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Estimating the magnitude of decline of the Florida torreya ( Torreya taxifolia Arn.)

Torreya taxifolia is a coniferous tree that is endemic to the 35 km stretch of bluffs and ravines along the east side of the Apalachicola River in northern Florida and adjacent southern Georgia. This formerly locally abundant tree declined during the 1950s and 1960s as a result of disease and is currently on the US Endangered Species list. For sparsely distributed species it can often be difficult to determine both current and historic population sizes. Historical descriptions of the distribution (203 km 2 ) and relative abundance (14.2% of dominant ravine trees) of T. taxifolia are used along with current measures of forest structure to estimate the pre-decline population density (30 trees/ha) and size (∼0.3–0.65 million individuals). Survey information from five extant stands is used to estimate current population size (∼500–4000 individuals). The surveys were conducted in areas with known high tree densities such that a simple extrapolation to the entire distribution would produce a gross over-estimate of population size. We therefore use a variety of assumptions to produce a range of estimates for total population sizes. Regardless of the particular model, our estimates suggest that T. taxifolia has lost at least 98.5% of its total population size since the early 1900s. We discuss these results in relation to the potential difficulties likely of restoring sustainable populations of this species.

Biological Conservation↗

Kinetics of the coesite to quartz transformation

The survival of coesite in ultrahigh-pressure (UHP) rocks has important implications for the exhumation of subducted crustal rocks. We have conducted experiments to study the mechanism and rate of the coesite→quartz transformation using polycrystalline coesite aggregates, fabricated by devitrifying silica glass cylinders containing 2850 H/10 6 Si at 1000°C and 3.6 GPa for 24 h. Conditions were adjusted following synthesis to transform the samples at 700–1000°C at pressures 190–410 MPa below the quartz–coesite equilibrium boundary. Reaction proceeds via grain-boundary nucleation and interface-controlled growth, with characteristic reaction textures remarkably similar to those seen in natural UHP rocks. We infer that the experimental reaction mechanism is identical to that in nature, a prerequisite for reliable extrapolation of the rate data. Growth rates obtained by direct measurement differ by up to two orders of magnitude from those estimated by fitting a rate equation to the transformation–time data. Fitting the rates to Turnbull's equation for growth therefore yields two distinct sets of parameters with similar activation energies (242 or 269 kJ/mol) but significantly different pre-exponential constants. Extrapolation based on either set of growth rates suggests that coesite should not be preserved on geologic time scales if it reaches the quartz stability field at temperatures above 375–400°C. The survival of coesite has previously been linked to its inclusion in strong phases, such as garnet, that can sustain a high internal pressure during decompression. Other factors that may play a crucial role in preservation are low fluid availability — possibly even less than that of our nominally “dry” experiments — and the development of transformation stress, which inhibits nucleation and growth. These issues are discussed in the context of our experiments as well as recent observations from natural rocks.

Earth and Planetary Science Letters↗

Eutrophication and carbon sources in Chesapeake Bay over the last 2700 yr: Human impacts in context

To compare natural variability and trends in a developed estuary with human-influenced patterns, stable isotope ratios (δ 13 C and δ 15 N) were measured in sediments from five piston cores collected in Chesapeake Bay. Mixing of terrestrial and algal carbon sources primarily controls patterns of δ 13 C org profiles, so this proxy shows changes in estuary productivity and in delivery of terrestrial carbon to the bay. Analyses of δ 15 N show periods when oxygen depletion allowed intense denitrification and nutrient recycling to develop in the seasonally stratified water column, in addition to recycling taking place in surficial sediments. These conditions produced 15 N-enriched (heavy) nitrogen in algal biomass, and ultimately in sediment. A pronounced increasing trend in δ 15 N of +4‰ started in about A.D. 1750 to 1800 at all core sites, indicating greater eutrophication in the bay and summer oxygen depletion since that time. The timing of the change correlates with the advent of widespread land clearing and tillage in the watershed, and associated increases in erosion and sedimentation. Isotope data show that the region has experienced up to 13 wet-dry cycles in the last 2700 yr. Relative sea-level rise and basin infilling have produced a net freshening trend overprinted with cyclic climatic variability. Isotope data also constrain the relative position of the spring productivity maximum in Chesapeake Bay and distinguish local anomalies from sustained changes impacting large regions of the bay. This approach to reconstructing environmental history should be generally applicable to studies of other estuaries and coastal embayments impacted by watershed development.

