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1,722 records · Page 71Linked to original sources

An optimized network for phosphorus load monitoring for Lake Okeechobee, Florida

Phosphorus load data were evaluated for Lake Okeechobee, Florida, for water years 1982 through 1991. Standard errors for load estimates were computed from available phosphorus concentration and daily discharge data. Components of error were associated with uncertainty in concentration and discharge data and were calculated for existing conditions and for 6 alternative load-monitoring scenarios for each of 48 distinct inflows. Benefit-cost ratios were computed for each alternative monitoring scenario at each site by dividing estimated reductions in load uncertainty by the 5-year average costs of each scenario in 1992 dollars. Absolute and marginal benefit-cost ratios were compared in an iterative optimization scheme to determine the most cost-effective combination of discharge and concentration monitoring scenarios for the lake. If the current (1992) discharge-monitoring network around the lake is maintained, the water-quality sampling at each inflow site twice each year is continued, and the nature of loading remains the same, the standard error of computed mean-annual load is estimated at about 98 metric tons per year compared to an absolute loading rate (inflows and outflows) of 530 metric tons per year. This produces a relative uncertainty of nearly 20 percent. The standard error in load can be reduced to about 20 metric tons per year (4 percent) by adopting an optimized set of monitoring alternatives at a cost of an additional $200,000 per year. The final optimized network prescribes changes to improve both concentration and discharge monitoring. These changes include the addition of intensive sampling with automatic samplers at 11 sites, the initiation of event-based sampling by observers at another 5 sites, the continuation of periodic sampling 12 times per year at 1 site, the installation of acoustic velocity meters to improve discharge gaging at 9 sites, and the improvement of a discharge rating at 1 site.

Florida

Using the horizontal-to-vertical spectral ratio method to estimate thickness of the Barry Arm landslide, Prince William Sound, Alaska

Conducting detailed investigations of large landslides is difficult, especially in the subsurface, largely due to environmental factors such as steep slopes, difficult access, and numerous objective hazards. These factors have made it challenging to accurately estimate the depth to the failure surface of the Barry Arm landslide, a large (roughly 10 8 cubic meters), deep-seated bedrock landslide in Prince William Sound, Alaska, recognized in 2019. The landslide has exhibited accelerated movement in recent years and poses a potential tsunamigenic hazard if rapid failure occurs. Failure surface depth, equivalent to landslide thickness, is a necessary metric for landslide-volume calculations and associated tsunami wave models. In this report, we used seismic noise recorded by a seismometer located on the Barry Arm landslide in Alaska to calculate the horizontal-to-vertical spectral ratio (HVSR) to investigate the site fundamental frequency ( f 0 ) and depth of the failure surface. To ensure that observed peak frequencies in the spectral ratio were related to the underlying stratigraphy (and not caused by other noise sources like nearby glaciers, topographic resonance, weather, or human activities), we also calculated HVSRs using earthquake signals, HVSRs at other seismic stations within a 2.5-kilometer radius, and a standard spectral ratio between the landslide station and other sites. We observed multiple peaks in the landslide HVSR curves at 1.5 hertz (Hz), 4–5 Hz, and 7–11 Hz. The frequencies of these peaks were consistent at the landslide site through time and across methods and were dissimilar to those identified at other seismic stations in the area, making it unlikely the peaks were caused by local noise. Directional HVSRs calculated at 15-degree intervals showed amplification of the higher frequency peaks in the direction parallel to slip, indicating two-dimensional site effects. We used the distinct frequency peaks in the seismic record to develop a 4-layer conceptual model of the landslide wherein the top of the deepest layer represents the primary failure surface, or the boundary between damaged (mobile) and undamaged material. We inverted Rayleigh wave ellipticity curves within this 4-layer configuration with constraints on S-wave velocity and layer thickness based on analogous material properties identified in the literature. This was necessary absent any site-specific subsurface S-wave velocity data. The best-fitting models indicate a mean slope-normal depth to the failure surface of 188 (±9) meters (m), with additional stratigraphic boundaries at 4 and 20 m below ground surface, potentially representing layered motion. These results agree with and improve upon ranges estimated by previous studies and can support future modeling and assessment efforts at Barry Arm.

