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The use (and misuse) of sediment traps in coral reef environments: Theory, observations, and suggested protocols

Sediment traps are commonly used as standard tools for monitoring “sedimentation” in coral reef environments. In much of the literature where sediment traps were used to measure the effects of “sedimentation” on corals, it is clear from deployment descriptions and interpretations of the resulting data that information derived from sediment traps has frequently been misinterpreted or misapplied. Despite their widespread use in this setting, sediment traps do not provide quantitative information about “sedimentation” on coral surfaces. Traps can provide useful information about the relative magnitude of sediment dynamics if trap deployment standards are used. This conclusion is based first on a brief review of the state of knowledge of sediment trap dynamics, which has primarily focused on traps deployed high above the seabed in relatively deep water, followed by our understanding of near-bed sediment dynamics in shallow-water environments that characterize coral reefs. This overview is followed by the first synthesis of near-bed sediment trap data collected with concurrent hydrodynamic information in coral reef environments. This collective information is utilized to develop nine protocols for using sediment traps in coral reef environments, which focus on trap parameters that researchers can control such as trap height (H), trap mouth diameter (D), the height of the trap mouth above the substrate (z o ), and the spacing between traps. The hydrodynamic behavior of sediment traps and the limitations of data derived from these traps should be forefront when interpreting sediment trap data to infer sediment transport processes in coral reef environments.

Coral Reefs

Environmental presence and persistence of pharmaceuticals: An overview

Emerging contaminants (ECs) in the environment – that is, chemicals with domestic, municipal, industrial, or agricultural sources that are not commonly monitored but may have the potential for adverse environmental effects – is a rapidly growing field of research. The use of “emerging” is not intended to infer that the presence of these compounds in the environment is new. These chemicals have been released into the environment as long as they have been in production or, in the case of hormones and other endogenous compounds, since the rise of animal life. What is emerging is the interest by the scientific and lay communities in the presence of these chemicals in the environment, the analytical capabilities required for detection, and the subtle effects that very small concentrations of these chemicals appear to have on aquatic biota. In December 2006, Environmental Science & Technology devoted an entire special issue (volume 40, number 23) to the topic of ECs, illustrating the increased interest in the subject. Within the EGs, one particular class that has seen a substantial increase in research over the past 10 years is pharmaceuticals and personal-care products (PPCPs). This increased research interest can be demonstrated by several means, including requests for proposals from funding agencies, but the clearest indication of a focused effort to understand the introduction, transformation, and potential health and environmental effects of PPCPs and ECs, in general, is the number of published reports. This increase can be shown by examining six environmental journals that regularly publish PPCP-related papers – Chemosphere , Environmental Science & Technology , Environmental Toxicology and Chemistry , Science of the Total Environment , Water Research , and Water Science and Technology . In 1998 there were 22 papers published on pharmaceuticals, antibiotics, or drugs in these 6 journals; by 2006, this number increased sixfold to 132 papers (Figure 1.1). This growth can be attributed to a number of factors. The presence of pharmaceuticals in surface-water samples from Europe and the United States was documented in several sentinel papers. These ground-breaking works encouraged other scientists to examine the rivers, streams, lakes, and reservoirs in their regions for such chemicals. In addition, the intense public attention paid to news reports on the environmental detections of these chemicals and possible effects of aquatic life has made this issue visible to the wastewater-treatment, drinking-water treatment, and regulatory communities. This has driven the funding bodies associated with these communities to fund studies or request proposals that address the presence, fate, and effects of PPCPs in aquatic systems. The release of the first comprehensive reconnaissance of pharmaceuticals and other wastewater contaminants in the United States provides an example of the intense media interest in this topic. Within 6 days on online publication of this study, 72 newspapers across the United States had published articles describing the results, either locally written or based on international media syndicate reports. There also was substantial concurrent coverage by local and national radio and television outlets, including the Cable News Network, ABC World News Tonight , and National Public Radio. A substantial fraction of these news stories may be attributable to press releases and media briefings prior to publication. However, the interest by television and print journalists in reporting the results of a peer-reviewed journal article to the general public was motivated by the recognition that describing the presence of PPCPs in water supplies would be of interest to the public. To better convey the results of the study published by Koplin et al. to the public, a separate general-interest fact sheet was published to summarize the important points of the study. Because PPCPs are commonly and widely used by individuals, there is likely a preexisting, personal identification with these compounds that does not occur for the wide range of other organic and inorganic contaminants whose presence in the environment has previously been described. This greater public “name recognition” makes itself known through the media to the regulatory and technical community and has prompted interest in sponsoring research that defines the composition and concentrations of PPCPs in potential sources and their fate and effects following relase into the environment. Independent of the drivers that potentially fuel the interest in studies of PPCPs, it is clear that PPCP research has grown beyond surface-water studies to examine issues such as: • Presence in other matrices, such as groundwater, landfill leachates, sediments, and biosolids. • Environmental transport and fate in surface water, groundwater, and soils amended with reclaimed water or biosolids. • PPCP source elucidation, such as wastewater treatment plant (WWTP) effluents, confined animal feeding operations (CAFOs), and aquaculture. • Removal during wastewater and drinking-water treatment. • Effects on aquatic ecosystems, terrestrial ecosystems, and human health. The chapters in this book provide an extensive examination of current environmental pharmaceutical research and are divided into three sections: “Occurrence and Analysis of Pharmaceuticals in the Environment,” “Environment Fate and Transformations of Veterinary Pharmaceuticals,” and “treatment of Pharmaceuticals in Drinking Water and Wastewater.” The purpose of this introductory overview chapter is to outline current (2004-2006) knowledge about the presence and concentration of PPCPs as described in the published literature. Previous reviews should be consulted for discussions on pre-2004 publications. Those reviews will provide the reader with a comprehensive introduction to the topic of PPCPs in the environment. This chapter describes the sources of PPCPs and other organic contaminants often associated with human wastewater into the environment, the range of concentrations present in various environmental compartments, and the potential routes of removal/sequestration. An overview of the sources and fate of veterinary pharmaceuticals will be discussed in Chapter 5, “Fate and Transport of Veterinary Medicines in the Soil Environment.”

