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At least 1,369 records · Page 76Linked to original sources

Late Quaternary vegetation and climate history of the central Bering land bridge from St. Michael Island, western Alaska

Pollen analysis of a sediment core from Zagoskin Lake on St. Michael Island, northeast Bering Sea, provides a history of vegetation and climate for the central Bering land bridge and adjacent western Alaska for the past ???30,000 14C yr B.P. During the late middle Wisconsin interstadial (???30,000-26,000 14C yr B.P.) vegetation was dominated by graminoid-herb tundra with willows (Salix) and minor dwarf birch (Betula nana) and Ericales. During the late Wisconsin glacial interval (26,000-15,000 14C yr B.P.) vegetation was graminoid-herb tundra with willows, but with fewer dwarf birch and Ericales, and more herb types associated with dry habitats and disturbed soils. Grasses (Poaceae) dominated during the peak of this glacial interval. Graminoid-herb tundra suggests that central Beringia had a cold, arid climate from ???30,000 to 15,000 14C yr B.P. Between 15,000 and 13,000 14C yr B.P., birch shrub-Ericales-sedge-moss tundra began to spread rapidly across the land bridge and Alaska. This major vegetation change suggests moister, warmer summer climates and deeper winter snows. A brief invasion of Populus (poplar, aspen) occurred ca. 11,000-9500 14C yr B.P., overlapping with the Younger Dryas interval of dry, cooler(?) climate. During the latest Wisconsin to middle Holocene the Bering land bridge was flooded by rising seas. Alder shrubs (Alnus crispa) colonized the St. Michael Island area ca. 8000 14C yr B.P. Boreal forests dominated by spruce (Picea) spread from interior Alaska into the eastern Norton Sound area in middle Holocene time, but have not spread as far west as St. Michael Island. ?? 2003 University of Washington. Published by Elsevier Inc. All rights reserved.

Quaternary Research↗

The influence of Hurricane Andrew on sediment distribution in Louisiana coastal marshes

The areal extent and temporal patterns of sediment deposition in delta marshes and shallow water bodies of Louisiana associated with the passage of Hurricane Andrew were determined from sediment traps, marker horizons, and benchmarks deployed for other studies. Data were collected over different time scales from 11 sites representing salt, brackish, and intermediate marshes, shallow water substrates, and regularly-flooded and partially impounded marshes located in Terrebonne, Barataria, and Pontchartrain basins. Storm tide data were collected at 6 hydrograph stations located in the vicinity of the sediment sampling sites. Significant sediment deposition and surface elevation changes were associated with the occurrence of storm tides both near and far (up to 130 km away) from the track of the storm. Short-term sediment deposition indicated an increase of up to 1–3 orders of magnitude compared to pre-storm rates. This increased rate remained high for up to 12 weeks, suggesting that material brought in by the storm was available for resuspension and deposition. But short-term sediment deposition decreased precipitously after passage of the first major cold front across Louisiana, suggesting that the sediment made available by the storm was removed or consolidated. The storm-associated sediments were characteristically coarser with lower organic matter content than the pre-storm marsh soils. Marsh vertical accretion and surface elevation change were enhanced on both semi-annual and annual time scales for all sites we studied. This single storm generated 2–6 cm more vertical accretion than occurred in either the year before or after the storm. Sediment was both introduced from outside the coastal marsh system and redistributed as the marsh substrate eroded. At shallow water sites, elevation increases were greater and were maintained near wave barriers constructed to baffle water movement while unprotected areas had smaller increases and quickly lost whatever gains had occurred. These findings indicate the potential importance of hurricanes in providing a pulse of sediment on a broad geographic scale to balance the effects of subsidence in this rapidly subsiding delta. These results further suggest that hurricanes play a large role in coastal marsh survival, particularly for marshes remote or isolated (i.e., impounded) from a riverine source of sediment.

Louisiana↗

Strong-motion data from the two Pingtung, Taiwan, earthquakes of 26 December 2006