Alaska

Dynamic drainage reorganization in Eastern Tibet: Insights from the Yangtze River first bend

The modern drainage network of eastern Tibet is widely believed to have developed through a series of river capture and flow reversal events; however, the timing and mechanisms driving this reorganization remain contentious. Among these events, the river capture that formed the First Bend of the Yangtze River (YFB) stands out as both iconic and particularly debated. Here we present sedimentary provenance data from the Late Miocene–Quaternary Dali Basin, located south of the YFB, which indicate that a southward-flowing Jinsha River (i.e., the present-day upper Yangtze River) sourced sediment to the Dali basin at ∼7.4–6.4 Ma in a drainage configuration different from that of today. Because this interval postdates the initial establishment of a near-modern Jinsha River system prior to the Miocene, our results imply at least two discrete fluvial reorganizations occurred at the YFB—one preceding ∼7.4 Ma and another following ∼6.4 Ma. By integrating these findings with landscape evolution modeling, we infer that the initiation of rapid uplift of the Yulong-Haba Mountains and the Diancang Shan may have been responsible for these drainage reorganizations. These results underscore that Cenozoic drainage systems on the eastern Tibetan Plateau have evolved dynamically on a short timescale of ∼10 5 –10 6 -year, rather than remaining in a long-term stationary configuration on ∼10 7 -year timescales.

eastern Tibetan Plateau, first bend of the Yangtze

Aquifer storage change and storage properties, Rio Rancho, New Mexico, 2019–23

To better understand changes in groundwater storage and groundwater elevations, the U.S. Geological Survey, in cooperation with the City of Rio Rancho, New Mexico, carried out a multiyear groundwater monitoring project. Groundwater-level data were collected at 27 locations, including sites having multiple wells screened at different depths and those having long-term records. A repeat microgravity network of 20 stations was established, and surveys were carried out three times per year. The microgravity method provides a direct, quantitative measurement of mass change caused by aquifer filling or draining. Data collected during the 2019–23 study period indicate generally stable groundwater conditions, with small fluctuations in groundwater levels (increasing at some wells, declining at others), and small declines in groundwater storage over the period of record at most gravity locations (average = −0.33 foot of water per year). The discrepancy between the water-level and microgravity data may have been caused by a loss of soil moisture in the unsaturated zone, which is as much as 1,000 feet thick in some areas. At the Rio Rancho Advanced Water Treatment Facility, where the city recharges water through direct injection, there may be seasonal correlations in storage related to injection but no longer-term accumulation of recharged water in the immediate vicinity of the facility, indicating water is moving efficiently into the aquifer.

New Mexico

Reference 1D seismic velocity models for volcano monitoring and imaging: Methods, models, and applications

Seismic velocity models of the crust are an integral part of earthquake monitoring systems at volcanoes. 1D models that vary only in depth are typically used for real‐time hypocenter determination and serve as critical reference models for detailed 3D imaging studies and geomechanical modeling. Such models are usually computed using seismic tomographic methods that rely on P ‐ and S ‐wave arrival‐time picks from numerous earthquakes recorded at receivers around the volcano. Traditional linearized tomographic methods that jointly invert for source locations, velocity structure, and station corrections depend critically on having reasonable starting values for the unknown parameters, are susceptible to local misfit minima and divergence, and often do not provide adequate uncertainty information. These issues are often exacerbated by sparse seismic networks, inadequate distributions of seismicity, and/or poor data quality common at volcanoes. In contrast, modern probabilistic global search methods avoid these issues only at the cost of increased computation time. In this article, we review both approaches and present example applications and comparisons at several volcanoes in the United States, including Mount Hood (Oregon), Mount St. Helens (Washington), the Island of Hawai’i, and Mount Cleveland (Alaska). We provide guidance on the proper usage of these methods as relevant to challenges specific to volcano monitoring and imaging. Finally, we survey‐published 1D P ‐wave velocity models from around the world and use them to derive a generic stratovolcano velocity model, which serves as a useful reference model for comparison and when local velocity information is sparse.