Chesapeake Bay↗

Dissolved sulfide distributions in the water column and sediment pore waters of the Santa Barbara Basin

Dissolved sulfide concentrations in the water column and in sediment pore waters were measured by square-wave voltammetry (nanomolar detection limit) during three cruises to the Santa Barbara Basin in February 1995, November–December 1995, and April 1997. In the water column, sulfide concentrations measured outside the basin averaged 3 ± 1 nM ( n = 28) in the 0 to 600 m depth range. Inside the basin, dissolved sulfides increased to reach values of up to 15 nM at depths >400 m. A suite of box cores and multicores collected at four sites along the northeastern flank of the basin showed considerable range in surficial (<0.5 cm) pore-water sulfide concentrations: <0.008, 0.01, 0.02, to as much as 0.4 μM at the 340, 430, 550, and 590 m sites, respectively. At a core depth of 10 cm, however, pore–water sulfides exhibited an even wider range: 0.005, 0.05, 0.1, and 100 μM at the same sites, respectively. The sulfide flux into the deep basin, estimated from water-column profiles during three cruises, suggests a fairly consistent input of 100–300 nmole m −2 h −1 . In contrast, sulfide fluxes estimated from pore-water sulfide gradients at the sediment water interface were much more variable (−4 to 13,000 nmole m −2 h −1 ). Dissolved silicate profiles show clear indications of irrigation at shallow sites (340 and 430 m) in comparison to deeper basin sites (550 and 590 m) with low (<10 μM) bottom-water dissolved-oxygen concentrations. Pore-water profiles indicate ammonia generation at all sites, but particularly at the deep-basin 590 m site with concentrations increasing with sediment depth to >400 μM at 10 cm. Decreases in water-column nitrate below the sill depth indicate nitrate consumption (−55 to −137 μmole m −2 h −1 ) similar to nearby Santa Monica Basin. Peaks in pore-water iron concentrations were generally observed between 2 and 5 cm depth with shallowest peaks at the 590 m site. These observations, including observations of the benthic microfauna, suggest that the extent to which the sulfide flux, sustained by elevated pore-water concentrations, reaches the water column may be modulated by the abundance of sulfide-oxidizing bacteria in addition to iron redox and precipitation reactions.

Geochimica et Cosmochimica Acta↗

Effect of flood-induced chemical load on filtrate quality at bank filtration sites

