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At least 1,405 records · Page 78Linked to original sources

The aerosphere as a network connector of organisms and their diseases

Aeroecological processes, especially powered flight of animals, can rapidly connect biological communities across the globe. This can have profound consequences for evolutionary diversification, energy and nutrient transfers, and the spread of infectious diseases. The latter is of particular consequence for human populations, since migratory birds are known to host diseases which have a history of transmission into domestic poultry or even jumping to human hosts. In this chapter, we present a scenario under which a highly pathogenic avian influenza (HPAI) strain enters North America from East Asia via post-molting waterfowl migration. We use an agent-based model (ABM) to simulate the movement and disease transmission among 10 6 generalized waterfowl agents originating from ten molting locations in eastern Siberia, with the HPAI seeded in only ~10 2 agents at one of these locations. Our ABM tracked the disease dynamics across a very large grid of sites as well as individual agents, allowing us to examine the spatiotemporal patterns of change in virulence of the HPAI infection as well as waterfowl host susceptibility to the disease. We concurrently simulated a 12-station disease monitoring network in the northwest USA and Canada in order to assess the potential efficacy of these sites to detect and confirm the arrival of HPAI. Our findings indicated that HPAI spread was initially facilitated but eventually subdued by the migration of host agents. Yet, during the 90-day simulation, selective pressures appeared to have distilled the HPAI strain to its most virulent form (i.e., through natural selection), which was counterbalanced by the host susceptibility being conversely reduced (i.e., through genetic predisposition and acquired immunity). The monitoring network demonstrated wide variation in the utility of sites; some were clearly better at providing early warnings of HPAI arrival, while sites further from the disease origin exposed the selective dynamics which slowed the spread of the disease albeit with the result of passing highly virulent strains into southern wintering locales (where human impacts are more likely). Though the ABM presented had generalized waterfowl migration and HPAI disease dynamics, this exercise demonstrates the power of such simulations to examine the extremely large and complex processes which comprise aeroecology. We offer insights into how such models could be further parameterized to represent HPAI transmission risks as well as how ABMs could be applied to other aeroecological questions pertaining to individual-based connectivity.

Book chapter↗

Mississippi Valley-type lead-zinc deposits through geological time: Implications from recent age-dating research

Remarkable advances in age dating Mississippi Valley-type (MVT) lead-zinc deposits provide a new opportunity to understand how and where these deposits form in the Earth's crust. These dates are summarized and examined in a framework of global tectonics, paleogeography, fluid migration, and paleoclimate. Nineteen districts have been dated by paleomagnetic and/or radiometric methods. Of the districts that have both paleomagnetic and radiometric dates, only the Pine Point and East Tennessee districts have significant disagreements. This broad agreement between paleomagnetic and radiometric dates provides added confidence in the dating techniques used. The new dates confirm the direct connection between the genesis of MVT lead-zinc ores with global-scale tectonic events. The dates show that MVT deposits formed mainly during large contractional tectonic events at restricted times in the history of the Earth. Only the deposits in the Lennard Shelf of Australia and Nanisivik in Canada have dates that correspond to extensional tectonic events. The most important period for MVT genesis was the Devonian to Permian time, which corresponds to a series of intense tectonic events during the assimilation of Pangea. The second most important period for MVT genesis was Cretaceous to Tertiary time when microplate assimilation affected the western margin of North America and Africa-Eurasia. There is a notable paucity of MVT lead-zinc ore formation following the breakup of Rodinia and Pangea. Of the five MVT deposits hosted in Proterozoic rocks, only the Nanisivik deposit has been dated as Proterozoic. The contrast in abundance between SEDEX and MVT lead-zinc deposits in the Proterozoic questions the frequently suggested notion that the two types of ores share similar genetic paths. The ages of MVT deposits, when viewed with respect to the orogenic cycle in the adjacent orogen suggest that no single hydrologic model can be universally applied to the migration of the ore fluids. However, topographically driven models best explain most MVT districts. The migration of MVT ore fluids is not a natural consequence of basin evolution; rather, MVT districts formed mainly where platform carbonates had some hydrological connection to orogenic belts. There may be a connection between paleoclimate and the formation of some MVT deposits. This possible relationship is suggested by the dominance of evaporated seawater in fluid inclusions in MVT ores, by hydrological considerations that include the need for multiple-basin volumes of ore fluid to form most MVT districts, and the need for adequate precipitation to provide sufficient topographic head for topographically-driven fluid migration. Paleoclimatic conditions that lead to formation of evaporite conditions but yet have adequate precipitation to form large hydrological systems are most commonly present in low latitudes. For the MVT deposits and districts that have been dated, more than 75% of the combined metal produced are from deposits that have dates that correspond to assembly of Pangea in Devonian through Permian time. The exceptional endowment of Pangea and especially, North America with MVT lead-zinc deposits may be explained by the following: (1) Laurentia, which formed the core of North America, stayed in low latitudes during the Paleozoic, which allowed the development of vast carbonate platforms; (2) intense orogenic activity during the assembly of Pangea created ground preparation for many MVT districts through far-field deformation of the craton; (3) uplifted orogenic belts along Pangean suture zones established large-scale migration of basin fluids; and (4) the location of Pangea in low latitudes with paleoclimates with high evaporation rates led to the formation of brines by the evaporation of seawater and infiltration of these brines into deep basin aquifers during Pangean orogenic events.