Book chapter

Book review: Three great tsunamis: Lisbon (1755), Sumatra-Andaman (2004), and Japan (2011)

“Three Great Tsunamis: Lisbon (1755), Sumatra–Andaman (2004), and Japan (2011)” is published in Springer’s new series SpringerBriefs. According to Springer’s website, the SpringBriefs volumes are intended to provide “concise summaries of cutting-edge research and practical applications across a wide spectrum of fields”. Among the several categories considered for SpringerBriefs are in-depth case studies, for which this volume is most closely aligned. This 89-page volume comprises six chapters. Chapter 1 describes the fundamentals of tsunamis at a basic level, including a selective list of major historical tsunamis. Chapter 2 describes the 1755 Lisbon earthquake and tsunami, although no tectonic background is given for this event, as it is for the other two events considered in this volume. Included in this chapter, however, is a brief but fascinating account of how this earthquake affected scientific and philosophical thought during the Age of Enlightenment. The authors’ description of the 2004 Sumatra–Andaman earthquake and tsunami in Chapter 3 includes instrumental and post-tsunami measurements of the tsunami, ground shaking and subsidence, and other effects such as mud volcanoes. Primarily, tsunami observations are described for the 2011 Japan event, including a brief summary of the nuclear disaster in the Fukushima region. The fifth chapter is on tsunami warning systems, including new and emerging systems around the world in the twenty-first century. The final chapter provides perspectives on why these events were so destructive and how future hazards may be mitigated. Review info: Three Great Tsunamis: Lisbon (1755), Sumatra–Andaman (2004), and Japan (2011). By Harsh K. Gupta and Vineet K. Gahalaut, 2013. ISBN: 978-9400765757

Pure and Applied Geophysics

The North American Amphibian Monitoring Program. [abstract]

The North American Amphibian Monitoring Program has been under development for the past three years. The monitoring strategy for NAAMP has five main prongs: terrestrial salamander surveys, calling surveys, aquatic surveys, western surveys, and atlassing. Of these five, calling surveys were selected as one of the first implementation priorities due to their friendliness to volunteers of varying knowledge levels, relative low cost, and the fact that several groups had already pioneered the techniques involved. While some states and provinces had implemented calling surveys prior to NAAMP, like WI and IL, most states and provinces had little or no history of state/provincewide amphibian monitoring. Thus, the majority of calling survey programs were initiated in the past two years. To assess the progress of this pilot phase, a program review was conducted on the status of the NAAMP calling survey program, and the results of that review will be presented at the meeting. Topics to be discussed include: who is doing what where, extent of route coverage, the continuing random route discussions, quality assurance, strengths and weaknesses of calling surveys, reliability of data, and directions for the future. In addition, a brief overview of the DISPro project will be included. DISPro is a new amphibian monitoring program in National Parks, funded by the Demonstration of Intensive Sites Program (DISPro) through the EPA and NPS. It will begin this year at Big Bend and Shenandoah National Parks. The purpose of the DISPro Amphibian Project will be to investigate relationships between environmental factors and stressors and the distribution, abundance, and health of amphibians in these National Parks. At each Park, amphibian long-term monitoring protocols will be tested, distributions and abundance of amphibians will be mapped, and field research experiments will be conducted to examine stressor effects on amphibians (e.g., ultraviolet radiation, contaminants, acidification).

