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At least 1,477 records · Page 82Linked to original sources

Maps of quaternary deposits and liquefaction susceptibility in the Central San Francisco Bay Region, California

This report presents a map and database of Quaternary deposits and liquefaction susceptibility for the urban core of the San Francisco Bay region. It supercedes the equivalent area of U.S. Geological Survey Open-File Report 00-444 (Knudsen and others, 2000), which covers the larger 9-county San Francisco Bay region. The report consists of (1) a spatial database, (2) two small-scale colored maps (Quaternary deposits and liquefaction susceptibility), (3) a text describing the Quaternary map and liquefaction interpretation (part 3), and (4) a text introducing the report and describing the database (part 1). All parts of the report are digital; part 1 describes the database and digital files and how to obtain them by downloading across the internet. The nine counties surrounding San Francisco Bay straddle the San Andreas fault system, which exposes the region to serious earthquake hazard (Working Group on California Earthquake Probabilities, 1999). Much of the land adjacent to the Bay and the major rivers and streams is underlain by unconsolidated deposits that are particularly vulnerable to earthquake shaking and liquefaction of water-saturated granular sediment. This new map provides a consistent detailed treatment of the central part of the 9-county region in which much of the mapping of Open-File Report 00-444 was either at smaller (less detailed) scale or represented only preliminary revision of earlier work. Like Open-File Report 00-444, the current mapping uses geomorphic expression, pedogenic soils, inferred depositional environments, and geologic age to define and distinguish the map units. Further scrutiny of the factors controlling liquefaction susceptibility has led to some changes relative to Open-File Report 00-444: particularly the reclassification of San Francisco Bay mud (Qhbm) to have only MODERATE susceptibility and the rating of artificial fills according to the Quaternary map units inferred to underlie them (other than dams - adf). The two colored maps provide a regional summary of the new mapping at a scale of 1:200,000, a scale that is sufficient to show the general distribution and relationships of the map units but not to distinguish the more detailed elements that are present in the database. The report is the product of cooperative work by the National Earthquake Hazards Reduction Program (NEHRP) and National Cooperative Geologic Mapping Program of the U.S. Geological Survey, William Lettis and & Associates, Inc. (WLA), and the California Geological Survey. An earlier version was submitted to the U.S. Geological Survey by WLA as a final report for a NEHRP grant (Witter and others, 2005). The mapping has been carried out by WLA geologists under contract to the NEHRP Earthquake Program (Grant 99-HQ-GR-0095) and by the California Geological Survey.

Open-File Report↗

Coastal mapping programs at the U.S. Fish and Wildlife Service's National Wetlands Research Center

Over the past 10 years, the U.S. Fish and Wildlife Service's (FWS) National Wetlands Research Center (center; formerly the National Coastal Ecosystems Team) has been continuously involved in the production of maps for use by coastal decision makers. The types of maps produced by the center have been national, regional, or local in scope depending on user needs. Map scales have ranged from 1:24,000 to 1:250,000. Themes depicted have included biological resources, including wetlands and seagrasses; upland habitat or land use; water resources such as water quality, bathymetry, and salinity; cultural features such as ownership, archaeological sites, and dredge-spoil disposal areas; and soils and landforms. We present overviews on the various mapping programs of the center. We highlight efforts such as the ecological inventories of the Atlantic, Gulf, and Pacific coasts; the ecological characterization atlases of the Gulf of Mexico; and the large scale (1:24,000) habitat maps of various coastal regions of the United States. Center methods and techniques are discussed, including the collaborative efforts between the center and FWS's National Wetlands Inventory for updating wetland maps and adding upland and seagrass bed delineations to inventory maps. We also make recommendations for future coastal ecosystem mapping programs that use conventional and automated mapping methodologies, such as geographic information systems and image processing.

Biological Report↗

Rainfall-threshold conditions for landslides in a humid-tropical system

Landslides are triggered by factors such as heavy rainfall, seismic activity, and construction on hillslopes. The leading cause of landslides in Puerto Rico is intense and/or prolonged rainfall. A rainfall threshold for rainfall-triggered landsliding is delimited by 256 storms that occurred between 1959 and 1991 in the central mountains of Puerto Rico, where mean annual rainfall is close to or in excess of 2,000 mm. Forty one of the 256 storms produced intense and/or prolonged rainfall that resulted in tens to hundreds of landslides. A threshold fitted to the lower boundary of the field defined by landslide-triggering storms is expressed as I = 91.46 D -0.82 where I is rainfall intensity in millimeters per hour, and D is duration in hours. Landslide-producing storms occurred at an average rate of 1.2 per year. In general the landslides triggered by short-duration, high-intensity rainfall events were mainly shallow soil slips and debris flows, while the long-duration, low-intensity rainfall produced larger, deeper debris avalanches and slumps. For storms that had durations of up to 10 h, landsliding did not occur until rainfall intensity was as much as three times as high as the rainfall intensity reported as sufficient to trigger landsliding in temperate regions. As storm durations approach 100 h, the rainfall conditions necessary to initiate landsliding in Puerto Rico converge with those defined for temperate regions. A comparison of the Puerto Rico threshold with rainfall data from other humid-tropical regions suggests that the threshold developed for Puerto Rico may be applicable to other similar environments throughout the world.