Mineralium Deposita↗

Late Cenozoic geology and lacustrine history of Searles Valley, Inyo and San Bernardino Counties, California

Searles Valley is an arid, closed basin lying 70 km east of the south end of the Sierra Nevada, California. It is bounded on the east and northeast by the Slate Range, on the west by the Argus Range and Spangler Hills, and on the south by the Lava Mountains; Searles (dry) Lake occupies the north-central part of the valley. During those parts of late Pliocene and Pleistocene time when precipitation and runoff from the east side of the Sierra Nevada into the Owens River were much greater than at present, a chain of as many as five large lakes was created, of which Searles Lake was third. The stratigraphic record left in Searles Valley when that lake expanded, contracted, or desiccated, is fully revealed by cores from beneath the surface of Searles (dry) Lake and partly recorded by sediments cropping out around the edge of the valley. The subsurface record is described elsewhere. This volume includes six geologic maps (scales: 1:50,000 and 1:10,000) and a text that describes the outcrop record, most of which represents sedimentation since 150 ka. Although this outcrop record is discontinuous, it provides evidence indicating the lake's water depths during each expansion, which the subsurface record does not. Maximum-depth lakes rose to the 2,280-ft (695 m) contour, the level of the spillway that led overflowing waters to Panamint Valley; that spillway is about 660 ft (200 m) above the present dry-lake surface. Several rock units of Tertiary and early Quaternary ages crop out in Searles Valley. Siltstone and sandstone of Tertiary age, mostly lacustrine in nature and locally deformed to near-vertical dips, are exposed in the southern part of the valley, as is the younger(?) upper Miocene Bedrock Spring Formation. Unnamed, mostly mafic volcanic rocks of probable Miocene or Pliocene age are exposed along the north and south edges of the basin. Slightly deformed lacustrine sandstones are mapped in the central-southwestern and southern parts of the study area. The Christmas Canyon Formation and deposits mapped as older gravel and older tufa are extensively exposed over much of the basin floor. The older gravel unit and the gravel facies of the Christmas Canyon Formation are boulder alluvial gravels; parts of these units are probably correlative. The lacustrine facies of the Christmas Canyon Formation includes the Lava Creek ash, which is dated at 0.64 Ma; the older tufa deposits may be equivalent in age to those sediments. Most of this study concerns sediments of the newly described Searles Lake Formation, whose deposition spanned the period between about 150 ka and 2 ka. Most of this formation is lacustrine in origin, but it includes interbedded alluvium. To extract as much geologic detail as possible, criteria were developed that permitted (1) intrabasin correlation of some thin outcrop units representative of only a few thousand years (or less), (2) identification of unconformities produced by subaerial erosion, (3) identification of unconformities produced by sublacustrine erosion, and (4) correlation of outcrop units with subsurface units. The Searles Lake Formation is divided into seven main units, many of which are subdivided on the five larger scale geologic maps. Units A (oldest), B, C, and D are dominantly lacustrine in origin. The Pleistocene-Holocene boundary is placed at the top of unit C. In areas that were a kilometer or more from shore at the time of deposition, deposits of units A,B, and C consist of fine, highly calcareous sand, silt, or clay; nearer to shore they consist of well-sorted coarse sand and gravel. Unit A has been locally subdivided into as many as four subunits, unit B into six subunits, and unit C into six subunits. The finer facies of units A, B, and C contain such high percentages of Caco3 that they are best described as marl. Sediments of unit C, and to a lesser extent those of unit B, are laminated with light- to white-colored layers of aragonite, calcite, or dolomite(?) that may repre

California↗

Timing and duration of garnet granulite metamorphism in magmatic arc crust, Fiordland, New Zealand

Pembroke Granulite from Fiordland, New Zealand provides a window into the mid- to lower crust of magmatic arcs. Garnet Sm-Nd and zircon U-Pb ages constrain the timing and duration of high-P partial melting that produced trondhjemitic high Sr/Y magma. Trace element zoning in large, euhedral garnet is compatible with little post growth modification and supports the interpretation that garnet Sm-Nd ages of 126.1??2.0 and 122.6??2.0. Ma date crystal growth. Integration of the garnet ages with U-Pb zircon ages elucidates a history of intrusion(?) and a protracted period of high-temperature metamorphism and partial melting. The oldest zircon ages of 163 to 150. Ma reflect inheritance or intrusion and a cluster of zircon ages ca. 134. Ma date orthopyroxene-bearing mineral assemblages that may be magmatic or metamorphic in origin. Zircon and garnet ages from unmelted gneiss and garnet reaction zones record garnet granulite facies metamorphism at 128 to 126. Ma. Peritectic garnet and additional zircon ages from trondhjemite veins and garnet reaction zones indicate that garnet growth and partial melting lasted until ca. 123. Ma. Two single fraction garnet ages and young zircon ages suggest continued high-temperature re-equilibration until ca. 95. Ma. Phase diagram sections constrain orthopyroxene assemblages to <0.6 GPa @ 650??C, peak garnet granulite facies metamorphic conditions to 680-815??C @ 1.1-1.4. GPa, and a P-T path with a P increase of???0.5. GPa. These sections are compatible with water contents???0.28wt.%, local dehydration during garnet granulite metamorphism, and <0.3. GPa P increases during garnet growth. Results demonstrate the utility of integrated U-Pb zircon and Sm-Nd garnet ages, and phase diagram sections for understanding the nature, duration, and conditions of deep crustal metamorphism and melting. Geochronologic and thermobarometric data for garnet granulite indicate that thickening of arc crust, which caused high-pressure metamorphism in northern Fiordland, must have occurred prior to 126. Ma, that loading occurred at a rate of ca. 0.06. GPa/m.y., and that garnet granulite metamorphism lasted 3-7m.y. Locally-derived partial melts formed and crystallized in considerably less than 10 and perhaps as little as 3m.y. ?? 2010 Elsevier B.V.