1016 strong-motion records at 527 free-field stations and 131 records at 42 strong-motion arrays at buildings and bridges were obtained for the Pingtung earthquake doublet from the Taiwan Central Weather Bureau's dense, digital strong-motion network. We carried out standard processing of these strong-motion records at free-field stations. A data set, including the originally recorded files, processed data files, and supporting software and information, is archived online http:// tecdc.earth.sinica.edu.tw/data/EQ2006Pingtung/. We have not yet completed the processing of the strong-motion array data at buildings and bridges. However, some preliminary results and the strong-motion array data recorded at the second nearest instrumented building to the Pingtung earthquake doublet are shown. This paper is intended to document our data processing procedures and the online archived data files, so that researchers can efficiently use the data. We also include two preliminary analyses: (1) a comparison of ground motions recorded by multiple accelerographs at a common site, the TAP 117 station in Taipei, and (2) attenuation of the horizontal ground motions (peak acceleration and response spectra at periods of 0.2, 1.0, and 3.0 s) with respect to distance. Our comparison study of multiple recordings at TAP 117 indicates that waveform coherence among 20- and 24-bit accelerograph records is much higher as compared to records from 16-bit or 12-bit accelerographs, suggesting that the former are of better quality. For the 20- and 24-bit accelerographs, waveform coherence is nearly 1 over the frequency range 1 to 8 Hz for all components, and is greater than about 0.9 from 8 to 20 Hz for the horizontal component, but only from 8 to 12 Hz for the vertical component. Plots of pseudo-acceleration response spectra (PSA) as a function of distance, however, show no clear indication for a difference related to the performance level of the accelerographs. The ground-motions of the first event (Mw = 7.0) are comparable, or even somewhat lower, than those from the smaller second event (Mw = 6.9), consistent with the relative difference of the local magnitudes (ML = 6.96 and 6.99 for the first and second events, respectively). The ground motions from the first event are generally lower than those predicted from equations based on other in-slab subduction earthquakes, whereas the ground motions from the second event are closer to the predictions. Ground-motions for soil sites are generally larger than those from rock sites.

Terrestrial, Atmospheric and Oceanic Sciences↗

Functional group, biomass, and climate change effects on ecological drought in semiarid grasslands

Water relations in plant communities are influenced both by contrasting functional groups (grasses, shrubs) and by climate change via complex effects on interception, uptake and transpiration. We modelled the effects of functional group replacement and biomass increase, both of which can be outcomes of invasion and vegetation management, and climate change on ecological drought (soil water potential below which photosynthesis stops) in 340 semiarid grassland sites over 30‐year periods. Relative to control vegetation (climate and site‐determined mixes of functional groups), the frequency and duration of drought were increased by shrubs and decreased by annual grasses. The rankings of shrubs, control vegetation, and annual grasses in terms of drought effects were generally consistent in current and future climates, suggesting that current differences among functional groups on drought effects predict future differences. Climate change accompanied by experimentally‐increased biomass (i.e. the effects of invasions that increase community biomass, or management that increases productivity through fertilization or respite from grazing) increased drought frequency and duration, and advanced drought onset. Our results suggest that the replacement of perennial temperate semiarid grasslands by shrubs, or increased biomass, can increase ecological drought both in current and future climates.

Journal of Geophysical Research G: Biogeosciences↗

A process-model perspective on recent changes in the carbon cycle of North America

Continental North America has been found to be a carbon (C) sink over recent decades by multiple studies employing a variety of estimation approaches. However, several key questions and uncertainties remain with these assessments. Here we used results from an ensemble of 19 state-of-the-art dynamic global vegetation models from the TRENDYv9 project to improve these estimates and study the drivers of its interannual variability. Our results show that North America has been a C sink with a magnitude of 0.37 ± 0.38 (mean and one standard deviation) PgC year −1 for the period 2000–2019 (0.31 and 0.44 PgC year −1 in each decade); split into 0.18 ± 0.12 PgC year −1 in Canada (0.15 and 0.20), 0.16 ± 0.17 in the United States (0.14 and 0.17), 0.02 ± 0.05 PgC year −1 in Mexico (0.02 and 0.02) and 0.01 ± 0.02 in Central America and the Caribbean (0.01 and 0.01). About 57% of the new C assimilated by terrestrial ecosystems is allocated into vegetation, 30% into soils, and 13% into litter. Losses of C due to fire account for 41% of the interannual variability of the mean net biome productivity for all North America in the model ensemble. Finally, we show that drought years (e.g., 2002) have the potential to shift the region to a small net C source in the simulations (−0.02 ± 0.46 PgC year −1 ). Our results highlight the importance of identifying the major drivers of the interannual variability of the continental-scale land C cycle along with the spatial distribution of local sink-source dynamics.

Journal of Geophysical Research Biogeosciences↗

Stream corridor and upland sources of fluvial sediment and phosphorus from a mixed urban-agricultural tributary to the Great Lakes

Like many impaired Great Lakes tributaries, Apple Creek, Wisconsin (119 km 2 ) has Total Maximum Daily Load (TMDL) targets for reducing suspended sediment and total phosphorus by 51.2 % and 64.2 %, respectively. From August 2017 - October 2018, a stream sediment budget and fingerprinting integrated study was conducted to quantify upland and stream corridor sources of suspended sediment and sediment-bound phosphorus. Phosphorus concentrations varied among source groups and fluvial sediments, with higher concentrations among suspended sediment and cropland soils. Eroding streambanks identified in the stream corridor sediment budget accounted for 100 % of the TMDL Soil and Water Assessment Tool (SWAT) suspended sediment load but only 20 % of the total phosphorus load. Fine-grained streambed sediment equated to approximately-three years of modeled suspended sediment load but only one third of total phosphorus load. The two primary sources of fine-grained streambed sediment were streambanks and cropland, with relative streambank contributions increasing with downstream direction and watershed area. The relative proportion of suspended sediment varied by season and streamflow; however, cropland and streambank erosion accounted for 54 % and 23 % of the suspended sediment when weighted by of the proportion for representative streamflow. Urban land was a source in the upper watershed, but the signature was sequestered by a mid-watershed detention basin. Contributions from construction sites were higher in the fall 2018, likely corresponding to increased activity following a wet spring. These integrated techniques helped describe sources, transport, and sinks of fluvial sediment and phosphorus throughout the watershed at a range of spatial and temporal scales.

