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Sedimentary deposits of the 26 December 2004 tsunami on the northwest coast of Aceh, Indonesia

The 2004 Sumatra-Andaman tsunami flooded coastal northern Sumatra to a depth of over 20 m, deposited a discontinuous sheet of sand up to 80 cm thick, and left mud up to 5 km inland. In most places the sand sheet is normally graded, and in some it contains complex internal stratigraphy. Structures within the sand sheet may record the passage of up to 3 individual waves. We studied the 2004 tsunami deposits in detail along a flow-parallel transect about 400 m long, 16 km southwest of Banda Aceh. Near the shore along this transect, the deposit is thin or absent. Between 50 and 400 m inland it ranges in thickness from 5 to 20 cm. The main trend in thickness is a tendency to thicken by filling low spots, most dramatically at pre-existing stream channels. Deposition generally attended inundation - along the transect, the tsunami deposited sand to within about 40 m of the inundation limit. Although the tsunami deposit contains primarily material indistinguishable from material found on the beach one month after the event, it also contains grain sizes and compositions unavailable on the current beach. Along the transect we studied, these grains become increasingly dominant both landward and upward in the deposit; possibly some landward source of sediment was exposed and exploited by the passage of the waves. The deposit also contains the unabraded shells of subtidal marine organisms, suggesting that at least part of the deposit came from offshore. Grain sizes within the deposit tend to fine upward and landward, although individual units within the deposit appear massive, or show reverse grading. Sorting becomes better landward, although the most landward sites generally become poorly sorted from the inclusion of soil clasts. These sites commonly show interlayering of sandy units and soil clast units. Deposits from the 2004 tsunami in Sumatra demonstrate the complex nature of the deposits of large tsunamis. Unlike the deposits of smaller tsunamis, internal stratigraphy is complex, and will require some effort to understand. The Sumatra deposits also show the contribution of multiple sediment sources, each of which has its own composition and grain size. Such complexity may allow more accurate modeling of flow depth and flow velocity for paleotsunamis, if an understanding of how tsunami hydraulics affect sedimentation can be established. Copyright ?? The Society of Geomagnetism and Earth, Planetary and Space Sciences (SGEPSS); The Seismological Society of Japan; The Volcanological Society of Japan; The Geodetic Society of Japan; The Japanese Society for Planetary Sciences; TERRAPUB.

Earth, Planets and Space↗

Fundamental concepts of recharge in the Desert Southwest: A regional modeling perspective

Recharge in arid basins does not occur in all years or at all locations within a basin. In the desert Southwest potential evapotranspiration exceeds precipitation on an average annual basis and, in many basins, on an average monthly basis. Ground-water traveltime from the surface to the water table and recharge to the water table vary temporally and spatially owing to variations in precipitation, air temperature, root zone and soil properties and thickness, faults and fractures, and hydrologic properties of geologic strata in the unsaturated zone. To highlight the fundamental concepts controlling recharge in the Southwest, and address the temporal and spatial variability of recharge, a basin characterization model was developed using a straightforward water balance approach to estimate potential recharge and runoff and allow for determination of the location of recharge within a basin. It provides a means for interbasin comparison of the mechanisms and processes that result in recharge and calculates the potential for recharge under current, wetter, and drier climates. Model estimates of recharge compare favorably with other methods estimating recharge in the Great Basin. Results indicate that net infiltration occurs in less than 5 percent of the area of a typical southwestern basin. Decadal-scale climatic cycles have substantially different influences over the extent of the Great Basin, with the southern portion receiving 220 percent higher recharge than the mean recharge during El Niño years in a positive phase of the Pacific Decadal Oscillation, whereas the northern portion receives only 48 percent higher recharge. In addition, climatic influences result in ground-water travel times that are expected to vary on time scales of days to centuries, making decadal-scale climate cycles significant for understanding recharge in arid lands.