Chemical Geology↗

Paleoclimate concepts

Interpretation of paleoclimate records requires an understanding of Earth’s climate system, the causes (forcings) of climate changes, and the processes that amplify (positive feedback) or damp (negative feedback) these changes. Paleoclimatologists reconstruct the history of climate from proxies, which are those characteristics of sedimentary deposits that preserve paleoclimate information. A great range of physical, chemical, isotopic, and biological characteristics of lake and ocean sediments, ice cores, cave formations, tree rings, the land surface itself, and more are used to reconstruct past climate. Ages of climate events are obtained by counting annual layers, measuring effects of the decay of radioactive atoms, assessing other changes that accumulate through time at rates that can be assessed accurately, and using time-markers to correlate sediments with others that have had their ages measured more accurately. Not all questions about the history of Earth’s climate can be answered through paleoclimatology: in some cases the necessary sediments are not preserved, or the climatic variable of interest is not recorded in the sediments. Nonetheless, many questions can be answered from the available information. An overview of the history of Arctic climate during the past 65 million years (m.y.) shows a long-term irregular cooling for tens of millions of years. As ice became established in the Arctic, it grew and shrank for tens of thousands of years in regular cycles. During at least the most recent of these cycles, shorter lived, large, and rapid fluctuations occurred, especially around the North Atlantic Ocean. The last 11,000 years or so have remained generally warm and relatively stable, but with small climate changes of varying spacing and size. Assessment of the causes of climate changes, and the records of those causes, shows that reduction in atmospheric carbon-dioxide concentration and changes in continental positions were important in the cooling trend throughout tens of millions of years. The cycling in ice extent was paced by features of Earth’s orbit and amplified by the effects of the ice itself, changes in carbon dioxide and other greenhouse gases, and additional feedbacks. Abrupt climate changes were linked to changes in the circulation of the ocean and the extent of sea ice. Changes in the Sun’s output and in Earth’s orbit, volcanic eruptions, and other factors have contributed to the natural climate changes since the end of the last ice age.

Book chapter↗

Soil geochemical signature of urbanization and industrialization – Chicago, Illinois, USA

The concentrations of 45 elements in ambient (not obviously disturbed) surface soils were determined for 57 sites distributed throughout the city of Chicago, Illinois in the upper Midwestern United States. These concentrations were compared to soils from 105 sites from a largely agricultural region within a 500-km radius surrounding the city and to soils collected from 90 sites across the state of Illinois. Although the bulk composition of the Chicago urban soils reflects largely natural sources, the soils are significantly enriched in many trace elements, apparently from anthropogenic sources. The median concentration of Pb in Chicago soils is 198 mg/kg, a 13-fold enrichment compared to regional concentrations. Zinc (median 235 mg/kg), Cu (59 mg/kg), and Ni (31 mg/kg) are also enriched from 2- to 4-fold in Chicago soils and all four elements show strong mutual correlations. These elevated concentrations are most likely related to vehicular and roadway sources and represent uneven distribution across the city as airborne material. Other airborne particulate material from a combination of fossil fuel combustion, waste incineration, and steel production may contribute to apparent elevated concentrations in Chicago soil of Fe (median 2.9%), Mo (5 mg/kg), V (82 mg/kg) and S (0.09%). Chicago soils are enriched from about 1.6- to 3-fold in these elements. Enrichments in P and Se may be caused by direct addition of phosphate fertilizer to parklands, lawns and gardens. The density of the sampling (1 site per 10 km 2 ) is inadequate to define the distribution of the observed enrichments within the city or to predict soil compositions for most of the areas between sample sites, but does provide a statistically significant signature of the history of urban and industrial activity within the city in contrast to the surrounding agricultural lands.