Geografiska Annaler, Series A: Physical Geography↗

Assessing winter cover crop nutrient uptake efficiency using a water quality simulation model

Winter cover crops are an effective conservation management practice with potential to improve water quality. Throughout the Chesapeake Bay Watershed (CBW), which is located in the Mid-Atlantic US, winter cover crop use has been emphasized and federal and state cost-share programs are available to farmers to subsidize the cost of winter cover crop establishment. The objective of this study was to assess the long-term effect of planting winter cover crops at the watershed scale and to identify critical source areas of high nitrate export. A physically-based watershed simulation model, Soil and Water Assessment Tool (SWAT), was calibrated and validated using water quality monitoring data and satellite-based estimates of winter cover crop species performance to simulate hydrological processes and nutrient cycling over the period of 1991–2000. Multiple scenarios were developed to obtain baseline information on nitrate loading without winter cover crops planted and to investigate how nitrate loading could change with different winter cover crop planting scenarios, including different species, planting times, and implementation areas. The results indicate that winter cover crops had a negligible impact on water budget, but significantly reduced nitrate leaching to groundwater and delivery to the waterways. Without winter cover crops, annual nitrate loading was approximately 14 kg ha −1 , but it decreased to 4.6–10.1 kg ha −1 with winter cover crops resulting in a reduction rate of 27–67% at the watershed scale. Rye was most effective, with a potential to reduce nitrate leaching by up to 93% with early planting at the field scale. Early planting of winter cover crops (~30 days of additional growing days) was crucial, as it lowered nitrate export by an additional ~2 kg ha −1 when compared to late planting scenarios. The effectiveness of cover cropping increased with increasing extent of winter cover crop implementation. Agricultural fields with well-drained soils and those that were more frequently used to grow corn had a higher potential for nitrate leaching and export to the waterways. This study supports the effective implement of winter cover crop programs, in part by helping to target critical pollution source areas for winter cover crop implementation.

Chesapeake Bay Watershed↗

Chlorine-36 and the initial value problem

Chlorine-36 is a radionuclide with a half-life of 3.01×10 5 a. Most 36 Cl in the hydrosphere originates from cosmic radiation interacting with atmospheric gases. Large amounts were also produced by testing thermonuclear devices during 1952–58. Because the monovalent anion, chloride, is the most common form of chlorine found in the hydrosphere and because it is extremely mobile in aqueous systems, analyses of both total Cl – as well as 36 Cl have been important in numerous hydrologic studies. In almost all applications of 36 Cl, a knowledge of the initial, or pre-anthropogenic, levels of 36 Cl is useful, as well as essential in some cases. Standard approaches to the determination of initial values have been to: (a) calculate the theoretical cosmogenic production and fallout, which varies according to latitude; (b) measure 36 Cl in present-day precipitation and assume that anthropogenic components can be neglected; (c) assume that shallow groundwater retains a record of the initial concentration; (d) extract 36 Cl from vertical depth profiles in desert soils; (e) recover 36 Cl from cores of glacial ice; and (f) calculate subsurface production of 36 Cl for water that has been isolated from the atmosphere for more than one million years. The initial value from soil profiles and ice cores is taken as the value that occurs directly below the depth of the easily defined bomb peak. All six methods have serious weaknesses. Complicating factors include 36 Cl concentrations not related to cosmogenic sources, changes in cosmogenic production with time, mixed sources of chloride in groundwater, melting and refreezing of water in glaciers, and seasonal groundwater recharge that does not contain average year-long concentrations of 36 Cl.