Water Science and Application↗

Long Island South Shore Estuary Reserve Coordinated Water Resources Monitoring Strategy

Executive Summary The Long Island South Shore Estuary Reserve Coordinated Water Resources Monitoring Strategy (CWRMS) provides an overview of the water-quality and ecological monitoring within the Reserve and presents suggestions from stakeholders for future data collection, data management, and coordination among monitoring programs. The South Shore Estuary Reserve, hereafter referred to as the Reserve, is a 173-square-mile network of bays and tributaries shaped by the south shore of Long Island (New York) and the barrier islands that was formed as a result of the last ice age (roughly 18,000 years ago). This overview and coordination document is based on information assembled from a series of meetings, a workshop, and individual correspondences with the CWRMS Project Advisory Committee, which was formed in 2015 to help guide the creation of the document, which reflects the current (2017) status of the Reserve and the need for additional data to address its water-quality issues and ecological health and to respond to a changing climate. The U.S. Geological Survey (USGS), in cooperation with the New York State Department of State Office of Planning, Development and Community Infrastructure and the South Shore Estuary Reserve Office, compiled information and recommendations to help stakeholders efficiently evaluate waters currently being monitored and address areas where necessary data are lacking. Water-quality monitoring in the Reserve is ongoing on the Federal, State, and local levels, and coordination among the various programs administered by the U.S. Environmental Protection Agency; National Oceanic and Atmospheric Administration; USGS; Shinnecock Tribal Nation; New York State; Nassau and Suffolk Counties; the Towns of Hempstead, Oyster Bay, Babylon, Islip, Brookhaven, and Southampton; and local universities and nonprofit organizations is necessary to ensure cooperation and efficient use of limited resources. Proper collection and archival of data are critical to the usability of data and methods—a sample of available repositories for monitoring data are provided in this report. Equally important are quality assurances of data and proper techniques of archival such that water and ecological data are collected and analyzed in a consistent manner, regardless of their sources, and that differences in methodologies are identified that might result in discrepancies in the compiled data. Details on monitoring programs, data gaps that are perceived by stakeholders and researchers in the area, and Project Advisory Committee recommendations are provided in this report to promote discussion and coordination. In most cases, resources to fill data gaps are needed, and the use of citizen science volunteers has been shown to help extend programs and provide insight into previously unaddressed areas of concern. This document, in conjunction with the CWRMS website and interactive mapper, is intended to inform the latest iteration of the Comprehensive Management Plan for the Reserve. Moreover, resource managers can use the CWRMS and mapper to identify areas of potential overlap and initiate conversations with stakeholders about addressing needs for additional monitoring of water quality and ecological health in the bays and tributaries of the Reserve.

New York↗

Establishing links between streamflow and ecological integrity in the Sudbury River (Northeastern U.S.)

With increased pressure from a growing human population, managers are challenged to understand how novel disturbances (e.g., climate change, increased water withdrawals, urbanization) may affect natural resources. The Sudbury River is a National Wild and Scenic River located in suburban Boston, Massachusetts (Northeastern US) with myriad impairments (e.g., mainstem impoundments, withdrawals, and urbanization) that is under increasing pressure from hydrologic alteration. We sampled fish, mussel, and macroinvertebrate assemblages in the Sudbury River and used species traits to investigate potential effects of past and future flow alteration on biota. Analysis of 33 years of stream gage data indicates continued hydrologic alteration of the Sudbury River, likely related to increased urbanization and water withdrawals over that time. These changes include a roughly 200% increase in rise rates of flows, an approximate 65% decrease in 1-day minimum flows, and a trend towards increasing high flow pulse counts. Biotic sampling in summer of 2014 demonstrated that the Sudbury River is now dominated by generalist species. Of five mussel species sampled, all are generalists in their habitat requirements. Though one mussel species of special concern was sampled, the most abundant species collected were the widespread Eastern elliptio (58%) and Eastern lampmussel (40%). We used the target fish community (TFC) model to assess the degree to which the fish assemblage deviated from that expected for a river with similar zoogeographic and physical features. Overall, the current community has a 22.7% similarity to the TFC. Of the four fluvial specialist species present in the TFC, only fallfish was sampled in our study. While the TFC showed that the historical assemblage was likely dominated by fluvial specialist and fluvial dependent species, the current assemblage is overwhelmingly dominated by macrohabitat generalists (90.6% of fishes sampled). These results are consistent with other studies that show shifts in assemblages from fluvial specialists to habitat generalists with hydrologic alteration. If the current trends continue, it is likely that biotic assemblages will experience increasing pressure from hydrologic alteration. While hydrologic alteration is likely impacting biotic assemblages in the Sudbury River, other factors such as high temperatures, low dissolved oxygen, high nutrients, low availability of high-quality habitat, and poor habitat connectivity may also be negatively impacting biotic assemblages. Comparisons to other rivers and a complete longitudinal habitat survey could help to identify availability of unique habitats and representativeness of this study. While this study suggests impacts of flow on biota, future studies with quantitative, habitat-specific sampling during different flow levels could help to directly identify links between hydrologic alteration and biotic impairment in the Sudbury River.