Riparian municipal wells, that are located on riverbanks, are specifically designed to capture a portion of the river water through induced infiltration. Runoff from agricultural watersheds is found to carry enormous amounts of pesticides and nitrate. While the risk of contamination for a vast majority of sites with small-capacity vertical wells is low, potential exists for medium to large capacity collector wells to capture a fraction of the surface water contaminants during flood. Prior monitoring and current modeling results indicate that a small-capacity (peak pumpage 0.0315 m3/s) vertical bank filtration well may not be affected by river water nitrate and atrazine even during flood periods. For a medium capacity (0.0875-0.175 m3/s) hypothetical collector well at the same site, potential exists for a portion of the river water nitrate and atrazine to enter the well during flood periods. Various combinations of hydraulic conductivity of the riverbed or bank material were used. For nitrate, it was assumed either no denitrification occurred during the period of simulation or a half-life of 2 years. Equilibrium controlled sorption (organic carbon partition coefficient of 52 ml/g) and a half-life of between 7.5 and 15 weeks were considered for atrazine. Combinations of these parameters were used in various simulations. Peak concentrations of atrazine or nitrate in pumped water could vary from less than 1% to as high as 90% of that in the river. It was found that a combination of river stage, pumping rates, hydraulic properties of the riverbed and bank, and soil/pesticide properties could affect contaminant entry from river water to any of these wells. If the hydraulic conductivity of the bed and bank material were low, atrazine would not reach the pumping well with or without sorption and degradation. However, for moderately low permeable bank and bed materials, some atrazine from river water could enter a hypothetical collector well while pumping at 0.0875 m3/s. It was interesting to note that doubling the pumpage of this collector well would bring in more ground water from the aquifer (with no atrazine) and thus have a lower concentration of atrazine in the filtrate. For highly conductive banks, it is possible to find some atrazine at a vertical well for a sustained pumpage rate of 0.0125 m3/s if the effect of sorption is neglected. However, with equilibrium sorption, the concentration would be below the detection limit. On the other hand, if a collector well of capacity 0.0875 m3/s is used at the place of the vertical well with highly conductive banks, atrazine concentration in the filtrate would be about 80% of river water even assuming equilibrium sorption and a half-life of 7.5 weeks. Remediation of river water contamination of the aquifer using 'scavenger' wells between the river and the pumping well(s) was not a feasible option due to the contact of the aquifer with a highly conductive bank at the site. However, moving the existing pumping well(s) 100 m upstream would have negligible impact from the bank-stored water. ?? 2002 Elsevier Science B.V. All rights reserved.

Journal of Hydrology↗

A topological system for delineation and codification of the Earth's river basins

A comprehensive reference system for the Earth's river basins is proposed as a support to fiver basin management, global change research, and the pursuit of sustainable development. A natural system for delineation and codification of basins is presented which is based upon topographic control and the topology of the fiver network. These characteristics make the system well suited for implementation and use with digital elevation models (DEMs) and geographic information systems. A demonstration of these traits is made with the 30-arcsecond GTOPO30 DEM for North America. The system has additional appeal owing to its economy of digits and the topological information that they carry. This is illustrated through presentation of comparisons with USGS hydrologic unit codes and demonstration of the use of code numbers to reveal dependence or independence of water use activities within a basin.

Journal of Hydrology↗

Outbreeding depression in hybrids between odd-and even-broodyear pink salmon

Fewer F 2 hybrids between even- and odd-broodline pink salmon ( Oncorhynchus gorbuscha ), which are lines that are genetically isolated by their strict two-year life cycle, survived than did F 2 controls, indicating outbreeding depression. Cryopreserved sperm of 40 broodyear 1990 males and of 40 broodyear 1991 males fertilized equal subsamples of eggs from 40 broodyear 1992 females. Return rates of F 1 hybrids (1.73%) and controls (1.63%) in 1994 did not differ significantly ( P =0.30). F 2 hybrid and control crosses were made from 40 males and 40 females selected at random from each return group. Offspring were differentially marked and released. In 1996, returns differed significantly ( P =0.011) between hybrids ( n =34, 0.34%) and controls ( n =44, 0.42%). The low rate of return of the control fish was similar to the measured return of a much larger group of tagged Auke Creek pink salmon, and probably not an artifact of the experiment. Although no increase in fluctuating asymmetry of paired meristic counts was observed in either F 1 or F 2 hybrids, size and some meristic counts of hybrids exceed measurements of controls, suggesting heterosis for those traits. The observations of decreased survival in F 2 hybrids confirm previous work [Gharrett, A.J., Smoker, W.W., 1991. Two generations of hybrids between even- and odd-year pink salmon ( O. gorbuscha ). Canadian Journal of Fisheries and Aquatic Science 48(9) 1744–1749]. Although genetic divergence between pink salmon broodlines is large and outbreeding depression might be expected in such unlikely hybrids, the results document the occurrence of outbreeding depression in salmon and signal caution in making management and aquacultural decisions that may create the possibility of outbreeding depression in self-sustaining or cultured populations.

