It is generally agreed that the genus Odobenus includes only one species, O. rosmarus . At least two subspecies are widely recognized: O. r. rosmarus , the Atlantic walrus, and O. r. divergens , the Pacific walrus. A third nominal subspecies, O. r. laptevi , the Laptev walrus, is designated by some Soviet researchers; and the taxonomic status of the Kara Sea walrus is undetermined. The range and abundance of nearly all walrus stocks have been seriously reduced by intensive human exploitation. The Atlantic walrus, the principal subject of this study, remains plentiful in only three known areas of concentration: northern Hudson Bay and northern Foxe Basin in the eastern Canadian Arctic, and the Thule district of northwest Greenland. This animal is no longer the object of large-scale commercial hunting, but is still subject to heavy subsistence hunting by native groups in some areas. The status of the walrus population in Canada was investigated in the 1950's and is believed to have changed little since that time. There are probably no more than about 10,000 walruses in Canadian waters, virtually all of them in the eastern arctic. The biology, ecology, and exploitation of walruses in the Thule district were studied during the 1940's, and some information is available concerning recent catch levels and hunting practices. The Polar Eskimos of north Greenland continue to organize much of their cultural and economic life around the hunting of walruses, and the species remains abundant in their area, numbering at least a few thousand. The walrus stocks off west Greenland and in the Greenland, Barents, and Kara seas are the most critically depleted. No systematic field investigations of walruses east of Greenland have been made since the Kara Sea and Franz Josef Land populations were studied in the mid-1930's. Opportunistic sighting records and compilations of historical catch information indicate that the herds of many tens of thousands that once inhabited Svalbard, Bear Island, Franz Josef Land, Novaya Zemlya, and other parts of the Eurasian Arctic have been very nearly extirpated. Measures to curb the international trade in walrus ivory and skins may benefit the Atlantic subspecies in Canada and north Greenland. Enforcement of existing regulations pertaining to hunting by aborigines, and perhaps the imposition of further restrictions on such activities, are necessary if the subspecies is to approach full recovery. Field studies in the northeast Atlantic and off west Greenland would help determine the current status of walruses and provide a better understanding of the requirements for their recovery in these areas. The Laptev walrus seems to have been reduced by overexploitation, but available information, most of it translated from Russian, is inconclusive. This subspecies was thought to number around 4,000 to 5,000 in 1975, and Soviet scientists have remarked on the need for a reduction in hunting pressure and protection of its habitat.

Wildlife Research Report↗