Massachussetts↗

Drivers and uncertainties of forecasted range shifts for warm-water fishes under climate and land cover change

Land cover is an important determinant of aquatic habitat and is projected to shift with climate changes, yet climate-driven land cover changes are rarely factored into climate assessments. To quantify impacts and uncertainty of coupled climate and land cover change on warm-water fish species’ distributions, we used an ensemble model approach to project distributions of 14 species. For each species, current range projections were compared to 27 scenario-based projections and aggregated to visualize uncertainty. Multiple regression and model selection techniques were used to identify drivers of range change. Novel, or no-analogue, climates were assessed to evaluate transferability of models. Changes in total probability of occurrence ranged widely across species, from a 63% increase to a 65% decrease. Distributional gains and losses were largely driven by temperature and flow variables and underscore the importance of habitat heterogeneity and connectivity to facilitate adaptation to changing conditions. Finally, novel climate conditions were driven by mean annual maximum temperature, which stresses the importance of understanding the role of temperature on fish physiology and the role of temperature-mitigating management practices.

Canadian Journal of Fisheries and Aquatic Sciences↗

Palaeotsunamis in the Pacific Islands

The recent 29 September 2009 South Pacific and 27 February 2010 Chilean events are a graphic reminder that the tsunami hazard and risk for the Pacific Ocean region should not be forgotten. Pacific Islands Countries (PICs) generally have short (< 150 years) historic records, which means that to understand their tsunami hazard and risk researchers must study evidence for prehistoric events. However, our current state of knowledge of palaeotsunamis in PICs as opposed to their circum-Pacific counterparts is minimal at best. We briefly outline the limited extent of our current knowledge and propose an innovative methodology for future research in the Pacific. Each PIC represents a point source of information in the Pacific Ocean and this would allow their palaeotsunami records to be treated akin to palaeo-DART® (Deep-ocean Assessment and Reporting of Tsunamis) buoys. Contemporaneous palaeotsunamis from local, regional and distant sources could be identified by using the spatial distribution of island records throughout the Pacific Ocean in conjunction with robust event chronologies. This would be highly innovative and, more importantly, would help provide the building blocks necessary to achieve more meaningful disaster risk reduction for PICs.

Earth-Science Reviews↗

Morphologic evolution of the wilderness area breach at Fire Island, New York—2012–15