Book chapter

Evidence for millennial-scale climate change during marine isotope stages 2 and 3 at Little Lake, Western Oregon, U.S.A.

Pollen and geochemical data from Little Lake, western Oregon, suggest several patterns of millennial-scale environmental change during marine isotope stage (MIS) 2 (14,100-27,600 cal yr B.P.) and the latter part of MIS 3 (27,600-42,500 cal yr B.P.). During MIS 3, a series of transitions between warm- and cold-adapted taxa indicate that temperatures oscillated by ca. 2??-4??C every 1000-3000 yr. Highs and lows in summer insolation during MIS 3 are generally associated with the warmest and coldest intervals. Warm periods at Little Lake correlate with warm sea-surface temperatures in the Santa Barbara Basin. Changes in the strength of the subtropical high and the jet stream may account for synchronous changes at the two sites. During MIS 2, shifts between mesic and xeric subalpine forests suggest changes in precipitation every 1000-3000 yr. Increases in Tsuga heterophylla pollen at 25,000 and 22,000 cal yr B.P. imply brief warmings. Minimum summer insolation and maximum global ice-volumes during MIS 2 correspond to cold and dry conditions. Fluctuations in precipitation at Little Lake do not correlate with changes in the Santa Barbara Basin and may be explained by variations in the strength of the glacial anticyclone and the position of the jet stream. ?? 2001 University of Washington.

Quaternary Research

Report of the Hawaiian Volcano Observatory of the Massachusetts Institute of Technology and the Hawaiian Volcano Research Association

The First Report of the Hawaiian Volcano Observatory is a collection of nine papers. The first provides details of the founding of the Observatory and the second reviews Kīlauea volcanic activity between 1909 and 1911. The next two papers detail the work of the Observatory by Frank Perret and E.S. Shepherd, who both arrived at Kīlauea in the summer of 1911. The third paper focuses on Perret's observations of the eruption within Halema'uma'u, a crater within Kīlauea summit caldera, and includes six weekly articles he wrote for local newspapers. The fourth paper is an account of the first successful attempt to measure the temperature of lava in Halema'uma'u. The next three papers are summaries of Halema'uma'u activity spanning the time after Frank Perret left in the Fall of 1911 to April 3, 1912. The last two papers are brief reports on Mauna Loa.

Report of the Hawaiian Volcano Observatory

Lake levels in a discontinuous permafrost landscape: Late Holocene variations inferred from sediment oxygen isotopes, Yukon Flats, Alaska

During recent decades, lake levels in the Yukon Flats region of interior Alaska have fluctuated dramatically. However, prior to recorded observations, no data are available to indicate if similar or more extreme variations occurred during past centuries and millennia. This study explores the history of Yukon Flats lake origins and lake levels for the past approximately 5,500 years from sediment analyses guided by previous work on permafrost extent, thermokarst, and modern isotope hydrology. Sediments dated by 210 Pb and AMS radiocarbon indicate stable chronologies following initial lake initiation. Subsequent lithology is autochthonous, and oxygen isotope ratios of endogenic carbonate reflect lake level change at multiple time scales. Sediment results indicate high lake levels between approximately 4000 and 1850 cal yr BP, which is interpreted to reflect wetter-than-modern conditions. Lower lake levels with short-lived high stands during the past approximately 800 years reflect generally arid conditions with brief wet intervals similar to the region’s moisture regime today. The millennial trend is one of increasing aridity and corresponds closely with fire reconstructions and regional paleoclimatic trends. We conclude that high-magnitude lake-level fluctuations and decadal scale trends occurred before the observational period and are persistent hydroclimatic features of the Yukon Flats region.