Hydrogeology Journal↗

Characterizing mercury concentrations and fluxes in a Coastal Plain watershed: Insights from dynamic modeling and data

Mercury (Hg) is one of the leading water quality concerns in surface waters of the United States. Although watershed-scale Hg cycling research has increased in the past two decades, advances in modeling watershed Hg processes in diverse physiographic regions, spatial scales, and land cover types are needed. The goal of this study was to assess Hg cycling in a Coastal Plain system using concentrations and fluxes estimated by multiple watershed-scale models with distinct mathematical frameworks reflecting different system dynamics. We simulated total mercury (Hg T , the sum of filtered and particulate forms) concentrations and fluxes from a Coastal Plain watershed (McTier Creek) using three watershed Hg models and an empirical load model. Model output was compared with observed in-stream Hg T . We found that shallow subsurface flow is a potentially important transport mechanism of particulate Hg T during periods when connectivity between the uplands and surface waters is maximized. Other processes (e.g., stream bank erosion, sediment re-suspension) may increase particulate Hg T in the water column. Simulations and data suggest that variable source area (VSA) flow and lack of rainfall interactions with surface soil horizons result in increased dissolved Hg T concentrations unrelated to DOC mobilization following precipitation events. Although flushing of DOC-Hg T complexes from surface soils can also occur during this period, DOC-complexed Hg T becomes more important during base flow conditions. TOPLOAD simulations highlight saturated subsurface flow as a primary driver of daily Hg T loadings, but shallow subsurface flow is important for Hg T loads during high-flow events. Results suggest limited seasonal trends in Hg T dynamics.

South Carolina↗

The impact of hydrate saturation on the mechanical, electrical, and thermal properties of hydrate-bearing sand, silts, and clay

Proper understanding of the physical properties of hydrate-bearing sediments is required for interpretation of borehole logs and exploration geophysical data, the analysis of borehole and submarine slope stability, and the formulation of reservoir simulation and production models. Yet current knowledge of geophysical and geotechnical properties of hydrate-bearing sediments is still largely derived from laboratory experiments conducted on disparate soils at different confining pressures, degrees of water saturation, and hydrate concentrations and with hydrates formed by methods unlike those that predominate in nature. We conducted a comprehensive laboratory program using sand, silts, and clay subjected to various confining effective stress levels in standardized geotechnical laboratory devices and containing carefully controlled saturations of tetrahydrofuran (THF) hydrate formed from the dissolved phase. Here, we undertake complete analysis of the trends in the measured geophysical and geotechnical properties (e.g., seismic velocities, strength, electrical conductivity and permittivity, and thermal conductivity) as a function of hydrate saturation, soil characteristics, and effective stress. Results reveal that the electrical properties of hydrate-bearing sediments are not very sensitive to the laboratory method used to form hydrate, which controls the pore-scale arrangement of hydrate and sediment grains, but are sensitive to hydrate saturation. Mechanical properties are strongly influenced by both soil properties and the hydrate formation method. Thermal conductivity depends on the complex interplay of a variety of factors, including formation history, and cannot be easily predicted by volume average formulations but will remain within physical upper and lower bounds. When hydrate forms from dissolved phase guest molecules, the resulting mathematical trends for all physical properties require that the hydrate saturation Sh in pore space, which is a quantity between 0≤ Sh ≤1.0 , be raised to a power greater than 1. This significantly reduces the impact of low-hydrate saturations on the measured physical parameters, an effect that is particularly pronounced at the hydrate saturations characteristic of many natural systems (<0.2 of pore space).

Book chapter↗

Preliminary hydrogeologic investigation of the Maxey Flats radioactive waste burial site, Fleming County, Kentucky

Burial trenches at the Maxey Flats radioactive waste burial site , Fleming County, Ky., cover an area of about 0.03 square mile, and are located on a plateau, about 300 to 400 feet above surrounding valleys. Although surface-water characteristics are known, little information is available regarding the ground-water hydrology of the Maxey Flats area. If transport of radionuclides from the burial site were to occur, water would probably be the principal mechanism of transport by natural means. Most base flow in streams around the burial site is from valley alluvium, and from the mantle of regolith, colluvium, and soil partially covering adjacent hills. Very little base flow is due to ground-water flow from bedrock. Most water in springs is from the mantle, rather than from bedrock. Rock units underlying the Maxey Flats area are, in descending order, the Nancy and Farmers Members of the Borden Formation, Sunbury, Bedford, and Ohio Shales, and upper part of the Crab Orchard Formation. These units are mostly shales, except for the Farmers Member, which is mostly sandstone. Total thickness of the rocks is about 320 feet. All radioactive wastes are buried in the Nancy Member. Most ground-water movement in bedrock probably occurs in fractures. The ground-water system at Maxey Flats is probably unconfined, and recharge occurs by (a) infiltration of rainfall into the mantle, and (b) vertical, unsaturated flow from the saturated regolith on hilltops to saturated zones in the Farmers Member and Ohio Shale. Data are insufficient to determine if saturated zones exist in other rock units. The upper part of the Crab Orchard Formation is probably a hydrologic boundary, with little ground-water flow through the formation. (USGS)