Introduction Hurricane Sandy, which made landfall on October 29, 2012, near Atlantic City, New Jersey, had a significant impact on the coastal system along the south shore of Long Island, New York. A record significant wave height of 9.6 meters (m) was measured at wave buoy 44025 , approximately 48 kilometers offshore of Fire Island, New York. Surge and runup during the storm resulted in extensive beach and dune erosion and breaching of the Fire Island barrier island system at two locations, including a breach that formed within the Otis Pike Fire Island High Dune Wilderness area on the eastern side of Fire Island. The U.S. Geological Survey (USGS) has a long history of conducting morphologic change and processes research at Fire Island. One of the primary objectives of the current research effort is to understand the morphologic evolution of the barrier system on a variety of time scales (from storm scale to decade(s) to century). A number of studies that support the project objectives have been published. Prior to Hurricane Sandy, however, little information was available on specific storm-driven change in this region. The USGS received Hurricane Sandy supplemental funding (project GS2–2B: Linking Coastal Processes and Vulnerability, Fire Island, New York, Regional Study) to enhance existing research efforts at Fire Island. The existing research was greatly expanded to include inner continental shelf mapping and investigations of processes of inner shelf sediment transport; beach and dune response and recovery; and observation, analysis, and modeling of the newly formed breach in the Otis Pike High Dune Wilderness area, herein referred to as the wilderness breach. The breach formed at the site of Old Inlet, which was open from 1763 to 1825. The location of the initial island breaching does not directly correspond with topographic lows of the dunes, but instead the breach formed in the location of a cross-island boardwalk that was destroyed during Hurricane Sandy. From 2013 to November 2015, bathymetric data were collected by the USGS St. Petersburg Coastal and Marine Science Center during three surveys of the breach channel and tidal shoals, and shoreline positions on each side of the breach (also collected by the National Park Service). Additionally, pre-storm topography/bathymetry EAARL–B light detection and ranging (lidar) data were collected by the USGS the day prior to Hurricane Sandy’s landfall. These data serve as a baseline for change analyses during four subsequent periods: June 2013, June 2014, October 2014, and May 2015. The June 2013 single-beam bathymetry data were collected in collaboration with the U.S. Army Corps of Engineers (USACE), using the Lighter Amphibious Resupply Cargo (LARC) vessel, and included the ebb shoal and breach channel. The USGS collected and processed the three additional bathymetric datasets using personal watercraft equipped with single-beam echo sounders and backpack Global Positioning System (GPS) over shallow flood shoals. Eastern and western breach shorelines were surveyed weekly to monthly beginning on November 6, 2012 (by the National Park Service [NPS], and USGS St. Petersburg Coastal and Marine Science Center), with measurements made every few weeks for the first year and every few months after October 2013. The NPS and researchers from Stony Brook University monitored the breach by collecting field data of the breach channel bathymetry, conducting aerial photographic overflights, and performing water-quality analyses (see http://po.msrc.sunysb.edu/GSB/ ). The aerial photography collected and rectified by Stony Brook University is used extensively in our morphologic change description to examine changes to breach shorelines (supplementing shoreline data collected in the field), channel width, and orientation. Due to the uncertainties and the variation in survey methods, a rigorous quantitative analysis was not performed. However, average calculations of various breach metrics allow a qualitative analysis of breach development and evolution. This report presents an overview of the data collected and a summary discussion of the observed changes to the breach system and the seasonal wave climatology associated with the breach morphodynamic response.

New York↗

Relations of groundwater quality to long-term surface disposal of produced water near the Midway-Sunset and Buena Vista Oil Fields, California, USA

Contamination of groundwater by oil-field fluids in proximity to oil and gas development has been an issue of concern to water users and regulators given long histories of development and legacy disposal practices. A robust set of geochemical tracers including petroleum hydrocarbon compounds, thermogenic gases, inorganic ion concentrations, stable isotopes, radioactive isotopes, and noble gases were used to assess if oil-field fluids mixed with groundwater near the Midway-Sunset and Buena Vista Oil Fields in California, USA. Results show evidence of mixing of oil-field fluids with groundwater within the study area from either anthropogenic or natural processes. Produced water plumes associated with modern surface disposal facilities, used since the late 1950s, extend up to 1.5 km and currently remain within the boundaries of the oil fields. Plumes associated with earlier routing of produced water down natural drainages and in large retention structures (Midway Basin and Sunset Basin) near the Buena Vista Lake Bed are present in groundwater east of the oil fields. Based on geochemical tracer evidence, aerial imagery, and aerial electromagnetic surveys, these legacy plumes reach the western portion of the Central Valley aquifer system, an important groundwater resource for agricultural and domestic supply. The legacy plume associated with Sunset Basin may further be detected downgradient in deeper groundwater beneath the southern extent of the Buena Vista Lake Bed based on the presence of thermogenic gases and petroleum hydrocarbon compounds.

California↗

Next-generation lampricides: A three-stage process to develop improved control tools for invasive sea lamprey

Successful integrated management of the invasive predatory sea lamprey ( Petromyzon marinus ) in the Laurentian Great Lakes of North America is owed largely to the long history of beneficial use of two lampricides: 3-trifluoromethyl-4-nitrophenol (TFM) and 2′,5-dichloro-4′-nitrosalicylanilide (niclosamide). Ensuring continued successful sea lamprey control necessitates consideration of possible next-generation lampricides to supplement or replace current lampricides. This review identifies fifteen hallmarks of success for current lampricides to be used as design criteria in a search for next-generation lampricides. A three-stage research approach is outlined. Targeted research using omics, computer modelling, and high-throughput technology to define molecular mechanisms and high probability molecular targets for sea lamprey selective toxic action is crucial to prioritizing chemical candidates. Targeted delivery or identifying synergists to existing or new lampricides can provide increased efficiency and reduced environmental impact. Ultimate development of next-generation lampricides will rely on traditional toxicity testing methodologies to ensure safety and regulatory compliance.