Aquaculture↗

An evaluation of the effects of conservation and fishery enhancement hatcheries on wild populations of salmon

The historical, political and scientific aspects of salmon hatchery programmes designed to enhance fishery production, or to recover endangered populations, are reviewed. We start by pointing out that the establishment of hatcheries has been a political response to societal demands for harvest and conservation; given this social context, we then critically examined the levels of activity, the biological risks, and the economic analysis associated with salmon hatchery programmes. A rigorous analysis of the impacts of hatchery programmes was hindered by the lack of standardized data on release sizes and survival rates at all ecological scales, and since hatchery programme objectives are rarely defined, it was also difficult to measure their effectiveness at meeting release objectives. Debates on the genetic effects of hatchery programmes on wild fish have been dominated by whether correct management practices can reduce negative outcomes, but we noted that there has been an absence of programmatic research approaches addressing this important issue. Competitive interactions between hatchery and wild fish were observed to be complex, but studies researching approaches to reduce these interactions at all ecological scales during the entire salmon life history have been rare, and thus are not typically considered in hatchery management. Harvesting of salmon released from fishery enhancement hatcheries likely impacts vulnerable wild populations; managers have responded to this problem by mass marking hatchery fish, so that fishing effort can be directed towards hatchery populations. However, we noted that the effectiveness of this approach is dependant on accurate marking and production of hatchery fish with high survival rates, and it is not yet clear whether selective fishing will prevent overharvest of wild populations. Finally, research demonstrating disease transmission from hatchery fish to wild populations was observed to be equivocal; evidence in this area has been constrained by the lack of effective approaches to studying the fate of pathogens in the wild. We then reviewed several approaches to studying the economic consequences of hatchery activities intended to inform the social decisions surrounding programmes, but recognized that placing monetary value on conservation efforts or on hatcheries that mitigate cultural groups’ loss of historical harvest opportunities may complicate these analyses. We noted that economic issues have rarely been included in decision making on hatchery programmes. We end by identifying existing major knowledge gaps, which, if filled, could contribute towards a fuller understanding of the role that hatchery programmes could play in meeting divergent goals. However, we also recognized that many management recommendations arising from such research may involve trade-offs between different risks, and that decisions about these trade-offs must occur within a social context. Hatcheries have played an important role in sustaining some highly endangered populations, and it is possible that reform of practices will lead to an increase in the number of successful programmes. However, a serious appraisal of the role of hatcheries in meeting broader needs is urgently warranted and should take place at the scientific, but more effectively, at the societal level.

Advances in Marine Biology↗

Toward the use of remote sensing and other data to delineate functional types in terrestrial and aquatic systems

This chapter discusses the role that remotely sensed data play in improving the ability to document the distribution of global land cover types. If the relationships between the cover types and trace gas fluxes can be determined, then the dynamics of these fluxes can be established. The chapter discusses important aquatic systems—such as wetlands—and the land–water interface. Researchers have a wide variety of options available to utilize the remotely sensed data for the scaling of trace gas fluxes between terrestrial and aquatic ecosystems and the atmosphere. An important application of remote sensing for improving the understanding of trace gas fluxes is the classification of land cover types. Remote sensing is a powerful tool for the collection of environmental data. When combined with other more conventional data, they can be analyzed to extract a wide variety of environmental themes. Models can be developed for improving the fundamental understanding of the dynamics of complex interconnected systems that support and sustain life on earth.

Book chapter↗

Preface paper to the Semi-Arid Land-Surface-Atmosphere (SALSA) Program special issue

The Semi-Arid Land-Surface-Atmosphere Program (SALSA) is a multi-agency, multi-national research effort that seeks to evaluate the consequences of natural and human-induced environmental change in semi-arid regions. The ultimate goal of SALSA is to advance scientific understanding of the semi-arid portion of the hydrosphere-biosphere interface in order to provide reliable information for environmental decision making. SALSA approaches this goal through a program of long-term, integrated observations, process research, modeling, assessment, and information management that is sustained by cooperation among scientists and information users. In this preface to the SALSA special issue, general program background information and the critical nature of semi-arid regions is presented. A brief description of the Upper San Pedro River Basin, the initial location for focused SALSA research follows. Several overarching research objectives under which much of the interdisciplinary research contained in the special issue was undertaken are discussed. Principal methods, primary research sites and data collection used by numerous investigators during 1997-1999 are then presented. Scientists from about 20 US, five European (four French and one Dutch), and three Mexican agencies and institutions have collaborated closely to make the research leading to this special issue a reality. The SALSA Program has served as a model of interagency cooperation by breaking new ground in the approach to large scale interdisciplinary science with relatively limited resources.