Wisconsin↗

How and why Upper Colorado River Basin land, water, and fire managers choose to use drought tools (or not)

On the Western Slope of Colorado, variable climate and precipitation conditions are typical. Periods of drought—which may be defined by lack of water, high temperatures, low soil moisture, or other indicators—cause a range of impacts across sectors, including water, land, and fire management. The Western Slope’s Upper Colorado River Basin (UCRB) was one of the first pilot areas in which the National Integrated Drought Information System (NIDIS) implemented a drought early warning system (DEWS) in 2009. NIDIS presently supports eight regional DEWS; as of 2016, the UCRB DEWS has been incorporated into an expanded Intermountain West (IMW) DEWS. The selection of the UCRB for an initial DEWS reflects the regional importance of drought information for managing water supply for agriculture and other uses, and the need for effective decision support related to drought. Additionally, new drought information products were developed specifically for the UCRB DEWS, and a number of others have been created since 2009, adding to the preexisting toolkit for drought decision making. The various elements of the UCRB drought early warning system can be expected to be more or less suitable for the needs of different decision makers. As a result, the UCRB makes an ideal case study to examine the use of scientific information products and tools in which the broad decision context (managing drought) is defined, but information needs of current and prospective users vary. Thus decision makers will make varied choices about which of the available tools to use or not use, depending on the particular management and institutional context in which they work. This report investigates the factors that affect the choices of decision makers about whether and how to use particular information sources, products, and tools. The investigation focused on the following research questions: What decisions do managers make related to drought in the Upper Colorado region and particularly the Western Slope of Colorado? About which impacts of drought are they most concerned? What indicators and information products do decision makers rely on to manage for the impacts of drought in this region? How do decision makers find out about and choose between available drought information sources, products, and tools? What gaps (if any) do they perceive in currently available drought information and tools? Studies of decision support tools or information sources often concentrate on the known users of a given tool(s). Such an approach can yield useful information; it provides rich insight into the experiences of users and can suggest design modifications to make existing tools more effective. Yet it is not an effective approach to capture the perspectives and needs of prospective tool users or to investigate the factors that affect whether or not someone chooses to use tools in the first place. To overcome this challenge, in this study the author instead used a geographically based sampling strategy in which a range of natural resource managers from preidentified Federal management units and selected State agencies on the Western Slope were considered prospective users of tools. Prospective users were then asked to describe in an open-ended fashion what information and tools they do or do not use and why. This approach allowed for respondents to report both use and nonuse of tools, and thus the ability to identify factors that influence information and tool use choices by managers.

Open-File Report↗

Regulation of landslide motion by dilatancy and pore pressure feedback

A new mathematical model clarifies how diverse styles and rates of landslide motion can result from regulation of Coulomb friction by dilation or contraction of water‐saturated basal shear zones. Normalization of the model equations shows that feedback due to coupling between landslide motion, shear zone volume change, and pore pressure change depends on a single dimensionless parameter α, which, in turn, depends on the dilatancy angle ψ and the intrinsic timescales for pore pressure generation and dissipation. If shear zone soil contracts during slope failure, then α < 0, and positive pore pressure feedback and runaway acceleration are inevitable. If the shear zone dilates, then α > 0, and negative feedback permits slow, steady landslide motion to occur while positive pore pressure is supplied by rain infiltration. Steady state slip velocities v 0 obey v 0 = −( K /ψ) p * e , where K is the hydraulic conductivity and p * e is the normalized (dimensionless) negative pore pressure generated by dilation. If rain infiltration and attendant pore pressure growth continue unabated, however, their influence ultimately overwhelms the stabilizing influence of negative p * e . Then, unbounded landslide acceleration occurs, accentuated by an instability that develops if ψ diminishes as landslide motion proceeds. Nonetheless, numerical solutions of the model equations show that slow, nearly steady motion of a clay‐rich landslide may persist for many months as a result of negative pore pressure feedback that regulates basal Coulomb friction. Similarly stabilized motion is less likely to occur in sand‐rich landslides that are characterized by weaker negative feedback.