Seismological Research Letters

Zircon as a pathfinder to REE mineralization

Carbonatites and alkaline silicate rocks are major primary sources of the rare earth elements (REE) and other critical metals, such as Nb. Despite the economic significance of these rocks, their formation and the processes of REE enrichment are poorly understood. Here, statistical analysis of a global dataset demonstrates that zircon geochemistry is a powerful recorder of REE metallogenesis and a potential pathfinder for REE deposits. Zircons from REE and Nb fertile intrusions lack Eu anomalies and have elevated Gd/Yb and Th/Yb, indicating they crystallised from magmas that originated from deep, oxidised and enriched mantle sources. Complexes with Nb enrichment have low U/Nb, reflecting an enriched mantle source, whereas high U/Nb in REE-only fertile intrusions suggest a subduction-metasomatised mantle source. Machine learning models demonstrate high accuracy in classifying zircon from barren and fertile deposits. Classification of detrital zircons shows that REE-enriched deposits correlate with supercontinent assembly, whereas Nb fertile complexes are associated with supercontinent breakup. This approach offers a new, mineral to global scale, petrologic and exploration tool that enhances understanding of REE metallogenesis.

Geochemical Perspectives Letters

Did they feel it? Legacy maroseismic data illuminates an engimatic 20th century earthquake

The challenges and the importance of preserving legacy instrumental records of earthquakes are now well-recognized (e.g., Richards & Hellweg, 2020, https://doi.org/10.1785/0220200053 ). Seismologists may not be aware of parallel challenges and opportunities with legacy macroseismic data for earthquakes in the United States. For much of the 20th century, macroseismic data were collected by a series of U.S. government agencies using a standard questionnaire distributed on postcards. Published summaries of postcards provide macroseismic data akin to modern Did You Feel It? questionnaire responses. In this paper we focus on the M 6.5 Fickle Hill, California earthquake, on 21 December 1954 (Hellweg et al., 2025) as a proof-of-concept, illustrating the potential of what we dub Did They Feel It? (DTFI) data to improve our understanding of significant 20th century U.S. earthquakes for which instrumental data are sparse. Legacy macroseismic data interpreted following modern conventions can potentially constrain traditional ShakeMaps at a level of detail and accuracy that in some respects rival maps for modern earthquakes. The updated ShakeMap for the 1954 Fickle Hill earthquake, also drawing from recently published media and first-person accounts, supports the location, depth, and stress drop value estimated from available instrumental data (Hellweg et al., 2025).

California

Permafrost thaw controls iron flux from wetlands and sulfide-bearing rocks to Arctic rivers and streams

Recent warming has caused widespread iron mobilization into Arctic waterbodies that degrades ecosystems and threatens natural resources. Yet, understanding where and when iron flux occurs remains limited. Here, we investigate iron loading across regional to local scales in Arctic Alaska using climate, water chemistry, and borehole data together with mapped geology and permafrost presence. We show that both anoxic microbial iron reduction and acid rock drainage from iron-sulfide oxidation mobilize iron. Iron influx is strongly associated with lowland wetlands, sulfide-rich upland bedrock, and near-surface permafrost. Acid rock drainage chemistry correlates very strongly with the depth of seasonal thaw above permafrost from the previous year, indicating a one-year lag. These findings clarify the spatial and temporal dynamics of Arctic river rusting, provide a mechanistic understanding of the phenomenon, and may allow anticipation of its occurrence and assessment of its implications for aquatic ecosystem health and subsistence resources under ongoing climate change.