Illinois↗

Thermal modelling of stepwise anatexis in a thrust-thickened sialic crust

One-dimensional modelling of the thermal history of a sialic crust thickened by multiple overstack thrusting of upper crustal material shows that anatexis is likely. both the uplift rate and the length of the incubation period between end of tectonism and start of uplift are important controls on the amount and temperature of the melt. Heat of fusion does not significantly affect the long-term thermal structure of the crust if the melt is not extracted because only a small fraction of conductive heat is converted to latent heat, though short-term thermal effects of latent heat can be locally important. Model results show that commonly <15% of mantle heat flux is converted to latent heat; even during peak melting in the most productive models, less than half of incremental mantle flux is converted. The results have obvious implications on the acceptability of proposed heat sources for crustal anatexis. Fusion could retard crustal temperature rise by nearly 100??C, but the system would recover except for situations of very rapid uplift. Understanding of the thermal evolution of a burial-uplift system requires knowledge not only of the timing of anatexis but of the pooling and movement of the magma, as well as the duration and nature of the incubation period; we are poorly equipped to measure these events. The model predicts that the characteristic time for anatexis is a thickened sialic crust is several tens of millions of years, comparable to the time lapse between orogenies; in making geological interpretations of magmatism, this time lag must be considered. -Author

Transactions of the Royal Society of Edinburgh, Ea↗

Chapter 2: 2003 Geologic Assessment of Undiscovered Conventional Oil and Gas Resources in the Upper Cretaceous Navarro and Taylor Groups, Western Gulf Province, Texas

The Upper Cretaceous Navarro and Taylor Groups in the western part of the Western Gulf Province were assessed for undiscovered oil and gas resources in 2003. The area is part of the Smackover-Austin-Eagle Ford Composite Total Petroleum System. The rocks consist of, from youngest to oldest, the Escondido and Olmos Formations of the Navarro Group and the San Miguel Formation and the Anacacho Limestone of the Taylor Group (as well as the undivided Navarro Group and Taylor Group). Some units of the underlying Austin Group, including the 'Dale Limestone' (a term of local usage that describes a subsurface unit), were also part of the assessment in some areas. Within the total petroleum system, the primary source rocks comprise laminated carbonate mudstones and marine shales of the Upper Jurassic Smackover Formation, mixed carbonate and bioclastic deposits of the Upper Cretaceous Eagle Ford Group, and shelf carbonates of the Upper Cretaceous Austin Group. Possible secondary source rocks comprise the Upper Jurassic Bossier Shale and overlying shales within the Upper Jurassic to Lower Cretaceous Cotton Valley Group, Lower Cretaceous marine rocks, and the Upper Cretaceous Taylor Group. Oil and gas were generated in the total petroleum system at different times because of variations in depth of burial, geothermal gradient, lithology, and organic-matter composition. A burial-history reconstruction, based on data from one well in the eastern part of the study area (Jasper County, Tex.), indicated that (1) the Smackover generated oil from about 117 to 103 million years ago (Ma) and generated gas from about 52 to 41 Ma and (2) the Austin and Eagle Ford Groups generated oil from about 42 to 28 Ma and generated gas from about 14 Ma to the present. From the source rocks, oil and gas migrated upsection and updip along a pervasive system of faults and fractures as well as along bedding planes and within sandstone units. Types of traps include stratigraphic pinchouts, folds, faulted folds, and combinations of these. Seals consist of interbedded shales and mudstones and diagenetic cementation. The area assessed is divided into five assessment units (AUs): (1) Travis Volcanic Mounds Oil (AU 50470201), (2) Uvalde Volcanic Mounds Gas and Oil (AU 50470202), (3) Navarro-Taylor Updip Oil and Gas (AU 50470203), (4) Navarro-Taylor Downdip Gas and Oil (AU 50470204), and (5) Navarro-Taylor Slope-Basin Gas (AU 50470205). Total estimated mean undiscovered conventional resources in the five assessment units combined are 33.22 million barrels of oil, 1,682.80 billion cubic feet of natural gas, and 34.26 million barrels of natural gas liquids.

Data Series↗

2018 one‐year seismic hazard forecast for the central and eastern United States from induced and natural earthquakes

This article describes the U.S. Geological Survey (USGS) 2018 one‐year probabilistic seismic hazard forecast for the central and eastern United States from induced and natural earthquakes. For consistency, the updated 2018 forecast is developed using the same probabilistic seismicity‐based methodology as applied in the two previous forecasts. Rates of earthquakes across the United States M &#x2265; 3.0 "> M ≥ 3.0 grew rapidly between 2008 and 2015 but have steadily declined over the past 3 years, especially in areas of Oklahoma and southern Kansas where fluid injection has decreased. The seismicity pattern in 2017 was complex with earthquakes more spatially dispersed than in the previous years. Some areas of west‐central Oklahoma experienced increased activity rates where industrial activity increased. Earthquake rates in Oklahoma (429 earthquakes of M &#x2265; 3 "> M ≥ 3 and 4 M &#x2265; 4 "> M ≥ 4 ), Raton basin (Colorado/New Mexico border, six earthquakes M &#x2265; 3 "> M ≥ 3 ), and the New Madrid seismic zone (11 earthquakes M &#x2265; 3 "> M ≥ 3 ) continue to be higher than historical levels. Almost all of these earthquakes occurred within the highest hazard regions of the 2017 forecast. Even though rates declined over the past 3 years, the short‐term hazard for damaging ground shaking across much of Oklahoma remains at high levels due to continuing high rates of smaller earthquakes that are still hundreds of times higher than at any time in the state’s history. Fine details and variability between the 2016–2018 forecasts are obscured by significant uncertainties in the input model. These short‐term hazard levels are similar to active regions in California. During 2017, M &#x2265; 3 "> M ≥ 3 earthquakes also occurred in or near Ohio, West Virginia, Missouri, Kentucky, Tennessee, Arkansas, Illinois, Oklahoma, Kansas, Colorado, New Mexico, Utah, and Wyoming.