Conference Paper↗

Fluvial sediment transport and deposition following the 1991 eruption of Mount Pinatubo

The 1991 eruption of Mount Pinatubo generated extreme sediment yields from watersheds heavily impacted by pyroclastic flows. Bedload sampling in the Pasig-Potrero River, one of the most heavily impacted rivers, revealed negligible critical shear stress and very high transport rates that reflected an essentially unlimited sediment supply and the enhanced mobility of particles moving over a smooth, fine-grained bed. Dimensionless bedload transport rates in the Pasig-Potrero River differed substantially from those previously reported for rivers in temperate regions for the same dimensionless shear stress, but were similar to rates identified in rivers on other volcanoes and ephemeral streams in arid environments. The similarity between volcanically disturbed and arid rivers appears to arise from the lack of an armored bed surface due to very high relative sediment supply; in arid rivers, this is attributed to a flashy hydrograph, whereas volcanically disturbed rivers lack armoring due to sustained high rates of sediment delivery. This work suggests that the increases in sediment supply accompanying massive disturbance induce morphologic and hydrologic changes that temporarily enhance transport efficiency until the watershed recovers and sediment supply is reduced. ?? 2002 Elsevier Science B.V. All rights reserved.

Geomorphology↗

Nitrogen and phosphorus transport between Fourleague Bay, LA, and the Gulf of Mexico: The role of winter cold fronts and Atchafalaya River discharge

Nutrient fluxes were measured between Fourleague Bay, a shallow Louisiana estuary, and the Gulf of Mexico every 3 h between February 1 and April 30, 1994 to determine how high velocity winds associated with cold fronts and peak Atchafalaya River discharge influenced transport. Net water fluxes were ebb-dominated throughout the study because of wind forcing and high volumes of water entering the northern Bay from the Atchafalaya River. Flushing time of the Bay averaged <8 days; however, more rapid flushing occurred in response to northerly winds with approximately 56% of the volume of the Bay exported to the Gulf in 1 day during the strongest flushing event. Higher nitrate + nitrite (NO2+ NO3), total nitrogen (TN), and total phosphorus (TP) concentrations were indicative of Atchafalaya River input and fluxes were greater when influenced by high velocity northerly winds associated with frontal passage. Net exports of NO2 + NO3, TN, and TP were 43.5, 98.5, and 13.6 g s-1, respectively, for the 89-day study. An average of 10.6 g s-1 of ammonium (NH4) was exported to the Gulf over the study; however, concentrations were lower when associated with riverine influence and wind-driven exports suggesting the importance of biological processes. Phosphate (PO4) fluxes were nearly balanced over the study with fairly stable concentrations indicating a well-buffered system. The results indicate that the high energy subsidy provided by natural pulsing events such as atmospheric cold fronts and seasonal river discharge are efficient mechanisms of nutrient delivery to adjacent wetlands and nearshore coastal ecosystems and are important in maintaining coastal sustainability. ?? 2003 Elsevier Ltd. All rights reserved.