Canadian Journal of Fisheries and Aquatic Sciences↗

Ecological requirements for pallid sturgeon reproduction and recruitment in the Missouri River—A synthesis of science, 2005 to 2012

This report is intended to synthesize the state of the scientific understanding of pallid sturgeon ecological requirements to provide recommendations for future science directions and context for Missouri River restoration and management decisions. Recruitment of pallid sturgeon has been low to non-existent throughout its range. Emerging understanding of the genetic structure of pallid sturgeon populations sets a broad framework for species and river management decisions, including decisions about managing the future genetic diversity of the species, but also decisions about where and what type of river restoration actions will be effective for subpopulations of this highly migratory species. Adult pallid sturgeon may migrate hundreds of kilometers (km) to spawn and their progeny may disperse even greater distances downstream as drifting free embryos. As a result of their complex life history pallid sturgeon naturally exploit a wide range of habitats during their life cycles. The construction of dams and reservoirs has fragmented habitats and may have shifted Missouri River subpopulations downstream. Research has not identified one primary biological or ecological constraint that appears to limit populations of the pallid sturgeon. With the present (2013) state of knowledge many life stages and life-stage transitions cannot be ruled out as contributing to recruitment failure. Biological opinions in 2000 (and amended in 2003) presented the dominant hypotheses for recruitment failure that existed at that time. Emphasis was on the role of the flow regime, specifically spring flow pulses (&ldquo;spring rises&rdquo;), to condition spawning substrate and cue reproductive aggregations and migrations, and on low flows and additional slow, shallow-water area to serve as rearing habitat for age-0 to juvenile pallid sturgeon. Studies on spawning habitat dynamics have documented that habitat patches selected for spawning by fish in the Lower Missouri River (Missouri River downstream from Gavins Point Dam to the confluence with the Mississippi River) are dominantly on outside, revetted bends in the deepest, fastest, and most turbulent water. Studies in more natural habitat on the Yellowstone River have documented spawning in convergent flow in the middle of the channel on discrete patches of gravel within a sand-dominated channel, an arrangement that may be more effective in attracting aggregations of reproductive fish compared to the nearly continuous revetment on the Lower Missouri River. Pallid sturgeon spawn in the spring and early summer during periods of increasing day length. Water temperature consistently exerts a threshold effect for spawning at 16&ndash;18 &deg;C. In addition, the role of water temperature is indicated by pauses and reversals in upstream migrations that have been associated with cold weather fronts that create a transient decrease in water temperature. From 2005 to 2012 on the Lower Missouri River, no obvious relations between flow pulses and fish movements and spawning behaviors have been apparent. However, pallid sturgeon tracking at the Upper Missouri&ndash;Yellowstone confluence indicates that in most years, most telemetered pallid sturgeon migrate out of the Missouri River and into the Yellowstone River in the June&ndash;July timeframe in association with the spring pulse. This pattern was disrupted in 2011 when a high flow pulse with warm temperatures and high turbidity emanated from the Milk River, followed by record releases from Fort Peck Dam, and 36&ndash;39 percent of the telemetered population migrated up the Upper Missouri. This result supports the hypothesis that sufficiently large flow pulses may trigger migration and aggregation but it is not clear that functional pulses are within reservoir management authorities. Notably, a pallid sturgeon free embryo was captured on the Upper Missouri River in 2011 and another single, genetically confirmed embryo was captured on the Yellowstone River in 2012. Research on free-embryo drift has indicated the potential for hundreds of miles of downstream dispersal. Lack of distance to accommodate the extended downstream dispersal period of free embryos on the Upper Missouri and Yellowstone Rivers is the predominant hypothesis for recruitment failure in the upper basin. Long drift distances in the Lower Missouri River may be responsible for shifting Lower Missouri River sub-populations further into the Middle Mississippi River. Physical understanding of drift processes indicates that mean velocities could be slowed through decreased discharges or increased channel hydraulic radius (width and topographic diversity) to reduce free-embryo dispersal distances. In addition, the probability that free embryos are transported into and retained in channel-margin habitats is theoretically amenable to channel re-engineering that would increase cross-channel secondary currents in bends or channel expansions. Considerable uncertainty persists, however, about whether extended drift of Lower Missouri River larvae is responsible for recruitment failure. If drift distance is limiting, it is important to discern whether it would be advisable to retain larvae within the Missouri River, and where along the river restoration projects should be placed to optimize survival and growth of age-0 and juvenile sturgeon. Longitudinal differences in female pallid sturgeon fecundity lend support to the hypothesis that recruitment failure may be due, in part, to fish having insufficient nutrition to produce the numbers of gametes needed for the population to grow, perhaps because of simultaneous declines in prey-fish populations and their habitats. Establishing a chain of causality from habitat decline, to prey-fish populations, to sturgeon diets, to sturgeon fecundity, and to pallid sturgeon population growth presents a considerable scientific challenge. In addition to the dominant hypotheses relating pallid sturgeon populations to changes in flow regime and channel morphology, other factors have been identified that might be sources of stress and contribute to recruitment failure. Among these are water quality and contaminants. Ambient water-quality monitoring on the Missouri River has demonstrated summer episodes when dissolved oxygen dips below 5 milligrams per liter, a threshold that may be stressful especially to age-0 and juvenile sturgeon. Documented cases of intersex in shovelnose and pallid sturgeon indicate that agricultural and municipal sources of endocrine disrupting chemicals also may have a role in pallid sturgeon recruitment failure. Scientific understanding of the ecological requirements of pallid sturgeon has increased almost exponentially in the last two decades, and efforts are now turning from understanding fundamental biology of the species to quantifying how population dynamics relate to potential management actions. Progress in developing the science needed to inform management actions on the Missouri River may benefit from continuation of monitoring of reproductive cycles, reproductive movements, growth, and survival of telemetry tagged adults, increased emphasis on focused, complementary field and laboratory studies of factors influencing early life history, implementation of studies to resolve the role of food limitations in growth, survival, and reproductive condition, and implementation of studies designed specifically to parameterize models linking management to populations.