Alaska

GSTARS computer models and their applications, Part II: Applications

In part 1 of this two-paper series, a brief summary of the basic concepts and theories used in developing the Generalized Stream Tube model for Alluvial River Simulation (GSTARS) computer models was presented. Part 2 provides examples that illustrate some of the capabilities of the GSTARS models and how they can be applied to solve a wide range of river and reservoir sedimentation problems. Laboratory and field case studies are used and the examples show representative applications of the earlier and of the more recent versions of GSTARS. Some of the more recent capabilities implemented in GSTARS3, one of the latest versions of the series, are also discussed here with more detail. ?? 2008 International Research and Training Centre on Erosion and Sedimentation and the World Association for Sedimentation and Erosion Research.

International Journal of Sediment Research

Riparian groundwater and baseflow studies in the Upper Colorado River Basin

Executive summary As part of an ongoing effort to understand baseflow in the Upper Colorado River Basin (UCRB) and implications for stream-dependent ecosystems, we conducted a brief review of literature related to groundwater and baseflow in the UCRB. We included primary literature, federal and state resources, databases and gray literature studies on groundwater, baseflow, and springs in the UCRB region. This review provides examples of the types of groundwater and baseflow studies published for the UCRB with sections on whole-basin studies, catchment and reach studies and their locations, water quality studies, studies adjacent to the UCRB, state and federal groundwater resources, and finally a discussion of potential further directions. Despite the limited nature of the review, we summarize numerous studies related to groundwater in the UCRB which will be valuable to researchers interested in groundwater and baseflow dynamics in the region.

Arizona, Colorado, New Mexico, Utah, Wyoming

Bringing traits back in the equation: A roadmap to understand species redistribution

Ecological and evolutionary theories have proposed that species traits should be important in mediating species responses to contemporary climate change; yet, empirical evidence has so far provided mixed evidence for the role of behavioral, life history, or ecological characteristics in facilitating or hindering species range shifts. As such, the utility of trait-based approaches to predict species redistribution under climate change has been called into question. We develop the perspective, supported by evidence, that trait variation, if used carefully can have high potential utility, but that past analyses have in many cases failed to identify an explanatory value for traits by not fully embracing the complexity of species range shifts. First, we discuss the relevant theory linking species traits to range shift processes at the leading (expansion) and trailing (contraction) edges of species distributions and highlight the need to clarify the mechanistic basis of trait-based approaches. Second, we provide a brief overview of range shift–trait studies and identify new opportunities for trait integration that consider range-specific processes and intraspecific variability. Third, we explore the circumstances under which environmental and biotic context dependencies are likely to affect our ability to identify the contribution of species traits to range shift processes. Finally, we propose that revealing the role of traits in shaping species redistribution may likely require accounting for methodological variation arising from the range shift estimation process as well as addressing existing functional, geographical, and phylogenetic biases. We provide a series of considerations for more effectively integrating traits as well as extrinsic and methodological factors into species redistribution research. Together, these analytical approaches promise stronger mechanistic and predictive understanding that can help society mitigate and adapt to the effects of climate change on biodiversity.

Global Change Biology

Potential utility of environmental DNA for early detection of Eurasian watermilfoil ( Myriophyllum spicatum )

Considering the harmful and irreversible consequences of many biological invasions, early detection of an invasive species is an important step toward protecting ecosystems (Sepulveda et al. 2012). Early detection increases the probability that suppression or eradication efforts will be successful because invasive populations are small and localized (Vander Zanden et al. 2010). However, most invasive species are not detected early because current tools have low detection probabilities when target species are rare and the sampling effort required to achieve acceptable detection capabilities with current tools is seldom tractable (Jerde et al. 2011). As a result, many invasive species go undetected until they are abundant and suppression efforts become costly. Novel DNA-based surveillance tools have recently revolutionized early detection abilities using environmental DNA (eDNA) present in the water (Darling and Mahon 2011, Bohmann et al. 2014). In brief, eDNA monitoring enables the identification of organisms from DNA present and collected in water samples. Aquatic and semiaquatic organisms release DNA contained in sloughed, damaged, or partially decomposed tissue and waste products into the water and molecular techniques allow this eDNA in the water column to be identified from simple and easy-tocollect water samples (Darling and Mahon 2011). Despite limited understanding of the production, persistence, and spread of DNA in water (Barnes et al. 2014), eDNA monitoring has been applied not only to invasive species (Jerde et al. 2011), but also to species that are rare, endangered, or highly elusive (Spear et al. 2014). However, most eDNA research and monitoring has focused on detection of invertebrates and vertebrates and less attentionhas been given to developing eDNA techniques for detecting aquatic invasive plants. Eurasian watermilfoil (EWM; Myriophyllum spicatum L.) is an invasive species for which improved early detection would be particularly helpful. Advanced EWM invasions have negative impacts on native biodiversity, recreational boating, fishing, and other types of aquatic tourism (e.g., Eiswerth et al. 2000). On a broader scale, EWM can also be harmful to man-made aquatic infrastructure, such as hydroelectric dams. If an EWM invasion can be detected in an early stage where eradication is still a possibility, many of these negative consequences can be limited or prevented altogether (e.g., Madsen et al. 2002). The purpose of this research was to develop and validate a traditional polymerase chain reaction (PCR) assay for the detection of pure and hybridized EWM DNA using both laboratory and field experiments. We performed a pilot experiment in outdoor tanks to determine the basic functionality and sensitivity of the assay. Following this initial test, we collected field samples from Michigan and Montana lakes with and without known EWM populations. Taken together, our findings suggest that eDNA techniques have potential to be a useful strategy for the early detection of EWM.