Seismological Research Letters↗

Assessment of the Mowry Shale and Niobrara Formation as Continuous Hydrocarbon Systems, Powder River Basin, Montana and Wyoming

A recent U.S. Geological Survey (USGS) oil and gas assessment of the Powder River Basin , Wyoming and Montana, identified the Upper Cretaceous Mowry Shale and Niobrara Formation as the primary hydrocarbon sources for Cretaceous conventional and unconventional reservoirs. Cumulative Mowry-sourced petroleum production is about 1.2 BBO (billion barrels of oil) and 2.2 TCFG (trillion cubic feet of gas) and cumulative Niobrara-sourced oil production is about 520 MMBO (million barrels of oil) and 0.95 TCFG. Burial history modeling indicated that hydrocarbon generation for both formations started at about 0.60 percent Ro at depths of about 8,000 ft. At maximum depths, Ro for the Mowry is about 1.2 to 1.3 percent and about 0.80 percent for the Niobrara. The Mowry and Niobrara continuous reservoirs were assessed using a cell-based methodology that utilized production data. The size of each cell was based on geologic controls and potential drainage areas in analog fields. Current and historical production data were used to determine the estimated ultimate recovery (EUR) distribution for untested cells. Only production data from unconventional fractured shale reservoirs with vertical wells were used. For the Mowry, the minimum, median, and maximum total recovery volumes per cell for untested cells are (1) 0.002, 0.25, and 0.35 MMBO, respectively; and for the Niobrara (2) 0.002, 0.028, and 0.5 MMBO. Sweet spots were identified by lineaments and faults, which are believed to be areas having the greatest petroleum potential; an upper limit of 8,000 ft depth was defined by overpressuring caused by hydrocarbon generation. Mean estimates of technically recoverable undiscovered continuous resource for the Mowry are 198 MMBO, 198 BCF (billion cubic feet of gas), and 11.9 MMBNGL (million barrels of natural gas liquid), and those for the Niobrara are 227 MMBO, 227 BCFG, and 13.6 MMBNGL.

Open-File Report↗

Avian community responses to management of vegetation and water levels in restored wetlands at the Humacao Nature Reserve, Puerto Rico

Coastal wetlands of the Caribbean have been greatly reduced in area and quality, and information on wildlife responses to management is lacking. We applied wetland management practices (disking, control of water levels) in a site historically disturbed by Saccharum spp. (sugarcane) cultivation at the Humacao Nature Reserve, southeastern Puerto Rico, and evaluated avian community response. We conducted weekly bird surveys and nest searches on disked and non-disked plots within recently constructed impoundments. The avian community shifted from 16 upland dominated species pre-restoration, to 67 wetland-dependent species at the end of our study (2001–2002). Ordination analysis indicated avian guild use of plots varied with environmental variables. Bird species diversity was not influenced by treatment, month, or salinity levels but was influenced by water depth and vegetation cover. Bird abundance was influenced by water depth, but not by treatment, month, salinity or vegetation cover. Furthermore, water depths of 0.10–0.20 m and salinity of ≤15 ppt promoted habitat conditions suitable for a diverse wetland avian community. We located 268 nests of 8 wetland bird species and observed adults with young of various other waterbirds, including species of conservation concern such as Dendrocygna arborea (West Indian Whistling Duck) and Porzana flaviventer (Yellow-breasted Crake). Bird community responses suggest that management practices (i.e., soil disturbance and control of water levels) can improve wetland biodiversity in abandoned sugarcane fields of Puerto Rico. Moreover, these practices may benefit wetland biodiversity in other Caribbean islands with a similar history of land use and habitat degradation.

Humacao Nature Reserve↗

Submarine mass transport within Monterey Canyon: Benthic disturbance controls on the distribution of chemosynthetic biological communities

Documenting mass transport within Monterey Canyon and Fan has been a focus of remotely operated vehicle (ROV) observations, sampling, monitoring, and multibeam mapping studies. These efforts indicate that major mass transport events occur within upper Monterey Canyon (<2 km water depths) with a sub-annual recurrence frequency. However, 14 C-stratigraphies indicate that a sand carrying event has not penetrated through lower Monterey Canyon (>2 km water depths) and onto Monterey Fan for ~100 years. Simultaneous efforts to document the distribution of benthic taxa observed in the video records from 668 ROV dives conducted by the Monterey Bay Aquarium Research Institute (MBARI) provide a uniquely detailed record of the occurrence of chemosynthetic biological communities (CBC). The combined results of these studies provide an understanding of the relationship between disturbance caused by episodic mass wasting events and the distribution of CBC. CBC are common within the canyon's axis below ~2.5 km water depth, but have not been found within the canyon's axis at depths shallower than 2 km. Moreover, CBC occur on the canyon walls at essentially any depth, primarily within young (~hundreds of years old) slump scars. The distribution of CBC provides evidence about the disturbance history of the seafloor. Major mass transport events will destroy communities that lie in their path. Erosion associated with major mass transport events can create environments to support CBC by exposing methane-bearing strata. This can happen as a result of slumping events on the sidewalls of the canyon or where major gravity flow events have excavated the base of canyon walls. Once fresh strata are exposed, geochemical conditions to support CBC will persist for a few centuries. Because CBC are composed of slow-growing and long-lived organisms, it will take decades for these communities to be established. Their existence indicates that environmental stability has occurred over a similar time scale.