Journal of Geophysical Research F: Earth Surface↗

Effect of height and orientation (microclimate) on geomorphic degradation rates and processes, late-glacial terrace scarps in central Idaho

Skip Nav Destination RESEARCH ARTICLE | JULY 01, 1986 Effect of height and orientation (microclimate) on geomorphic degradation rates and processes, late-glacial terrace scarps in central Idaho KENNETH L. PIERCE ; STEVEN M. COLMAN Author and Article Information GSA Bulletin (1986) 97 (7): 869–885. https://doi.org/10.1130/0016-7606(1986)97<869:EOHAOM>2.0.CO;2 Article history Standard View 2.0.CO;2" data-doctype="contentPdf" data-article-id="188507" data-mce-href="https://pubs.geoscienceworld.org/gsa/gsabulletin/article-pdf/97/7/869/3434736/i0016-7606-97-7-869.pdf"> Open the PDF for in another window Cite Share Icon Share Permissions Abstract Terrace scarps can serve as a nearly ideal natural laboratory for the study of the evolution of slopes. This paper examines the effects of scarp size (height) and orientation (microclimate) by keeping constant variables such as age, lithology, and regional climate. If a scarp degrades as a closed system, and downslope movement is directly proportional to surface gradient , the evolution of the scarp is modeled by the diffusion equation. For a group of scarps of same age and known starting angle, the diffusion-equation model predicts the relation between maximum scarp angle (𝛉) and scarp height ( h ). Late Pleistocene terrace scarps now as steep as 33.25°, as well as measured angles of repose for sand and gravel, require a starting angle as steep as 33.5°. For latest Pleistocene Idaho and Utah scarps, as h increases, 𝛉 is gentler (more degraded) than modeled by the diffusion equation with a constant rate coefficient. The degradation-rate coefficient ( c ) increases tenfold with scarp height; it should not change with scarp height if downslope movement is solely determined by surface gradient (to the first power). Soil wash appears to be responsible for this departure from the diffusion-equation model, for transport rate by soil wash is a function of scarp size (height). South-facing scarps are less vegetated and more degraded than north-facing scarps. For scarps 2 m high, the degradation rate ( c *) on S-facing scarps is 2 times that on N-facing scarps; for 10-m scarps, it is 5 times. The observed dependence of the rate coefficient c * on scarp height can be removed by normalizing c * to values for west-facing scarps of the same height. The residual c * values calculated by this method correlate well with differences in incident solar radiation resulting from the different scarp orientations and maximum gradients. This correlation demonstrates the importance of orientation on slope processes and their rates through the differences in freeze-thaw cycles, soil moisture, and vegetative cover. Scarp morphology may be used to estimate age, if one accounts for the effects of climate and for scarp height, orientation, and lithology. For example, using the dated Bonneville shoreline scarps for calibration and comparing only scarps of equal height, we estimate the Drum Mountains fault scarps to be 9,000 yr old. This age is about twice that produced by previous diffusion-equation calculations that have not accounted for the height as we have here, but it is the same as independent geologic estimates of their age.

Idaho↗

Site response in the Oklahoma region from seismic recordings of the 2011 Mw 5.7 Prague earthquake

We invert the shear-wave displacement spectra obtained from 30 three-component, broadband waveforms recorded within 300 km of the 6 November 2011 Mw 5.7 Prague, Oklahoma earthquake to recover the site-response contribution using an inversion method that simultaneously inverts for source, path, and site effects. Site-response functions identify resonant frequencies within a range of 0.1-10 Hz that generally coincide with spectral peaks in H/V curves derived from the recorded waveforms. S-wave velocity profiles available for several sites were also used to calculate theoretical SH transfer functions that predict the site amplification due to the near-surface soil structure down to depths of 30-50 m. These transfer functions are generally flat below about 8 Hz in the frequency range sampled by the spectral inversion process, indicating that the spectral peaks in the site response obtained from the waveform analysis result from deeper velocity variations. A 0.3-Hz spectral peak observed at several stations, for example, coincides with the strong, surface-wave amplitudes observed at 3s periods for induced M ≥ 3 earthquakes in Oklahoma and Kansas, suggesting that this resonant peak may be due to surface waves trapped in the upper sedimentary layer of the crust. Both shallow and deep contributions to the site response are important for the characterization of ground motion from Central and Eastern North America (CENA) earthquakes. We obtain a seismic moment of 4.32 × 1024 dyne-cm and a corner frequency of 0.229, consistent with the magnitude of the event. A frequency-dependent attenuation relation of Q(f)=1107f 0.398 consistent with prior measurements of path properties in CENA is also derived.