Open-File Report↗

Groundwater age estimates for the Mississippi River Valley alluvial aquifer based on tracer data collected during 2018–20

This study characterized groundwater age across the Mississippi River Valley alluvial aquifer (MRVA). Groundwater samples from 69 MRVA wells and 19 wells in Tertiary units of the Mississippi embayment aquifer system (MEAS) were analyzed for sulfur hexafluoride (SF 6 ), tritium ( 3 H), helium (He), and (or) carbon-14 of dissolved inorganic carbon ( 14 C). The age distributions of 89 samples were estimated by fitting lumped parameter models to processed tracer concentrations with the U.S. Geological Survey software TracerLPM. Mean ages of MRVA groundwater samples ranged from 12 to 22,000 years, with a median of 140 years. Mean ages of MEAS groundwater samples ranged from 230 to 52,000 or more years, with a median of 13,500 years. The spatial distribution of MRVA groundwater ages was found to be influenced by depth, inflow of groundwater from deeper units, and soil saturated hydraulic conductivity. In parts of the MRVA, the spatial distribution of MRVA groundwater ages was found to be influenced by annual recharge and (or) annual groundwater pumpage.

Alabama, Arkansas, Illinois, Kentucky, Louisiana, ↗

Neonicotinoid insecticide removal by prairie strips in row-cropped watersheds with historical seed coating use

Neonicotinoids are a widely used class of insecticides that are commonly applied as seed coatings for agricultural crops. Such neonicotinoid use may pose a risk to non-target insects, including pollinators and natural enemies of crop pests, and ecosystems. This study assessed neonicotinoid residues in groundwater, surface runoff water, soil, and native plants adjacent to corn and soybean crop fields with a history of being planted with neonicotinoid-treated seeds from 2008-2013. Data from six sites with the same crop management history, three with and three without in-field prairie strips, were collected in 2015-2016, 2-3 years after neonicotinoid (clothianidin and imidacloprid) seed treatments were last used. Three of the six neonicotinoids analyzed were detected in at least one environmental matrix: the two applied as seed coatings on the fields (clothianidin and imidacloprid) and another widely used neonicotinoid (thiamethoxam). Sites with prairie strips generally had lower concentrations of neonicotinoids: groundwater and footslope soil neonicotinoid concentrations were significantly lower in the sites with prairie strips than those without; mean concentrations for groundwater were 11 and 20 ng/L (p = 0.048) and <1 and 6 ng/g (p = 0.0004) for soil, respectively. Surface runoff water concentrations were not significantly (p = 0.38) different for control sites (44 ng/L) or sites with prairie strips (140 ng/L). Consistent with the decreased inputs of neonicotinoids, concentrations tended to decrease over the sampling timeframe. Two sites recorded concentration increases, however, potentially due to disturbance of previous applications or influence from nearby fields where use of seed treatments continued. There were no detections (limit of detection: 1 ng/g) of neonicotinoids in the foliage or roots of plants comprising prairie strips, indicating a low likelihood of exposure to pollinators and other insects visiting these plants following the cessation of seed coating use. Offsite transport of neonicotinoids to aquatic systems through the groundwater and surface water were furthermore reduced with prairie strips. This study demonstrates the potential for prairie strips comprising 10% of an agricultural catchment to mitigate the non-target impacts of neonicotinoids.

Agriculture, Ecosystems and Environment↗

Characterizing pyrethroid and fipronil concentrations in biosolids

Pesticides are prevalent in wastewater, yet few studies have measured pesticides in biosolids and aqueous media from samples collected concurrently. Seventeen California wastewater treatment plants (WWTPs) were sampled in May 2020. Biosolids samples were analyzed for 27 analytes, and paired aqueous samples (influent and effluent) were analyzed for 23 analytes. Analytes included fipronil and its transformation products (fiproles), pyrethroids, novaluron, and several other pesticides with down-the-drain transport potential. Of the 27 compounds analyzed in biosolids samples, 16 were detected in at least one sample, and 10 had a detection frequency (DF) of at least 25 %. Fipronil sulfone, fipronil sulfide, and fipronil were the most frequently detected fiproles (DF = 100 %, 94 %, and 67 %, respectively); permethrin was the most frequently detected pyrethroid (DF = 100 %), followed by bifenthrin (DF = 94 %), cyhalothrin (DF = 89 %), and etofenprox (DF = 78 %). To elucidate fipronil transformation pathways within the treatment system, data from the three sample types were compared; findings were generally consistent with transformation pathways reported previously (e.g., some fiproles were rarely detected in influent or biosolids, but frequently detected in effluent, indicating their formation during the treatment process). No correlations were found between WWTP characteristics and pesticide concentrations in biosolids. The fraction of organic carbon ( f OC ) of each biosolids sample was measured, and a statistically significant negative correlation was observed between f OC and some fiproles, but not fipronil; possible explanations are discussed. Additional analysis for two major agricultural pesticides (bifenthrin and permethrin) indicated that estimated mass loads of these pesticides in biosolids applied to land as a soil amendment are minimal (approximately 2 to 3 orders of magnitude lower) compared to inputs from agricultural applications. This study provides insight on the magnitude of pesticides entering the environment via land-applied biosolids; existing regulations surrounding agricultural pesticide applications are expected to also be protective of the relatively low inputs from biosolids.