Alaska

Pathways for potential exposure to onshore oil and gas wastewater: What we need to know to protect human health

Produced water is a chemically complex waste stream generated during oil and gas development. Roughly four trillion liters were generated onshore in the United States in 2021 (ALL Consulting, 2022, https://www.gwpc.org/wp-content/uploads/2021/09/2021_Produced_Water_Volumes.pdf ). Efforts are underway to expand historic uses of produced water to offset freshwater needs in water-stressed regions, avoid induced seismic activity associated with its disposal, and extract commodities. Understanding the potential exposures from current and proposed produced water uses and management practices can help to inform health-protective practices. This review summarizes what is known about potential human exposure to produced water from onshore oil and gas development in the United States. We synthesize 236 publications to create a conceptual model of potential human exposure that illustrates the current state of scientific inquiry and knowledge. Exposure to produced water can occur following its release to the environment through spills or leaks during its handling and management. Exposure can also arise from authorized releases, including permitted discharges to surface water, crop irrigation, and road treatment. Knowledge gaps include understanding the variable composition and toxicity of produced water released to the environment, the performance of treatment methods, migration pathways through the environment that can result in human exposure, and the significance of the exposures for human and ecosystem health. Reducing these uncertainties may help in realizing the benefits of produced water use while simultaneously protecting human health.

Environmental Health Perspectives

Post-wildfire debris flows

Post-wildfire debris flows pose severe hazards to communities and infrastructure near and within recently burned mountainous terrain. Intense heat of wildfires changes the runoff characteristics of a watershed by combusting the vegetative canopy, litter, and duff, introducing ash into the soil and creating water repellant soils. Following wildfire, rainfall on bare ground is less able to infiltrate into the fire-altered soils and overland flow is less impeded by vegetation. Rainfall runoff in recently burned areas can erode hillslopes owing to the removal of soil binding organic matter near the soil surface by fire. In channels, loose, dry-ravel deposits composed of sand and gravel are readily entrained by concentrated runoff in channels. Entrainment of soil on hillslopes and in channels bulks up the sediment concentration of the rainfall runoff to generate debris flows capable of transporting boulders and large woody debris. Post-wildfire debris flows can be triggered by rainfall conditions that would typically produce little runoff during unburned conditions. The primary rainfall trigger for post-wildfire debris flows is high intensity rainfall during short duration convective rainstorms or periods of high rainfall intensity embedded within a long-duration frontal storm. Numerous observations of debris flows triggered by storms lasting less than an hour following periods of little to no rainfall indicate that antecedent rainfall is not a requirement for initiation of post-wildfire debris flows. Post-wildfire debris-flow hazard assessment entails estimating probability and magnitude of debris flows in the burned area, estimating debris-flow runout and intensity, and defining rainfall intensity-duration thresholds for debris-flow initiation. In the United States, probability and magnitude is estimated using empirically derived models largely based on data collected in southern California. The models provide maps to identify watersheds and drainage paths where post-wildfire hazards are most pronounced. Rainfall intensity-duration thresholds can be incorporated into flood hazard forecasting tools. Currently, work is underway to identify how to best implement debris-flow runout models in burned areas with efficiency and accuracy. Post-wildfire debris flows have been a long-recognized process in the Transverse Ranges of southern California; however, climate change is driving more frequent wildfires to burn more mountainous terrain throughout the western United States and worldwide. As a result, post-wildfire debris flows are becoming a more common threat in areas where they were once infrequent. As the threat of post-wildfire debris flow expands into new areas, evaluating the hazard becomes challenging because the degree to which wildfire increases debris-flow susceptibility varies from region to region. This chapter summarizes the knowledge to date for evaluating post-wildfire debris-flow susceptibility and hazard assessment. We summarize the characteristics of wildfire burn severity, topography, underlying soil and geology, and rainfall conditions that contribute to making a watershed most likely to produce post-wildfire debris flows. Methods for hazard assessment in the United States and other countries are summarized. We highlight knowledge gaps for how post-wildfire debris-flow susceptibility varies throughout the western United States and worldwide and identify research needs to improve hazard assessment methods in different geographies.