Journal of Aquatic Plant Management

The 17 January 1994 Northridge, California, earthquake: A retrospective analysis

The 17 January 1994 Northridge, California, earthquake was a watershed event, with far-reaching societal and scientific impacts. The earthquake, which occurred in the early days of both broadband seismic networks and the Internet, spurred advances in seismic monitoring, real-time systems, and development of data products. Motivated by the 30th anniversary of the earthquake, we present a brief retrospective of the earthquake and its impact, and reconsider both ground motions and the aftershock distribution using modern tools and best-available data. With improvements in instrumentation and analysis methodology, recent earthquakes continue to reveal increasing complexity of ground motions, fault systems, and earthquake ruptures. Even in the absence of data from state-of-the art instrumentation, a retrospective consideration of ground motion data from the Northridge earthquake reveals complexities beyond what could be characterized (and modeled) thirty years ago. Aftershock relocations for both the 1971 Sylmar and 1994 Northridge earthquakes also reveal an updated view of fault complexity. Our study does provide a cautionary tale regarding legacy data sets and research results that are not easily accessible, which can result in discrepancies between catalog data and products from best-available science. We also briefly describe outreach products produced as part of the anniversary commemoration.

California

Critical aquifer overdraft accelerates degradation of groundwater quality in California’s Central Valley during drought

Drought-induced pumpage has precipitated dramatic groundwater-level declines in California’s Central Valley over the past 30 years, but the impacts of aquifer overdraft on water quality are poorly understood. This study coupled over 160,000 measurements of nitrate from ∼6,000 public-supply wells with a 30-year reconstruction of groundwater levels throughout the Central Valley to evaluate dynamic relations between aquifer exploitation and resource quality. We find that long-term rates of groundwater-level decline and water-quality degradation in critically overdrafted basins accelerate by respective factors of 2–3 and 3–5 during drought, followed by brief reversals during wetter periods. Episodic water-quality degradation can occur during drought where increased pumpage draws shallow, contaminated groundwater down to depth zones tapped by long-screened production wells. These data show, for the first time, a direct linkage between climate-mediated aquifer pumpage and groundwater quality on a regional scale.