Estuarine, Coastal and Shelf Science↗

The effects of global climate change on seagrasses

The increasing rate of global climate change seen in this century, and predicted to accelerate into the next, will significantly impact the Earth's oceans. In this review, we examine previously published seagrass research through a lens of global climate change in order to consider the potential effects on the world's seagrasses. A primary effect of increased global temperature on seagrasses will be the alteration of growth rates and other physiological functions of the plants themselves. The distribution of seagrasses will shift as a result of increased temperature stress and changes in the patterns of sexual reproduction. Indirect temperature effects may include plant community changes as a result of increased eutrophication and changes in the frequency and intensity of extreme weather events. The direct effects of sea level rise on the coastal oceans will be to increase water depths, change tidal variation (both mean tide level and tidal prism), alter water movement, and increase seawater intrusion into estuaries and rivers. A major impact of all these changes on seagrasses and tidal freshwater plants will be a redistribution of existing habitats. The intrusion of ocean water into formerly fresh or brackish water areas will directly affect estuarine plant distribution by changing conditions at specific locations, causing some plants to relocate in order to stay within their tolerance zones and allowing others to expand their distribution inland. Distribution changes will result from the effects of salinity change on seed germination, propagule formation, photosynthesis, growth and biomass. Also, some plant communities may decline or be eliminated as a result of increased disease activity under more highly saline conditions. Increased water depth, which reduces the amount of light reaching existing seagrass beds, will directly reduce plant productivity where plants are light limited. Likewise, increases in water motion and tidal circulation will decrease the amount of light reaching the plants by increasing turbidity or by stimulating the growth of epiphytes. Increasing atmospheric carbon dioxide will directly elevate the amount of CO 2 in coastal waters. In areas where seagrasses are carbon limited, this may increase primary production, although whether this increase will be sustained with long-term CO 2 enrichment is uncertain. The impact of increases in CO 2 will vary with species and environmental circumstances, but will likely include species distribution by altering the competition between seagrass species as well as between seagrass and algal populations. The reaction of seagrasses to UV-B radiation may range from inhibition of photosynthetic activity, as seen for terrestrial plants and marine algae, to the increased metabolic cost of producing UV-B blocking compounds within plant tissue. The effects of UV-B radiation will likely be greatest in the tropics and in southern oceans. There is every reason to believe that, as with the predicted terrestrial effects of global climate change, impacts to seagrasses will be great. The changes that will occur in seagrass communities are difficult to predict; our assessment clearly points out the need for research directed toward the impact of global climate change on seagrasses.

Aquatic Botany↗

Temporal and spectral characteristics of seismicity observed at Popocatepetl volcano, central Mexico

Popocatepetl volcano entered an eruptive phase from December 21, 1994 to March 30, 1995, which was characterized by ash and fumarolic emissions. During this eruptive episode, the observed seismicity consisted of volcano-tectonic (VT) events, long-period (LP) events and sustained tremor. Before the initial eruption on December 21, VT seismicity exhibited no increase in number until a swarm of VT earthquakes was observed at 01:31 hours local time. Visual observations of the eruption occurred at dawn the next morning. LP activity increased from an average of 7 events a day in October 1994 to 22 events per day in December 1994. At the onset of the eruption, LP activity peaked at 49 events per day. LP activity declined until mid-January 1995 when no events were observed. Tremor was first observed about one day after the initial eruption and averaged 10 h per episode. By late February 1995, tremor episodes became more intermittent, lasting less than 5 min, and the number of LP events returned to pre-eruption levels (7 events per day). Using a spectral ratio technique, low-frequency oceanic microseismic noise with a predominant peak around 7 s was removed from the broadband seismic signal of tremor and LP events. Stacks of corrected tremor episodes and LP events show that both tremor and LP events contain similar frequency features with major peaks around 1.4 Hz. Frequency analyses of LP events and tremor suggest a shallow extended source with similar radiation pattern characteristics. The distribution of VT events (between 2.5 and 10 km) also points to a shallow source of the tremor and LP events located in the first 2500 m beneath the crater. Under the assumption that the frequency characteristics of the signals are representative of an oscillator we used a fluid-filled-crack model to infer the length of the resonator.