Oklahoma↗

Review of revised Klamath River Total Maximum Daily Load models from Link River Dam to Keno Dam, Oregon

Flow and water-quality models are being used to support the development of Total Maximum Daily Load (TMDL) plans for the Klamath River downstream of Upper Klamath Lake (UKL) in south-central Oregon. For riverine reaches, the RMA-2 and RMA-11 models were used, whereas the CE-QUAL-W2 model was used to simulate pooled reaches. The U.S. Geological Survey (USGS) was asked to review the most upstream of these models, from Link River Dam at the outlet of UKL downstream through the first pooled reach of the Klamath River from Lake Ewauna to Keno Dam. Previous versions of these models were reviewed in 2009 by USGS. Since that time, important revisions were made to correct several problems and address other issues. This review documents an assessment of the revised models, with emphasis on the model revisions and any remaining issues. The primary focus of this review is the 19.7-mile Lake Ewauna to Keno Dam reach of the Klamath River that was simulated with the CE-QUAL-W2 model. Water spends far more time in the Lake Ewauna to Keno Dam reach than in the 1-mile Link River reach that connects UKL to the Klamath River, and most of the critical reactions affecting water quality upstream of Keno Dam occur in that pooled reach. This model review includes assessments of years 2000 and 2002 current conditions scenarios, which were used to calibrate the model, as well as a natural conditions scenario that was used as the reference condition for the TMDL and was based on the 2000 flow conditions. The natural conditions scenario included the removal of Keno Dam, restoration of the Keno reef (a shallow spot that was removed when the dam was built), removal of all point-source inputs, and derivation of upstream boundary water-quality inputs from a previously developed UKL TMDL model. This review examined the details of the models, including model algorithms, parameter values, and boundary conditions; the review did not assess the draft Klamath River TMDL or the TMDL allocations. Attention to the details of a model is one of the best ways to identify potential problems, correct them if possible, and begin to assess the magnitude of potential model errors and uncertainty. Model users need to determine the level of acceptable uncertainty associated with their objectives, identify all sources of potential uncertainty (model uncertainty, data uncertainty, etc.), and assess their approach and results accordingly. In the draft Klamath River TMDL, the Oregon Department of Environmental Quality identified the upstream boundary conditions as the largest source of uncertainty for both the current and natural conditions scenarios, not the model algorithms or choice of model parameters. We agree that the upstream boundary conditions are one of the largest, if not the largest, source of model uncertainty; therefore, the derivation of upstream boundary conditions may be more important to the TMDL than some other model-related issues identified in this review. The revised models contain a number of changes, some of which were done to solve small problems and are largely inconsequential to model results, but others of which are important and affect model predictions of instream concentrations. A consistent version of the model is now applied to all scenarios, and an error in the source code was corrected that had inadvertently discarded 20 percent of the incoming solar radiation in the original model. The baseline light-extinction coefficient for water was decreased and set to a consistent and defensible value across all models of reservoir reaches. Inconsistencies among the values of certain parameters in the original models, such as the ammonia nitrification rate and the decomposition rates of organic matter, have been eliminated, although the reasoning behind the final selections was not documented. The dependence of the rate of sediment oxygen demand (SOD) on temperature was modified such that the SOD rate was substantially decreased at temperatures less than 20°C, causing the model to predict higher dissolved oxygen (DO) concentrations in spring, autumn, and winter. Although that change to the temperature dependence function was done to make the function more similar to the model’s default, this change was not accompanied by any documentation of recalibration or sensitivity exercises. The maximum SOD rate for the 2002 current conditions scenario was decreased from 3.0 grams per square meter per day (g/m 2 /d) in the original model to 2.0 g/m 2 /d in the revised model, a considerable adjustment that appears to have been needed to offset effects of a change to another variable (O2LIM) that would have resulted in a substantial increase in the effective SOD rate for 2002. A 50-percent decrease in the SOD rate over a 2-year period, however, is not likely to be mirrored by field measurements, so this change may be compensating for some process that is not represented correctly in the DO budget for the current conditions scenarios. Several important changes were made to the natural conditions scenario. First, the elevation of the Keno reef was corrected; the elevation specified in the original model was 1 foot too high, which affected the volume of the pooled reach and the travel time through it. The most important changes to this scenario were to the upstream boundary inputs of organic matter and algae, which affect incoming fluxes of nitrogen and phosphorus. Algal biomass inputs were increased by approximately 60 percent during summer because of a change in the way those inputs were derived from results of the UKL TMDL model. Non-algal organic matter inputs were decreased, particularly in summer to correct a problem attributed to double-counting of phosphorus in the original inputs. The distribution of non-algal organic matter was changed from 20 percent dissolved in the original model to 90 percent dissolved in the revised model in response to review comments and published data. The overall sum of algal biomass and non-living organic matter was decreased, which resulted in lower inputs of total phosphorus and nitrogen. Total phosphorus inputs were less than 0.03 mg/L, and although the inputs were derived from selected results of the UKL TMDL model, these concentrations seem too low to be representative of a historically eutrophic system surrounded by extensive wetlands, peat soils, and a groundwater system high in phosphorus. The draft TMDL states that the upstream boundary conditions are the greatest source of uncertainty, greater than any uncertainty associated with the models. Efforts to improve existing models of algal growth and nutrient cycling in UKL, therefore, would provide a substantial benefit to downstream modeling efforts on the Klamath River. Although many improvements were made in revising the Klamath River TMDL models, some issues and uncertainties remain. Several errors in the model source code remain, but do not affect model results for this application as long as certain options and rates are not changed; future users of these models should be aware of these issues. Although the distribution of dissolved and particulate organic matter was modified for the natural conditions scenario, that distribution was not changed for the current conditions scenarios. Recent data on that distribution and the likely rates of organic matter decomposition could be used to improve these models in the future. Nitrate predictions at Keno (Highway 66) still are too high for the current conditions scenarios; future efforts should re-evaluate the model’s denitrification rates and the release rate of ammonia from anoxic sediments. Possibly the most important of the remaining issues are tied to the two-state (healthy/unhealthy) hypothesis for the algae population that was coded into the model. Some of the rates and conversion functions could be refined to make them more acceptable; currently, the published literature does not support the concept of moderately low dissolved-oxygen concentrations as a stressor of algae in the ranges used by the model. More research is needed before these algorithms can be truly tested. The algorithms currently appear to help the model fit the patterns in the available data, and that is useful and perhaps sufficient for some purposes, but those algorithms are not truly predictive or reliable for certain purposes until they can be tested through well-designed experiments and research. In summary, the TMDL models used to simulate Link and Klamath Rivers from Link River Dam to Keno Dam were revised to fix several problems and address various issues. The resulting models are an improvement over those that were reviewed by USGS in 2009, and represent a useful advance in the simulation of a complex system that is difficult to model. However, several issues remain that cause increased uncertainty in the model results. Depending on the objectives of the modeling, now or in the future, these remaining issues could be more or less important. For the Klamath River TMDL, the upstream boundary conditions may be a larger source of uncertainty than the concerns with model algorithms and model parameters identified in this review. Efforts to re-evaluate the available models of algal growth and nutrient cycling in UKL would be highly beneficial to downstream modeling efforts in the Klamath River.