Missouri River↗

Interannual observations and quantification of summertime H 2 O ice deposition on the Martian CO 2 ice south polar cap

The spectral signature of water ice was observed on Martian south polar cap in 2004 by the Observatoire pour l'Mineralogie, l'Eau les Glaces et l'Activite (OMEGA) ( Bibring et al., 2004). Three years later, the OMEGA instrument was used to discover water ice deposited during southern summer on the polar cap ( Langevin et al., 2007). However, temporal and spatial variations of these water ice signatures have remained unexplored, and the origins of these water deposits remains an important scientific question. To investigate this question, we have used observations from the Compact Reconnaissance Imaging Spectrometer for Mars (CRISM) instrument on the Mars Reconnaissance Orbiter (MRO) spacecraft of the southern cap during austral summer over four Martian years to search for variations in the amount of water ice. We report below that for each year we have observed the cap, the magnitude of the H2O ice signature on the southern cap has risen steadily throughout summer, particularly on the west end of the cap. The spatial extent of deposition is in disagreement with the current best simulations of deposition of water ice on the south polar cap (Montmessin et al., 2007). This increase in water ice signatures is most likely caused by deposition of atmospheric H2O ice and a set of unusual conditions makes the quantification of this transport flux using CRISM close to ideal. We calculate a ‘minimum apparent‘ amount of deposition corresponding to a thin H2O ice layer of 0.2 mm (with 70% porosity). This amount of H2O ice deposition is 0.6–6% of the total Martian atmospheric water budget. We compare our ‘minimum apparent’ quantification with previous estimates. This deposition process may also have implications for the formation and stability of the southern CO2 ice cap, and therefore play a significant role in the climate budget of modern day Mars.

Earth and Planetary Science Letters↗

Sequential megafaunal collapse in the North Pacific Ocean: An ongoing legacy of industrial whaling?

Populations of seals, sea lions, and sea otters have sequentially collapsed over large areas of the northern North Pacific Ocean and southern Bering Sea during the last several decades. A bottom-up nutritional limitation mechanism induced by physical oceanographic change or competition with fisheries was long thought to be largely responsible for these declines. The current weight of evidence is more consistent with top-down forcing. Increased predation by killer whales probably drove the sea otter collapse and may have been responsible for the earlier pinniped declines as well. We propose that decimation of the great whales by post-World War II industrial whaling caused the great whales' foremost natural predators, killer whales, to begin feeding more intensively on the smaller marine mammals, thus "fishing-down" this element of the marine food web. The timing of these events, information on the abundance, diet, and foraging behavior of both predators and prey, and feasibility analyses based on demographic and energetic modeling are all consistent with this hypothesis.