Journal of Volcanology and Geothermal Research↗

Wavefield properties of a shallow long-period event and tremor at Kilauea Volcano, Hawaii

The wavefields of tremor and a long-period (LP) event associated with the ongoing eruptive activity at Kilauea Volcano, Hawaii, are investigated using a combination of dense small-aperture (300 m) and sparse large-aperture (5 km) arrays deployed in the vicinity of the summit caldera. Measurements of azimuth and slowness for tremor recorded on the small-aperture array indicate a bimodal nature of the observed wavefield. At frequencies below 2 Hz, the wavefield is dominated by body waves impinging the array with steep incidence. These arrivals are attributed to the oceanic microseismic noise. In the 2-6 Hz band, the wavefield is dominated by waves propagating from sources located at shallow depths (<1 km) beneath the eastern edge of the Halemaumau pit crater. The hypocenter of the LP event, determined from frequency-slowness analyses combined with phase picks, appears to be located close to the source of tremor but at a shallower depth (<0.1 km). The wavefields of tremor and LP event are characterized by a complex composition of body and surface waves, whose propagation and polarization properties are strongly affected by topographic and structural features in the summit caldera region. Analyses of the directional properties of the wavefield in the 2-6 Hz band point to the directions of main scattering sources, which are consistent with pronounced velocity contrasts imaged in a high-resolution three-dimensional velocity model of the caldera region. The frequency and Q of the dominant peak observed in the spectra of the LP event may be explained as the dominant oscillation mode of a crack with scale length 20-100 m and aperture of a few centimeters filled with bubbly water. The mechanism driving the shallow tremor appears to be consistent with a sustained excitation originating in the oscillations of a bubbly cloud resulting from vesiculation and degassing in the magma. ?? 2001 Elsevier Science B.V. All rights reserved.

Journal of Volcanology and Geothermal Research↗

Tracing and quantifying magmatic carbon discharge in cold groundwaters: Lessons learned from Mammoth Mountain, USA

A major campaign to quantify the magmatic carbon discharge in cold groundwaters around Mammoth Mountain volcano in eastern California was carried out from 1996 to 1999. The total water flow from all sampled cold springs was ??? 1.8 ?? 107 m3/yr draining an area that receives an estimated 2.5 ?? 107 m3/yr of recharge, suggesting that sample coverage of the groundwater system was essentially complete. Some of the waters contain magmatic helium with 3He/4He ratios as high as 4.5 times the atmospheric ratio, and a magmatic component in the dissolved inorganic carbon (DIC) can be identified in virtually every feature sampled. Many waters have a 14C of 0-5 pmC, a ??13C near -5???, and contain high concentrations (20-50 mmol/1) of CO2(aq); but are otherwise dilute (specific conductance = 100-300 ??S/cm) with low pH values between 5 and 6. Such waters have previously escaped notice at Mammoth Mountain, and possibly at many other volcanoes, because CO2 is rapidly lost to the air as the water flows away from the springs, leaving neutral pH waters containing only 1-3 mmol/1 HCO-3. The total discharge of magmatic carbon in the cold groundwater system at Mammoth Mountain is ~ 20 000 t/yr (as CO2), ranging seasonally from about 30 to 90 t/day. Several types of evidence show that this high discharge of magmatic DIC arose in part because of shallow dike intrusion in 1989, but also demonstrate that a long-term discharge possibly half this magnitude (~ 10 000 t/yr) predated that intrusion. To sustain a 10 000 t/yr DIC discharge would require a magma intrusion rate of 0.057 km3 per century, assuming complete degassing of magma with 0.65 wt% CO2 and a density of 2.7 t/m3. The geochemical data also identify a small ( < 1 t/day) discharge of magmatic DIC that can be traced to the Inyo Domes area north of Mammoth Mountain and outside the associated Long Valley caldera. This research, along with recent studies at Lassen Peak and other western USA volcanoes, suggests that the amount of magmatic carbon in cold groundwaters is important to constraining rates of intrusion and edifice weathering at individual volcanoes and may even represent a significant fraction of the global carbon discharge from volcanoes. ?? 2002 Elsevier Science B.V. All rights reserved.