Oregon;California↗

Overview of the Opportunity Mars Exploration Rover Mission to Meridiani Planum: Eagle Crater to Purgatory Ripple

The Mars Exploration Rover Opportunity touched down at Meridiani Planum in January 2004 and since then has been conducting observations with the Athena science payload. The rover has traversed more than 5 km, carrying out the first outcrop‐scale investigation of sedimentary rocks on Mars. The rocks of Meridiani Planum are sandstones formed by eolian and aqueous reworking of sand grains that are composed of mixed fine‐grained siliciclastics and sulfates. The siliciclastic fraction was produced by chemical alteration of a precursor basalt. The sulfates are dominantly Mg‐sulfates and also include Ca‐sulfates and jarosite. The stratigraphic section observed to date is dominated by eolian bedforms, with subaqueous current ripples exposed near the top of the section. After deposition, interaction with groundwater produced a range of diagenetic features, notably the hematite‐rich concretions known as “blueberries.” The bedrock at Meridiani is highly friable and has undergone substantial erosion by wind‐transported basaltic sand. This sand, along with concretions and concretion fragments eroded from the rock, makes up a soil cover that thinly and discontinuously buries the bedrock. The soil surface exhibits both ancient and active wind ripples that record past and present wind directions. Loose rocks on the soil surface are rare and include both impact ejecta and meteorites. While Opportunity's results show that liquid water was once present at Meridiani Planum below and occasionally at the surface, the environmental conditions recorded were dominantly arid, acidic, and oxidizing and would have posed some significant challenges to the origin of life.

Journal of Geophysical Research E: Planets↗

First USGS urban seismic hazard maps predict the effects of soils

Probabilistic and scenario urban seismic hazard maps have been produced for Memphis, Shelby County, Tennessee covering a six-quadrangle area of the city. The nine probabilistic maps are for peak ground acceleration and 0.2 s and 1.0 s spectral acceleration and for 10%, 5%, and 2% probability of being exceeded in 50 years. Six scenario maps for these three ground motions have also been generated for both an M7.7 and M6.2 on the southwest arm of the New Madrid seismic zone ending at Marked Tree, Arkansas. All maps include the effect of local geology. Relative to the national seismic hazard maps, the effect of the thick sediments beneath Memphis is to decrease 0.2 s probabilistic ground motions by 0-30% and increase 1.0 s probabilistic ground motions by ???100%. Probabilistic peak ground accelerations remain at levels similar to the national maps, although the ground motion gradient across Shelby County is reduced and ground motions are more uniform within the county. The M7.7 scenario maps show ground motions similar to the 5%-in-50-year probabilistic maps. As an effect of local geology, both M7.7 and M6.2 scenario maps show a more uniform seismic ground-motion hazard across Shelby County than scenario maps with constant site conditions (i.e., NEHRP B/C boundary).