Book chapter

Toward a new framework to evaluate process-based model configurations and quantify data worth prior to calibration

Model criticism, discrimination, and selection methods often rely on calibrated model outputs. Because calibration can be computationally expensive, model criticism can first be undertaken by assessing model outputs obtained from limited prior parameter ensembles. However, such prior-based methods are often heuristic and do not formalize the notion of balancing model consistency with data and model complexity (i.e., model adequacy). We present a new framework to discriminate among candidate models prior to calibration that formalizes prior-to-calibration model adequacy into a metric to implicitly balance prior model output data coverage with model complexity represented by prior output (co)variance. The prior model adequacy metric “Mahalanobis distance deviation” quantifies the deviation of (a) the set of squared Mahalanobis distances of data from a prior model output distribution from (b) the set of squared Mahalanobis distances of data from their own distribution. A new data worth metric “discernment value” is also presented which quantifies the value of data for screening less-adequate models prior to calibration. Discernment value is calculated from the change in variance of a weighted average of prior model outputs from all candidate models due to less-adequate model outputs receiving lower weight. The framework is demonstrated using a one-dimensional groundwater flow model with eight possible configurations. A synthetic data network is used to test the framework. Results show the framework identifies the candidate models most similar to the true model used to create the synthetic data. Discernment values show variation in the value of different data types and locations for screening less-adequate models.

Water Resources Research

Remote sensing enables basin-scale inventories of coal mine methane

Underground coal mines are important global sources of methane, but emission estimates are uncertain. We show that emission estimates for individual mines from aircraft remote-sensing surveys in the United States agree within 40% with direct measurements used for national emission reporting (IPCC Tier 3 estimate). Such direct measurements are unavailable in most countries, which rely on estimated emission factors (EFs) applied to coal-production rates. We find that EFs from IPCC Tier 1 and the Model for Calculating Coal Mine Methane (MC2M) methods overestimate U.S. emissions 3-fold due to incorrect dependence on mine depth. An IPCC Tier 2 method using measured basin-specific mine gas content agrees with direct emission measurements but does not account for gob well emissions and requires gas content data that are generally unavailable. We show that aircraft remote sensing for a small sample of mines can successfully estimate basin-specific EFs for ventilation shafts and gob wells, enabling estimates of basin- and national-scale emissions. We discuss how the method can be applied with satellite remote sensing to quantify coal emissions worldwide.

Alabama, Colorado, Kentucky, New Mexico, Ohio, Pen

Using surficial geologic maps, vegetation, and monitoring to address erosion impacts from grazing in Channel Islands National Park, California

Employing a map-unit classification scheme based on geomorphic process and age, the U.S. Geological Survey (USGS) mapped Quaternary surficial deposits of the five islands comprising Channel Islands National Park (CHIS), California, as no such maps previously existed. Mapping was motivated through an agreement with the National Park Service (NPS) to aid natural resource assessments, including post-grazing disturbance recovery and identification of mass wasting and tectonic hazards. The resulting detailed (1:12,000 scale) maps portray areas of upland erosional transport processes and alluvial, fluvial, eolian, beach, marine terrace, mass wasting, and mixed depositional processes at a scale commensurate with the process signal on the landscape. Detailed, GPS-located observations of sedimentology, pedogenic development, landscape position, and geomorphology constrain map unit identification. In addition, map-unit boundary delineation was determined in a GIS using a variety of high-resolution (sub-meter) aerial imagery and lidar-based DEMs complemented by derivative raster products. The GIS geodatabase schema used is GeMS compliant. Resolvable map-unit widths are as small as 10-15 meter. Locational accuracy of unit boundaries is estimated to be as low as 10 m or better. Detailed mapping is at a scale allowing determination of geomorphic transport processes operating on the landscape and conveys geologic information to land managers at a resolution commensurate with park resources. Map unit ages are constrained by relative soil chronostratigraphy, vertebrate and invertebrate fossils, and materials collected for dating control using radiogenic, luminescence, and cosmogenic radionuclide techniques. Associated topical studies examined connections between geology, surface water, and vegetation distribution and restoration.