Journal of Volcanology and Geothermal Research↗

Fumaroles in ice caves on the summit of Mount Rainier: preliminary stable isotope, gas, and geochemical studies

The edifice of Mount Rainier, an active stratovolcano, has episodically collapsed leading to major debris flows. The largest debris flows are related to argillically altered rock which leave areas of the edifice prone to failure. The argillic alteration results from the neutralization of acidic magmatic gases that condense in a meteoric water hydrothermal system fed by the melting of a thick mantle of glacial ice. Two craters atop a 2000-year-old cone on the summit of the volcano contain the world's largest volcanic ice-cave system. In the spring of 1997 two active fumaroles (T=62°C) in the caves were sampled for stable isotopic, gas, and geochemical studies. Stable isotope data on fumarole condensates show significant excess deuterium with calculated δD and δ 18 O values (−234 and −33.2‰, respectively) for the vapor that are consistent with an origin as secondary steam from a shallow water table which has been heated by underlying magmatic–hydrothermal steam. Between 1982 and 1997, δD of the fumarole vapor may have decreased by 30‰. The compositions of fumarole gases vary in time and space but typically consist of air components slightly modified by their solubilities in water and additions of CO 2 and CH 4 . The elevated CO 2 contents δ 13 C CO 2 = -11.8±0.7‰, with spikes of over 10,000 ppm, require the episodic addition of magmatic components into the underlying hydrothermal system. Although only traces of H 2 S were detected in the fumaroles, most notably in a sample which had an air δ 13 C CO 2 signature (−8.8‰), incrustations around a dormant vent containing small amounts of acid sulfate minerals (natroalunite, minamiite, and woodhouseite) indicate higher H 2 S (or possibly SO 2 ) concentrations in past fumarolic gases. Condensate samples from fumaroles are very dilute, slightly acidic, and enriched in elements observed in the much higher temperature fumaroles at Mount St. Helens (K and Na up to the ppm level; metals such as Al, Pb, Zn Fe and Mn up to the ppb level and volatiles such as Cl, S, and F up to the ppb level). The data indicate that the hydrothermal system in the edifice at Mount Rainier consists of meteoric water reservoirs, which receive gas and steam from an underlying magmatic system. At present the magmatic system is largely flooded by the meteoric water system. However, magmatic components have episodically vented at the surface as witnessed by the mineralogy of incrustations around inactive vents and gas compositions in the active fumaroles. The composition of fumarole gases during magmatic degassing is distinct and, if sustained, could be lethal. The extent to which hydrothermal alteration is currently occurring at depth, and its possible influence on future edifice collapse, may be determined with the aid of on site analyses of fumarole gases and seismic monitoring in the ice caves.

Book↗

Beaver lodge distributions and damage assessments in a forested wetland ecosystem in the southern United States

Caddo Lake, USA, a Ramsar Wetland of International Importance, is a lacustrine wetland complex consisting of stands of flooded baldcypress intermixed with open water and emergent wetland habitats. Recently, concern has been expressed over a perceived increase in the beaver population and the impact of beaver on the long-term sustainability of the baldcypress ecosystem. We used intensive beaver lodge surveys to determine the distribution and relative abundance of beaver and the amount, type, and distribution of beaver damage to mature trees and seedlings at Caddo Lake. A total of 229 lodges were located with a combination of aerial and boat/ground surveys. Most lodges were located in open water and edge habitats. About 95% of the lodges were occupied by beaver or nutria. Some form of damage was exhibited by one or more trees near 85% of the lodges. Intensive damage assessments around 35 lodges indicated that most damage to trees, baldcypress in particular, was restricted to peeling or stripping of bark which is believed to have minimal effect on tree survival. Surveys of regeneration indicated that baldcypress seedlings were very abundant; however, over 99.9% were less than 30 cm tall. The lack of recruitment into the larger size classes appears to be a result of high stand densities and water management practices. At this time, the young age and density of the baldcypress forests suggest that recruitment is not a major concern and herbivore damage appears to be having a minimal effect on the forest.

Forest Ecology and Management↗