Seismological Research Letters↗

Impact of land use and land cover change on the water balance of a large agricultural watershed: Historical effects and future directions

Over the last century, land use and land cover (LULC) in the United States Corn Belt region shifted from mixed perennial and annual cropping systems to primarily annual crops. Historical LULC change impacted the annual water balance in many Midwestern basins by decreasing annual evapotranspiration (ET) and increasing streamflow and base flow. Recent expansion of the biofuel industry may lead to future LULC changes from increasing corn acreage and potential conversion of the industry to cellulosic bioenergy crops of warm or cool season grasses. In this paper, the Soil and Water Assessment Tool (SWAT) model was used to evaluate potential impacts from future LULC change on the annual and seasonal water balance of the Raccoon River watershed in west‐central Iowa. Three primary scenarios for LULC change and three scenario variants were evaluated, including an expansion of corn acreage in the watershed and two scenarios involving expansion of land using warm season and cool season grasses for ethanol biofuel. Modeling results were consistent with historical observations. Increased corn production will decrease annual ET and increase water yield and losses of nitrate, phosphorus, and sediment, whereas increasing perennialization will increase ET and decrease water yield and loss of nonpoint source pollutants. However, widespread tile drainage that exists today may limit the extent to which a mixed perennial‐annual land cover would ever resemble pre‐1940s hydrologic conditions. Study results indicate that future LULC change will affect the water balance of the watershed, with consequences largely dependent on the future LULC trajectory.

Water Resources Research↗

Contaminant exposure and potential effects on terrestrial vertebrates residing in the National Capital Region network and Mid-Atlantic network

Part of the mission of the National Park Service is to preserve the natural resources, processes, systems, and associated values of its units in an unimpaired condition. Environmental contamination and pollution processes are well recognized stressors addressed by its management policies and plans. A recent study indicates that contemporary terrestrial vertebrate ecotoxicological data are lacking for 59 of 126 Park Service units located in coastal watersheds exhibiting serious water quality problems or high vulnerability to pollution. Based upon these findings, a more in-depth evaluation of contaminant threats and ecotoxicological data gaps related to terrestrial vertebrates was undertaken at 23 Inventory and Monitoring National Park units in National Capital Region and Mid-Atlantic Networks. Ecotoxicological data were compiled for each park unit through literature searches and meetings with Park Service personnel. Information on contemporary and on persistent legacy pollutants in air, water, soil, and terrestrial vertebrates (amphibians, reptiles, birds and mammals) were evaluated. To identify contaminant threats in proximity to the 23 Park Service study units, data was gathered on National Priority List Superfund sites, Section 303(d) Impaired Waterbodies, the number and relative toxicity of current use pesticides and herbicides, Toxic Release Inventory sites and discharge of priority pollutants, and Fish Consumption Advisories. A metric was derived that described the quality and quantity of existing data for each park, and in combination with known contaminant threats, park units in need of additional study were identified. Results demonstrated that over half of the Park Service study units are near Toxic Release Inventory sites discharging dioxins, polychlorinated biphenyls, lead or mercury into air or water, and fish consumption advisories are in effect at or near 22 of the 23 study units. Pesticide and herbicide use at the park units is minimal, with the exception of those units with significant agricultural leases. Despite highly regulated use, many of the pesticides and herbicides applied are believed to be highly toxic to amphibians, and some of the compounds are also highly toxic to birds. Only 70 reports were found that describe terrestrial vertebrate ecotoxicology data on or near the study units. Of the greater than 75,000 compounds in commerce in the United States, existing terrestrial vertebrate exposure and effects data in the pr esent study were limited to 58 legacy organochlorine pesticides, polychlorinated biphenyls and individual congeners, insecticides and rodenticides, metals, and some contemporary compounds (e.g., polybrominated diphenyl ether flame retardants, and alkylphenol and ethoxylate surfactants). Based upon these and other findings, ecotoxicological monitoring and research investigations of terrestrial vertebrates are warranted at several National Parks. These include Shenandoah National Park, Richmond National Battlefield, Chesapeake & Ohio Canal National Historic Park, Valley Forge National Historic Park, Hopewell Furnace National Historic Site, Monocacy National Battlefield, and Harpers Ferry National Historic Park. The types of investigations vary according to the species present at these parks and potential contaminant threats, but should focus on contemporary use pesticides and herbicides, polychlorinated biphenyls, mercury, lead, and perhaps, emerging contaminants including antibiotics, flame retardants, pharmaceuticals, and surfactants. Other management recommendations include additional training for natural resource staff members in the area of ecotoxicology, inclusion of terrestrial vertebrate contaminant monitoring and the Contaminant Assessment Process (U.S. Geological Survey Biomonitoring of Environmental Status and Trends Project) into the National Park Service Vital Signs Program, development of protocols for hand ling and toxicological analysis of dead or seemingly affected wildlife, consideration of some alternative methods and compounds for pest management and weed control, and use of non-toxic fishing tackle by visitors.