California↗

Hydrogeologic framework of fractured sedimentary rock, Newark Basin, New Jersey

The hydrogeologic framework of fractured sedimentary bedrock at the former Naval Air Warfare Center (NAWC), Trenton, New Jersey, a trichloroethylene (TCE)-contaminated site in the Newark Basin, is developed using an understanding of the geologic history of the strata, gamma-ray logs, and rock cores. NAWC is the newest field research site established as part of the U.S. Geological Survey Toxic Substances Hydrology Program, Department of Defense (DoD) Strategic Environmental Research and Development Program, and DoD Environmental Security Technology Certification Program to investigate contaminant remediation in fractured rock. Sedimentary bedrock at the NAWC research site comprises the Skunk Hollow, Byram, and Ewing Creek Members of the Lockatong Formation and Raven Rock Member of the Stockton Formation. Muds of the Lockatong Formation that were deposited in Van Houten cycles during the Triassic have lithified to form the bedrock that is typical of much of the Newark Basin. Four lithotypes formed from the sediments include black, carbon-rich laminated mudstone, dark-gray laminated mudstone, light-gray massive mudstone, and red massive mudstone. Diagenesis, tectonic compression, off-loading, and weathering have altered the rocks to give some strata greater hydraulic conductivity than other strata. Each stratum in the Lockatong Formation is 0.3 to 8 m thick, strikes N65 degrees E, and dips 25 degrees to 70 degrees NW. The black, carbon-rich laminated mudstone tends to fracture easily, has a relatively high hydraulic conductivity and is associated with high natural gamma-ray count rates. The dark-gray laminated mudstone is less fractured and has a lower hydraulic conductivity than the black carbon-rich laminated mudstone. The light-gray and the red massive mudstones are highly indurated and tend to have the least fractures and a low hydraulic conductivity. The differences in gamma-ray count rates for different mudstones allow gamma-ray logs to be used to correlate and delineate the lithostratigraphy from multiple wells. Gamma-ray logs and rock cores were correlated to develop a 13-layer gamma-ray stratigraphy and 41-layer lithostratigraphy throughout the fractured sedimentary rock research site. Detailed hydrogeologic framework shows that black carbon-rich laminated mudstones are the most hydraulically conductive. Water-quality and aquifer-test data indicate that groundwater flow is greatest and TCE contamination is highest in the black, carbon- and clay-rich laminated mudstones. Large-scale groundwater flow at the NAWC research site can be modeled as highly anisotropic with the highest component of permeability occurring along bedding planes.

New Jersey↗

Depositional environments of the Cache, Lower Lake, and Kelseyville Formations, Lake County, California

We describe the depositional environments of the Cache, Lower Lake, and Kelseyville Formations in light of habitat preferences of recovered mollusks, ostracodes, and diatoms. Our reconstruction of paleoenvironments for these late Cenozoic deposits provides a framework for an understanding of basin evolution and deposition in the Clear Lake region. The Pliocene and Pleistocene Cache Formation was deposited primarily in stream and debris flow environments; fossils from fine-grained deposits indicate shallow, fresh-water environments with locally abundant aquatic vegetation. The fine-grained sediments (mudstone and siltstone) were probably deposited in ponds in abandoned channels or shallow basins behind natural levees. The abandoned channels and shallow basins were associated with the fluvial systems responsible for deposition of the bulk of the technically controlled Cache Formation. The Pleistocene Lower Lake Formation was deposited in a water mass large enough to contain a variety of local environments and current regimes. The recovered fossils imply a lake with water depths of 1 to 5 m. However, there is strong support from habitat preferences of the recovered fossils for inferring a wide range of water depths during deposition of the Lower Lake Formation; they indicate a progressively shallowing system and the culmination of a desiccating lacustrine system. The Pleistocene Kelseyville Formation represents primarily lacustrine deposition with only minor fluvial deposits around the margins of the basin. Local conglomerate beds and fossil tree stumps in growth position within the basin indicate occasional widespread fluvial incursions and depositional hiatuses. The Kelseyville strata represent a large water mass with a muddy and especially fluid substrate having permanent or sporadic periods of anoxia. Central-lake anoxia, whether permanent or at irregular intervals, is the simplest way to account for the low numbers of benthic organisms recovered from the Kelseyville Formation. Similar low-oxygen conditions for benthic life are represented throughout the sedimentary history of Clear Lake. Water depths for the Kelseyville Formation of 10 to 30 m and 12 m near the margins of the basin are inferred both before and after fluvial incursions. These water-depth fluctuations cannot be correlated with major climatic changes as indicated by pollen and fossil leaves and cones; they may be due to faulting in this technically active region.