Proceedings of the National Academy of Sciences of↗

Natural climate solutions for the United States

Limiting climate warming to <2°C requires increased mitigation efforts, including land stewardship, whose potential in the United States is poorly understood. We quantified the potential of natural climate solutions (NCS)—21 conservation, restoration, and improved land management interventions on natural and agricultural lands—to increase carbon storage and avoid greenhouse gas emissions in the United States. We found a maximum potential of 1.2 (0.9 to 1.6) Pg CO 2 e year −1 , the equivalent of 21% of current net annual emissions of the United States. At current carbon market prices (USD 10 per Mg CO 2 e), 299 Tg CO 2 e year −1 could be achieved. NCS would also provide air and water filtration, flood control, soil health, wildlife habitat, and climate resilience benefits.

Science↗

Evaluation of candidate Landsat Data Gap Sensors

The capabilities of the currently operational Landsat satellites may be lost before the launch of the follow-on Landsat Data Continuity Mission (LDCM), thus producing a gap in the Landsat data record and the National Satellite Land Remote Sensing Data Archive (NSLRSDA). In anticipation of a gap, the Federal agencies responsible for Landsat program management, the National Aeronautics and Space Administration (NASA) and the Department of Interior (DOI) U. S. Geological Survey (USGS), convened a Landsat Data Gap Study Team (LDGST). The study team assessed the basic characteristics of multiple systems and identified sensors aboard the China-Brazil Earth Resources Satellite (CBERS-2) and the Indian Remote Sensing (IRS-P6) ResourceSat-1 satellite as the most promising sources of Landsat-like data. The sensors include the combination of CBERS-2 Infrared Multi-spectral Scanner (IRMSS) and High Resolution Charged Coupled Device (CCD), as well as the IRS-P6 Advanced Wide Field Sensor (AWiFS) and the IRS-P6 Linear Imaging Self Scanning Sensor (LISS-III). The study team concluded that more robust technical evaluations of data and sensor performance are required before gap mitigation strategies can be fully formulated. A technical report is made available that summarizes the results from those evaluations, including the initial data characterization and science utility evaluation. The report can be accessed at http://calval.cr.usgs.gov/LDGST.php.

Conference Paper↗

The Southwestern Pond Turtle (Actinemys pallida) in Baja California, Mexico: New localities and persistent threats

The Southwestern Pond Turtle ( Actinemys pallida ), the only native freshwater turtle in Baja California, is experiencing alarming population declines, echoing global patterns observed in freshwater turtles. We conducted comprehensive field surveys across the major drainages of northwestern Baja California to delineate the species' current distribution, identify critical threats to its persistence, and provide guidance for conservation actions. We documented the continued presence of A. pallida at 27 sites across 10 watersheds, ranging from sea level to 1,525 m in elevation. These include nine historically known sites and 18 newly recorded localities. The most pervasive threats we identified were habitat degradation, the proliferation of invasive aquatic species, and unsustainable water extraction. Despite these pressures, our findings confirm that A. pallida still occupies much of its historical range. However, urgent ecological research is needed to inform evidence-based strategies that ensure the long-term viability of this imperiled species.

Baja California↗

A lacustrine paleoenvironment recorded at Vera Rubin ridge, Gale crater: Overview of the sedimentology and stratigraphy observed by the Mars Science Laboratory Curiosity rover

For ~500 Martian solar days (sols), the Mars Science Laboratory team explored Vera Rubin ridge (VRR), a topographic feature on the northwest slope of Aeolis Mons. Here we review the sedimentary facies and stratigraphy observed during sols 1,800–2,300, covering more than 100 m of stratigraphic thickness. Curiosity's traverse includes two transects across the ridge, which enables investigation of lateral variability over a distance of ~300 m. Three informally named stratigraphic members of the Murray formation are described: Blunts Point, Pettegrove Point, and Jura, with the latter two exposed on VRR. The Blunts Point member, exposed just below the ridge, is characterized by a recessive, fine-grained facies that exhibits extensive planar lamination and is crosscut by abundant curvi-planar veins. The Pettegrove Point member is more resistant, fine-grained, thinly planar laminated, and contains a higher abundance of diagenetic concretions. Conformable above the Pettegrove Point member is the Jura member, which is also fine-grained and parallel stratified, but is marked by a distinct step in topography, which coincides with localized meter-scale inclined strata, a thinly and thickly laminated facies, and occasional crystal molds. All members record low-energy lacustrine deposition, consistent with prior observations of the Murray formation. Uncommon outcrops of low-angle stratification suggest possible subaqueous currents, and steeply inclined beds may be the result of slumping. Collectively, the rocks exposed at VRR provide additional evidence for a long-lived lacustrine environment (in excess of 10 6 years via comparison to terrestrial records of sedimentation), which extends our understanding of the duration of habitable conditions in Gale crater.