California

Urban growth in American cities : glimpses of U.S. urbanization

The Earth's surface is changing rapidly. Changes are local, regional, national, and even global in scope. Some changes have natural causes, such as earthquakes or drought. Other changes, such as urban expansion, agricultural intensification, resource extraction, and water resources development, are examples of human-induced change that have significant impact upon people, the economy, and resources. The consequences that result from these changes are often dramatic and widespread (Buchanan, Acevedo, and Zirbes, 2002) It is the role of the U.S. Geological Survey (USGS) to provide useful and relevant scientific information both to the agencies within the Department of the Interior and to the Nation in general. In an effort to comply with this task, USGS scientists are assessing the status of, and the trends in, the Nation's land surface. This assessment provides useful information for regional and national land use decisionmaking. This knowledge can be used to deal with issues of significance to the Nation, such as quality-of-life, ecology of urban environments, ecosystem health, ecological integrity, water quality and quantity concerns, resource availability, vulnerability to natural hazards, safeguards to human health, air and land quality, and accessibility to scientific information. Results of these assessments can also be analyzed to reveal rates and trends in land use change. Results from urban growth studies provide a firm foundation for continuing research that explores the consequences of human modification of the landscape. The USGS seeks to illustrate and explain the spatial history of urban growth and corresponding land use change. Scientists are studying urban environments from a regional perspective and a time scale of decades to measure the changes that have occurred in order to help understand the impact of anticipated changes in the future. Within this booklet are pairs of images of selected urbanized regions from across the Nation. These image pairs illustrate the transformation that these areas have undergone over two decades. Specifically, they depict changes in the extent of urban land. Each change pair is composed of one image from the 1970s and one image from the 1990s. Accompanying each image pair is a brief historical geography of factors that helped facilitate major changes that have occurred since the founding of the main city and the consequences and challenges of regional urban growth. The goal of this publication is to provide an illustration of urban change that is easily understood by a broad audience. The images used throughout this booklet were generated from land cover data developed by the USGS. The data sources include the Geographic Information Retrieval and Analysis System (GIRAS) for the 1970s images and the National Land Cover Dataset (NLCD) for the 1990s images. GIRAS digital maps are based on photointerpretations completed in the mid-1970s. The NLCD is a land cover dataset for the conterminous United States based on 1992 Landsat thematic mapper (TM) satellite imagery and supplemental data (fig. 1a and fig. 1b). The USGS distributes both of these land use and land cover digital datasets. The images were developed by using a geographic information system (GIS). The GIRAS and NLCD datasets were used to identify urban land within each region. In the final images all urban areas are shown in red. A shaded-relief map of each region was used to display the topographic context of the red polygon coverage. For all of these images, urban land is defined as areas transformed into a built-up environment for human use. It includes residential areas, commercial and industrial developments, transportation features, and institutions.

Circular

Diving behavior of Pink-footed Shearwaters Ardenna creatopus rearing chicks on Isla Mocha, Chile

Recent information reporting Pink-footed Shearwater Ardenna creatopus mortality from fisheries bycatch throughout its range has encouraged fisheries managers in Chile to evaluate and consider shearwater foraging behaviors to better evaluate risk. In response, we tracked six chickrearing adult Pink-footed Shearwaters from Isla Mocha, off south-central Chile, from 19 to 28 March 2015 using global positioning sensors and time-depth recorders. We recorded seven complete trips averaging 4.2 ± 2.5 d (mean ± SD). Chick-provisioning adults foraged within 334 km (i.e., 175 ± 100 km) of Isla Mocha. Dives (n = 515) occurred throughout the measured foraging range but most frequently occurred within 5–30 km from the mainland coast, in continental shelf waters north of Valdivia. Other regions with diving behavior were within ~20 km of Isla Mocha, and from Lebu to north of Talcahuano. Based on movement behavior analysis, adults spent most of their time at sea “resting/ foraging” (62% ± 6%), with the remainder spent “searching” (16% ± 4%) and “transiting” (20% ± 5%). The proportions of total number of dives associated with these three behaviors were similar. On average, dives were relatively shallow (1.6 ± 1.2 m, maximum depth = 10.1 m) and brief (4.7 ± 4.8 s, maximum duration = 25.7 s). Dives occurred during the day, at night, and at twilight, with most activity occurring at twilight and during the day. Although based on a small sample size, our results may be useful for informing modifications to fishing gear or fisheries policy to reduce the likelihood of bycatch and thus meet Chilean conservation goals for Pink-footed Shearwaters.

Isla Mocha

Origin and age of the Lake Nyos maar, Cameroon

Lake Nyos occupies a young maar crater in the Precambrian granitic terrane of northwest Cameroon. The lake is partly surrounded by poorly consolidated, ultramafic nodule-bearing pyroclastic surge deposits that were explosively ejected from the Nyos crater at the time of its formation. Radiocarbon dates show that the maar probably formed about 400 years ago. Field evidence suggests that carbon dioxide could have been the principal volatile involved in the formation of the Nyos maar, and that the role of water may have been minor. The formation of the Nyos maar was preceded by a brief period of effusive basaltic volcanism, but the maar itself may have largely formed by cold, 'dry' explosive processes. Carbon dioxide may still be trapped interstitially in a diatreme inferred to underlie Lake Nyos; its gradual release into the waters of Lake Nyos may have set the stage for the tragic gas-release event of August 21, 1986. Only young maar lakes such as Nyos may pose a danger of future lethal gas releases. ?? 1989.