GSA Special Papers↗

Volcanic ash and aviation–The challenges of real-time, global communication of a natural hazard

More than 30 years after the first major aircraft encounters with volcanic ash over Indonesia in 1982, it remains challenging to inform aircraft in flight of the exact location of potentially dangerous ash clouds on their flight path, particularly shortly after the eruption has occurred. The difficulties include reliably forecasting and detecting the onset of significant explosive eruptions on a global basis, observing the dispersal of eruption clouds in real time, capturing their complex structure and constituents in atmospheric transport models, describing these observations and modelling results in a manner suitable for aviation users, delivering timely warning messages to the cockpit, flight planners and air traffic management systems, and the need for scientific development in order to undertake operational enhancements. The framework under which these issues are managed is the International Airways Volcano Watch (IAVW), administered by the International Civil Aviation Organization (ICAO). ICAO outlines in its standards and recommended practices (International Civil Aviation Organization, 2014) the basic volcanic monitoring and communication that is necessary at volcano observatories in Member States (countries). However, not all volcanoes are monitored and not all countries with volcanoes have mandated volcano observatories or equivalents. To add to the efforts of volcano observatories, a system of Meteorological Watch Offices, Air Traffic Management Area Control Centres, and nine specialist Volcanic Ash Advisory Centres (VAACs) are responsible for observing, analysing, forecasting and communicating the aviation hazard (airborne ash), using agreed techniques and messages in defined formats. Continuous improvement of the IAVW framework is overseen by expert groups representing the operators of the system, the user community, and the science community. The IAVW represents a unique marriage of two scientific disciplines - volcanology and meteorology - with the aviation user community. There have been many multifaceted volcanic eruptions in complex meteorological conditions during the history of the IAVW. Each new eruption brings new insights into how the warning system can be improved, and each reinforces the lessons that have gone before. The management of these events has improved greatly since the major ash encounters in the 1980s, but discontinuities in the warning and communications system still occur. A good example is a 2014 ash encounter over Indonesia following the eruption of Kelut where the warnings did not reach the aircraft crew. Other events present enormous management challenges – for example the 2010 Eyjafjallajökull eruption in Iceland was, overall, less hazardous than many less publicised eruptions, but numerous small to moderate explosions over several weeks produced widespread disruption and a large economic impact. At the time of writing, while there has been hundreds of millions of US dollars in damage to aircraft from encounters with ash, there have been no fatalities resulting from aviation incidents in, or proximal to volcanic ash cloud. This reflects, at least in part, the hard work done in putting together a global warning system - although to some extent it also reflects a measure of good statistical fortune. In order to minimise the risk of aircraft encounters with volcanic ash clouds, the global effort continues. The future priorities for the IAVW are strongly focused on enhancing communication before, and at the very onset of a volcanic ash-producing event (typically the more dangerous stage), together with improved downstream information and warning systems to help reduce the economic impact of eruptions on aviation.

Book chapter↗

Science and the storms: The USGS response to the hurricanes of 2005

This report is designed to give a view of the immediate response of the U.S. Geological Survey (USGS) to four major hurricanes of 2005: Dennis, Katrina, Rita, and Wilma. Some of this response took place days after the hurricanes; other responses included fieldwork and analysis through the spring. While hurricane science continues within the USGS, this overview of work following these hurricanes reveals how a Department of the Interior bureau quickly brought together a diverse array of its scientists and technologies to assess and analyze many hurricane effects. Topics vary from flooding and water quality to landscape and ecosystem impacts, from geotechnical reconnaissance to analyzing the collapse of bridges and estimating the volume of debris. Thus, the purpose of this report is to inform the American people of the USGS science that is available and ongoing in regard to hurricanes. It is the hope that such science will help inform the decisions of those citizens and officials tasked with coastal restoration and planning for future hurricanes. Chapter 1 is an essay establishing the need for science in building a resilient coast. The second chapter includes some hurricane facts that provide hurricane terminology, history, and maps of the four hurricanes’ paths. Chapters that follow give the scientific response of USGS to the storms. Both English and metric measurements are used in the articles in anticipation of both general and scientific audiences in the United States and elsewhere. Chapter 8 is a compilation of relevant ongoing and future hurricane work. The epilogue marks the 2-year anniversary of Hurricane Katrina. An index of authors follows the report to aid in finding articles that are cross-referenced within the report. In addition to performing the science needed to understand the effects of hurricanes, USGS employees helped in the rescue of citizens by boat and through technology by “geoaddressing” 911 calls after Katrina and Rita so that other rescuers could find persons trapped in attics and porches. They also delivered food and water to residents stranded along the lower Mississippi River for several days. That work is reported in chapter 3 of this volume. A great number of scientists contributed to this peer-reviewed report designed for a general audience. Because they work for USGS—an unbiased, multidisciplinary science organization that focuses on biology, geography, geology, geospatial information, and water—they are dedicated to the timely, relevant, and impartial study of the landscape and natural resources of the Nation, as well as natural hazards, like hurricanes, that threaten the Nation. To learn more about their work, visit the USGS Web site (www.usgs.gov).