California

Ungulate migrations of the Western United States, volume 4

Broadly distributed across the Western United States, ungulates (hooved mammals) play an important role in ecosystem function by affecting vegetation communities and forming the prey base for large carnivores. Additionally, ungulates provide economic benefits to regional communities through tourism and hunting and hold cultural significance for many Tribal communities. Many ungulates migrate seasonally between distinct summer and winter ranges to take advantage of spatially and temporally variable food sources and avoid threats such as predators and deep snow. Increasingly, these migrations are threatened by the growing human footprint and associated subdivisions, energy development, and increased traffic volume. Efforts to study ungulate populations and conserve their migrations received support in recent years from the U.S. Department of the Interior Secretarial Order No. 3362, which provided Federal support for enhancing habitat quality for ungulates across the Western States. In response to Secretarial Order No. 3362, the U.S. Geological Survey (USGS) established the Corridor Mapping Team, a collaboration among USGS and participating State and Federal wildlife management agencies and numerous Tribal Nations. Together, the Corridor Mapping Team maps ungulate migrations throughout the Western United States in the USGS “Ungulate Migrations of the Western United States” report series. This report (volume 4) details migrations and seasonal ranges from 31 new herds throughout nine Western States. Additionally, this report includes updates to two herds published in previous reports. Including this report, the report series has provided the mapped migrations and seasonal ranges of 182 unique herds and has provided a map-based inventory of the documented ungulate migrations across the Western United States for biologists, managers, policy makers, and conservation practitioners. This report also discusses how the mapping efforts associated with the Corridor Mapping Team can be used to guide management and policy regarding renewable energy development and ungulate disease, specifically chronic wasting disease, in the Western United States.

Arizona, California, Colorado, New Mexico, Nevada,

Wavelet Inversion for SliP (WISP): Open-source earthquake slip modeling software

Models of the spatiotemporal evolution of earthquake slip, termed finite-fault models, are a critical component of rapid earthquake and tsunami response, earthquake forecasting, seismic ground-motion estimates, and studies of earthquake kinematics. Here, we detail a newly released finite-fault modeling software, Wavelet Inversion for SliP (WISP), in use at the U.S. Geological Survey’s National Earthquake Information Center (NEIC) and available to the public. WISP version 1.1.0 allows inversion of teleseismic body and surface waves, as well as local strong-motion, static and dynamic Global Navigation Satellite System, and satellite imagery (e.g., Interferometric Synthetic Aperture Radar) observations on single or multiple planar fault segments. The software is used in NEIC rapid response of earthquakes M w ≥ 7, generally resulting in a published model within the first few hours after the event origin time. The rupture location and dimensions are then used as inputs to downstream products to estimate earthquake shaking, predict loss, and model the likelihood of secondary hazards, namely landslides and liquefaction. WISP is also used in research studies to evaluate the characteristics of complex ruptures including multifault ruptures and earthquake doublets, among others. The WISP version 1.1.0 software release is composed of Python-wrapped FORTRAN code to accomplish the inversion procedure. A simple command line interface facilitates ease of use even for those with only a cursory knowledge of Python scripting. WISP version 1.1.0 includes a Jupyter Notebook tutorial demonstrating use of the software for modeling the 2015 M w 8.3 Illapel, Chile, earthquake. In parallel with the tutorial, we demonstrate the typical usage of the WISP software using the M w 8.3 Illapel earthquake example here.