Journal of Geophysical Research: Planets↗

Spatial and temporal variability in South San Francisco Bay (USA). II. Temporal changes in salinity, suspended sediments, and phytoplankton biomass and productivity over tidal time scales

Short-term variability of a conservative quantity (salinity) and two nonconservative quantities (chlorophyll a , suspended particulate matter) was measured across a sampling grid in the South San Francisco Bay estuary. Surface measurements were made every 2 h at each of 29 (or 38) sites, on four different dates representing a range of tidal current regimes over the neap-spring cycle. From the distribution of phytoplankton biomass (chlorophyll a ) and turbidity (SPM), we also estimated daily productivity and its variability at each site over the four tide cycles. As a general rule, both chlorophyll a and SPM concentrations varied about 50% from their tidal-means. However derived daily productivity varied less (about 15% from the mean) over a tidal cycle. Both chlorophyll a and SPM varied periodically with tidal stage (increasing on ebbing currents), suggesting that the short-term variability results simply from the tidal advection of spatial gradients. Calculation of the advective flux (current speed times spatial gradient) was used to test this hypothesis. For surface salinity, most (70–80%) of the observed intratidal variability was correlated with the tidal flux, both in the deep channel and over the lateral shoals. However the short-term variability of SPM concentration was only weakly correlated with the advective flux, indicating that local sources of SPM (resuspension) are important. Hourly changes in chlorophyll a were highly correlated with the advective flux in the deep channel (implying that phytoplankton biomass is conservative over short time scales there); however, chlorophyll a variability was only weakly correlated with the advective flux over the shoals, implying that local sources/sinks are important there. Hence, the magnitude and mechanisms of intratidal variability differ among constituents and among bathymetric regimes in this estuary.

California↗

Strain partitioning in southeastern Alaska: Is the Chatham Strait Fault active?

A 1200 km-long transform plate boundary passes through southeastern Alaska and northwestern British Columbia and represents one of the most seismically active, but poorly understood continental margins of North America. Although most of the plate motion is accommodated by the right-lateral Queen Charlotte–Fairweather Fault (QCFF) System, which has produced at least six M > 7 earthquakes since 1920, seismic hazard ass essments also include the Chatham Strait Fault (CSF) as a potentially active, 400 km-long strike slip fault that cuts northward through southeastern Alaska, connecting with the Eastern Denali Fault. Nearly the entire length of the CSF is submerged beneath Chatham Strait and Lynn Canal and has never been systematically imaged using high-resolution marine geophysical approaches. In this study we present an integrated analysis of new marine seismic reflectiondata ac quired across Lynn Canal and tectonic block modeling constrained by data from continuous and campaign GPS sites. Seismic profiles cross the CSF at twelve locations spanning ∼50 km of fault length; they reveal thick (up to 300 m) packages of glaciomarine sedimentary facies emplaced on an unconformity su rface that formed during the Last Glacial Maximum (LGM). Localized warping of post-LGM stratigraphy (∼13.9 kyr B.P. to present) appears to correlate with sediment drape on basement topography and current-controlled deposition. There is no evidence for an active fault along the axis of Lynn Canal in the seismic reflection data. Crustal block models constrained by GPS data allow, but do not require, a maximum slip rate o f 2–3 mm/yr along the CSF; higher slip rates on the CSF result in significant misfit to GPS data in the surrounding region. Based on the combined marine geophysical and GPS observations, it is plausible that the CSF has not generated resolvable coseismic deformation in the last ∼13 ka and that the modern slip-rate is <1 mm/yr. We propose that models for strain transfer between the QCFF and the Denali Fault, and seismic hazard maps in general, may need to be reevaluated.

Alaska↗