Circular↗

Nesting and post-fledging predation risk influence diel patterns of songbird fledging

Among stages of avian ontogeny, the act of nest departure or fledging is an abrupt transition into a new environment and a major leap toward independence for offspring. In altricial birds, the timing of fledging is notable in that many species tend to fledge early in the morning. Past studies have proposed nest predation as a key factor driving birds to fledge earlier in the morning (the ‘survival hypothesis’), whereby offspring avoid peak times of nest predation that may occur later in the day. A natural extension of this hypothesis is the predation of offspring post-fledging, whereby offspring are also timing their fledging with future survival prospects outside of the nest. However, few studies have investigated fledging behavior in the context of both nesting and post-fledging predation. To help fill this knowledge gap, we investigated factors driving the timing and duration of fledging across six songbird species in the context of offspring predation: daily nest mortality, post-fledging mortality, and diel patterns of nest predation risk. We found that >60% of songbirds fledged early in the morning, while the peaks in nest predation risk occurred later in the day. Furthermore, species under greater risk of nest predation fledged earlier in the day and in closer succession to their siblings. Parameters of post-fledging mortality were poor predictors of fledging timing, but broods of species under higher risk of post-fledging mortality fledged more rapidly. These results provide evidence in support of the survival hypothesis, and suggest that songbirds fledge in the morning to avoid peak times of nest predation risk that occur later in the day (~8 hours after civil dawn). Such results corroborate past research highlighting predation on dependent offspring as a key factor driving variation in life histories across animal taxa, however, estimates of post-fledging mortality suggests that nest predation alone does not fully explain variation in fledging behavior among species. Future research is therefore needed to investigate the contribution of other factors, such as energetics, parent-offspring conflict, and diel patterns of post-fledging survival, that may help to mediate diel patterns of fledging within and among songbird species.

Illinois↗

Quaternary sediment thickness and bedrock topography of the glaciated United States east of the Rocky Mountains

Beginning roughly 2.6 million years ago, global climate entered a cooling phase known as the Pleistocene Epoch. As snow in northern latitudes compacted into ice several kilometers thick, it flowed as glaciers southward across the North American continent. These glaciers extended across the northern United States, dramatically altering the landscape they covered. East of the Rocky Mountains, the ice coalesced into continental glaciers (called the Laurentide Ice Sheet) that at times blanketed much of the north-central and northeastern United States. To the west of the Laurentide Ice Sheet, glaciers formed in the mountains of western Canada and the United States and coalesced into the Cordilleran ice sheet; this relatively smaller ice mass extended into the conterminous United States in the northernmost areas of western Montana, Idaho, and Washington. Throughout the Pleistocene, landscape alteration occurred by (1) glacial erosion of the rocks and sediments; (2) redeposition of the eroded earth materials in a form substantially different from their source rocks, in terms of texture and overall character; and (3) disruption of preexisting drainage patterns by the newly deposited sediments. In many cases, pre-glacial drainage systems (including, for example, the Mississippi River) were rerouted because their older drainage courses became blocked with glacial sediment. The continental glaciers advanced and retreated many times across those areas. During each ice advance, or glaciation, erosion and deposition occurred, and the landscape was again altered. Through successive glaciations, the landscape and the bedrock surface gradually came to resemble their present configurations. As continental ice sheets receded and the Pleistocene ended, erosion and deposition of sediment (for example in stream valleys) continued to shape the landscape up to the present day (albeit to a lesser extent than during glaciation). The interval of time since the last recession of the glaciers is called the Holocene and, together with the Pleistocene, constitutes the Quaternary Period of geologic time; this publication characterizes the three-dimensional geometry of the Quaternary sediments and the bedrock surface that lies beneath. The pre-glacial landscape was underlain mostly by weathered bedrock generally similar in nature to that found in many areas of the non-glaciated United States. Glacial erosion and redeposition of earth materials produced a young, mineral-rich soil that formed the basis for the highly productive agricultural economy in the U.S. midcontinent. Extensive buried sands and gravels within the glacial deposits also provided a stimulus to other economic sectors by serving as high-quality aquifers supplying groundwater to the region’s industry and cities. An understanding of the three-dimensional distribution of these glacial sediments has direct utility for addressing various societal issues including groundwater quality and supply, and landscape and soil response to earthquake-induced shaking. The Quaternary sediment thickness map and bedrock topographic map shown here provide a regional overview and are intended to supplement the more detailed work on which they are based. Detailed mapping is particularly useful in populated areas for site-specific planning. In contrast, regional maps such as these serve to place local, detailed mapping in context; to permit the extrapolation of data into unmapped areas; and to depict large-scale regional geologic features and patterns that are beyond the scope of local, detailed mapping. They also can enhance the reader’s general understanding of the region’s landscape and geologic history and provide a source of information for regional decision making that could benefit by improved predictability of bedrock depth beneath the unconsolidated Quaternary sediments. To enable these maps to be analyzed in conjunction with other types of information, this publication also includes the map data in GIS compatible format.

Scientific Investigations Map↗