Journal of Volcanology and Geothermal Research

User's guide to the wetland creation/restoration data base, version 2

Wetland creation or restoration projects are frequently proposed as mitigation for unavoidable wetland losses, as components of wetland enhancement programs, and as tools to accomplish specific objectives such as waterfowl production or flood control. There is considerable controversy concerning the effectiveness of such projects as well as the most appropriate and efficient techniques to employ. The importance of the resource and the long time scales involved in fully evaluating a creation or restoration effort make it imperative to consider existing information as fully as possible in the development and evaluation of wetland creation or restoration proposals. To aid in the evaluation of wetland/creation efforts, the U.s. Fish and Wildlife Service (FWS), National Ecology Research Center, has developed the Wetland Creation/Restoration (WCR) Data Base. The data base is a highly indexed or keyworded bibliography of wetland creation or restoration articles. ("Articles" refers to any type of publication that deals specifically with wetland creation/restoration projects or studies.) The scope of the articles is international, although most of them are concerned with projects conducted in the United States. Information coded for each article includes author; citation; type of wetland and its location in terms of state, ecoregion, and FWS region; type of study undertaken; objectives in creating or restoring the wetland; actions performed to realize those objectives; length of time encompassed by the study; evaluation of results and responses to the wetland creation/restoration actions; and a listing of plant species significant to the project. A brief annotation summarizes the article and includes any significant additional information that may not be adequately reflected in the above described fields. Many of these articles describe only one or two components of a total wetland restoration effort. Planning a project that is designed to restore a wetland system (including at least some of its functions) is similar to constructing a picture from a number of puzzle pieces--missing pieces represent data gaps or information that is not available. Articles range from specific case studies, to overviews of restoration methods and techniques, to planning restoration projects and assessing programmatic and administrative backgrounds and interactions. In this data base, the term "restoration" is applied loosely to include rehabilitation of wetlands. It may refer to a number of situations or actions including, but not limited to: 1. breaching dikes or plugging drains; 2. water pollution clean-up; 3. conversion of eutrophic conditions; 4. wastewater treatment; 5. recolonization of previously disturbed or denuded areas; 6. amelioration of adverse conditions (erosion, wave, or wind action); 7. soil treatment --mulching, fertilization; 8. rerouting streams --may include construction of meander patterns; 9. monitoring natural vegetation; or 0. excluding grazers (geese, cattle) and monitoring results. This report describes the format and content of Version 2 of the WCR data base. Version 2 differs from the previous version described in SchnellerMcDonald et al. (1988): several fields have been dropped and condensed and new records have been added. Version 2 includes all records distributed with the earlier version and its updates. We recommend you replace any previous version with Version 2.

Book

Latency of waveform data delivery from the Southern California Seismic Network during the 2019 Ridgecrest earthquake sequence and its effect on ShakeAlert

The occurrence of the 4–6 July 2019 M w 6.4 and M w 7.1 Ridgecrest earthquake sequence provided the first full‐scale test of the network and telemetry readiness of the Southern California Seismic Network (SCSN), to support the ShakeAlert earthquake early warning (EEW) system in California. ShakeAlert is a U.S. Geological Survey (USGS)‐led collaboration to detect earthquakes and, when possible, to alert the public before the arrival of the strongest shaking. The SCSN performed well in its regional monitoring role for both the 4 July M w 6.4 and the 6 July M w 7.1 earthquakes. In the EEW role, it provided timely delivery of 5 s of P ‐wave data to ShakeAlert, which issued its first alert 6.9 s after origin time. Data delivery at peak data volumes for many stations exhibited some latency, and, as a consequence, some data arrived too late for analysis by one of the EEW algorithms. We find that the average link bandwidth for each station was sufficient, because all waveform data were delivered automatically to the archive, but link capacity for many stations was insufficient for peak demand. We describe the performance of the data telemetry for the sequence, including cellular, radio, hybrid, and backhaul systems. Cellular‐based telemetry systems maintained low latency throughout strong shaking and after, but some stations, even at great distances, experienced subsequent brief increases in latency. Performance of radio links depended mostly on the signal strength of the link, with short‐distance direct shots to high‐bandwidth backhaul systems showing no latency impact, whereas stations on some long distance or marginal quality links suffered latencies of tens or hundreds of seconds. Improvements are being implemented to move telemetry links onto USGS and partner high‐bandwidth microwave systems, and to reduce dependency on less robust long‐distance radio shots.

California