Maryland, Pennsylvania, Virginia↗

Volatile emissions and gas geochemistry of Hot Spring Basin, Yellowstone National Park, USA

We characterize and quantify volatile emissions at Hot Spring Basin (HSB), a large acid-sulfate region that lies just outside the northeastern edge of the 640 ka Yellowstone Caldera. Relative to other thermal areas in Yellowstone, HSB gases are rich in He and H2, and mildly enriched in CH4 and H2S. Gas compositions are consistent with boiling directly off a deep geothermal liquid at depth as it migrates toward the surface. This fluid, and the gases evolved from it, carries geochemical signatures of magmatic volatiles and water-rock reactions with multiple crustal sources, including limestones or quartz-rich sediments with low K/U (or 40*Ar/4*He). Variations in gas chemistry across the region reflect reservoir heterogeneity and variable degrees of boiling. Gas-geothermometer temperatures approach 300 C and suggest that the reservoir feeding HSB is one of the hottest at Yellowstone. Diffuse CO2 flux in the western basin of HSB, as measured by accumulation-chamber methods, is similar in magnitude to other acid-sulfate areas of Yellowstone and is well correlated to shallow soil temperatures. The extrapolation of diffuse CO2 fluxes across all the thermal/altered area suggests that 410 ?? 140??t d- 1 CO2 are emitted at HSB (vent emissions not included). Diffuse fluxes of H2S were measured in Yellowstone for the first time and likely exceed 2.4 t d- 1 at HSB. Comparing estimates of the total estimated diffuse H2S emission to the amount of sulfur as SO42- in streams indicates ~ 50% of the original H2S in the gas emission is lost into shallow groundwater, precipitated as native sulfur, or vented through fumaroles. We estimate the heat output of HSB as ~ 140-370 MW using CO2 as a tracer for steam condensate, but not including the contribution from fumaroles and hydrothermal vents. Overall, the diffuse heat and volatile fluxes of HSB are as great as some active volcanoes, but they are a small fraction (1-3% for CO2, 2-8% for heat) of that estimated for the entire Yellowstone system.

Journal of Volcanology and Geothermal Research↗

Sources and physical processes responsible for OH/H2O in the lunarsoil as revealed by the Moon Mineralogy Mapper (M3)

Analysis of two absorption features near 3 μ m in the lunar reflectance spectrum, observed by the orbiting M 3 spectrometer and interpreted as being due to OH and H 2 O, is presented, and the results are used to discuss the processes producing these molecules. This analysis focuses on the dependence of the absorptions on lunar physical properties, including composition, illumination, latitude, and temperature. Solar wind proton-induced hydroxylation is proposed as the creation process, and its products could be a source for other reported types of hydrogen-rich material and water. The irregular and damaged fine-grained lunar soil seems especially adapted for trapping solar wind protons and forming OH owing to abundant dangling oxygen bonds. The M 3 data reveal that the strengths of the two absorptions are correlated and widespread, and both are correlated with lunar composition but in different ways. Feldspathic material seems richer in OH. These results seem to rule out water from the lunar interior and cometary infall as major sources. There appear to be correlations of apparent band strengths with time of day and lighting conditions. However, thermal emission from the Moon reduces the apparent strengths of the M 3 absorptions, and its removal is not yet completely successful. Further, many of the lunar physical properties are themselves intercorrelated, and so separating these dependencies on the absorptions is difficult, due to the incomplete M 3 data set. This process should also operate on other airless silicate surfaces, such as Mercury and Vesta, which will be visited by the Dawn spacecraft in mid-2011.

Journal of Geophysical Research E: Planets↗

Radiative transfer modeling of dust-coated Pancam calibration target materials: Laboratory visible/near-infrared spectrogoniometry

Laboratory visible/near-infrared multispectral observations of Mars Exploration Rover Pancam calibration target materials coated with different thicknesses of Mars spectral analog dust were acquired under variable illumination geometries using the Bloomsburg University Goniometer. The data were fit with a two-layer radiative transfer model that combines a Hapke formulation for the dust with measured values of the substrate interpolated using a He-Torrance approach. We first determined the single-scattering albedo, phase function, opposition effect width, and amplitude for the dust using the entire data set (six coating thicknesses, three substrates, four wavelengths, and phase angles 3??-117??). The dust exhibited single-scattering albedo values similar to other Mars analog soils and to Mars Pathfinder dust and a dominantly forward scattering behavior whose scattering lobe became narrower at longer wavelengths. Opacity values for each dust thickness corresponded well to those predicted from the particles sizes of the Mars analog dust. We then restricted the number of substrates, dust thicknesses, and incidence angles input to the model. The results suggest that the dust properties are best characterized when using substrates whose reflectances are brighter and darker than those of the deposited dust and data that span a wide range of dust thicknesses. The model also determined the dust photometric properties relatively well despite limitations placed on the range of incidence angles. The model presented here will help determine the photometric properties of dust deposited on the MER rovers and to track the multiple episodes of dust deposition and erosion that have occurred at both landing sites. Copyright 2006 by the American Geophysical Union.

Journal of Geophysical Research E: Planets↗