Seismological Research Letters

Characterizing the scale of regional landslide triggering from storm hydrometeorology

Rainfall strongly affects landslide triggering; however, understanding how storm characteristics relate to the severity of landslides at the regional scale has thus far remained unclear, despite the societal benefits that would result from defining this relationship. As mapped landslide inventories typically cover a small region relative to a storm system, here we develop a dimensionless index for landslide-inducing rainfall, A * , based on extremes of modeled soil water relative to its local climatology. We calibrate A * using four landslide inventories, comprising over 11 000 individual landslides over four unique storm events, and find that a common threshold can be applied to estimate regional shallow-landslide-triggering potential across diverse climatic regimes in California (USA). We then use the spatial distribution of A * , along with topography, to calculate the landslide potential area (LPA) for nine landslide-inducing storm events over the past 20 years, and we test whether atmospheric metrics describing the strength of landfalling storms, such as integrated water vapor transport, correlate with the magnitude of hazardous landslide-inducing rainfall. We find that although the events with the largest LPA do occur during exceptional atmospheric river (AR) storms, the strength of landfalling atmospheric rivers does not scale neatly with landslide potential area, and even exceptionally strong ARs may yield minimal landslide impacts. Other factors, such as antecedent soil moisture driven by storm frequency and mesoscale precipitation features within storms, are instead more likely to dictate the patterns of landslide-generating rainfall throughout the state.

California

Developments in African industrial minerals for renewable energy

Introduction Africa is emerging as a leading source for minerals used in the manufacture of batteries for electric vehicles and in other renewable energy applications. New graphite, lithium, and rare-earth mines have or could be opened in African countries from 2017 through 2026. Estimates of production capacities for graphite, lithium, and rare-earth mines for 2023 and beyond are based upon supply-side assumptions, such as announced plans for new capacity construction and bankable feasibility studies, as well as projected trends that could affect current producing facilities in 2023 and planned new facilities projected to come online by 2026. Forward-looking information, including estimates of future production capacities, graphite flake distributions, and timing of the start of operations, are subject to risk factors and uncertainties that could cause actual events or results to differ significantly from expected outcomes. Projects listed in this report are presented as an indication of industry plans and are not a U.S. Geological Survey (USGS) prediction of what will take place. Only projects with planned startup dates are included in this report; ther graphite, lithium, and rare-earth projects in Africa without startup dates were known to be in various stages of development but are not included in this fact sheet.

Fact Sheet

The influence of postfire root strength decay on shallow landslide susceptibility in western Oregon

Severe wildfires can increase the potential for postfire landslides, partly due to the loss of vegetation and root reinforcement. This study investigates the multi-year dynamics of root strength following wildfire in coniferous forests of western Oregon and evaluates implications for postfire slope stability. Root tensile strength was measured through laboratory testing of 969 roots collected from 26 test pits over four postfire timeframes: unburned conditions, 4–12 months postfire (Cedar Creek, 2022), 24–35 months postfire (Holiday Farm, 2020), and 59–67 months postfire (Eagle Creek, 2017). Variables analyzed include root diameter, tensile thread strength, stiffness, progressive tensile strength with displacement, time-dependent strength and ductility, root area ratio, and cohesion. Results indicate a 50% reduction in root strength after wildfire, with the lowest values occurring around 4 years postfire. Projections indicate it could take 10–22 years following fire for root strength to recover to 70% and 90% of the prefire original root strength, respectively. This timeline indicates a multi-year window of vulnerability for shallow landslides that reaches a maximum approximately 4 years following fire. Brittle failure behavior was observed in burned root systems compared to unburned root systems, signaling a more abrupt loss of strength at yield. Simple slope stability analyses show that reduced root strength can lead to instability on more gentle slopes and under less saturation in comparison to unburned conditions. These findings highlight the critical role of root reinforcement in postfire slope stability and the long-term implications of wildfire disturbance on landslide susceptibility.

Oregon