Science of the Total Environment↗

Formation of natural gas hydrates in marine sediments 1. Conceptual model of gas hydrate growth conditioned by host sediment properties

The stability of submarine gas hydrates is largely dictated by pressure and temperature, gas composition, and pore water salinity. However, the physical properties and surface chemistry of deep marine sediments may also affect the thermodynamic state, growth kinetics, spatial distributions, and growth forms of clathrates. Our conceptual model presumes that gas hydrate behaves in a way analogous to ice in a freezing soil. Hydrate growth is inhibited within fine-grained sediments by a combination of reduced pore water activity in the vicinity of hydrophilic mineral surfaces, and the excess internal energy of small crystals confined in pores. The excess energy can be thought of as a "capillary pressure" in the hydrate crystal, related to the pore size distribution and the state of stress in the sediment framework. The base of gas hydrate stability in a sequence of fine sediments is predicted by our model to occur at a lower temperature (nearer to the seabed) than would be calculated from bulk thermodynamic equilibrium. Capillary effects or a build up of salt in the system can expand the phase boundary between hydrate and free gas into a divariant field extending over a finite depth range dictated by total methane content and pore-size distribution. Hysteresis between the temperatures of crystallization and dissociation of the clathrate is also predicted. Growth forms commonly observed in hydrate samples recovered from marine sediments (nodules, and lenses in muds; cements in sands) can largely be explained by capillary effects, but kinetics of nucleation and growth are also important. The formation of concentrated gas hydrates in a partially closed system with respect to material transport, or where gas can flush through the system, may lead to water depletion in the host sediment. This "freeze-drying" may be detectable through physical changes to the sediment (low water content and overconsolidation) and/or chemical anomalies in the pore waters and metastable presence of free gas within the normal zone of hydrate stability.

Journal of Geophysical Research B: Solid Earth↗

Tracing mercury from land to river: Global sources, retention, and implications for sustainability

Mercury (Hg) pollution in river systems is a global sustainability challenge. Yet the transport, transformation, and retention of Hg within global rivers remain poorly quantified, particularly in regions with sparse observations such as Southeast Asia and Africa, hindering effective pollution mitigation and reinforcing geographic inequities in scientific knowledge and environmental governance. Here, we present the first global, high-resolution simulation of riverine Hg dynamics using a process-based model that traces Hg from land-based sources through river networks to the ocean. Under a realistic scenario, we estimate that ~1,900 megagrams per year (Mg/yr) of Hg enters global rivers, including 1,500 Mg/yr from human-induced sources and 400 Mg/yr from soil erosion. Nearly half of this flux (~1,000 Mg/yr) is retained in reservoirs and dams, which act as major sinks. While such retention limits downstream delivery to the oceans, it also heightens in-reservoir Hg methylation risks. By bridging the gap between Hg releases and observed riverine exports, our framework offers a scalable tool for data-limited regions, promotes data access, and supports global freshwater and pollution-management strategies.

EarthArXiv↗

Response of a 42-storey steel-frame building to the Ms = 7.1 Loma Prieta earthquake

A set of 14 acceleration records was obtained from a 42-storey steel-frame building, the Chevron Building, in San Francisco during the M s = 7.1 "> M s = 7.1 Loma Prieta earthquake of 17 October 1989. Data were analysed using a system identification method based on the discretetime linear filtering, and the least-squares estimation techniques. The results show that the response of the building is dominated by two modes: a translational mode in the weaker (southwest-northeast) principal direction of the building at 0.16 Hz with 5% damping, and a translational-torsional mode along the east-west diagonal of the building's cross-section at 0.20 Hz with 7% damping. There are significant contributions from higher modes at 0.54 Hz, 0.62 Hz, 1.02 Hz and 1.09 Hz. All the modes incorporate some torsion, but the amplitudes of torsional components are small, about 10% of translational amplitudes. Soil-structure interaction influences the vibrations near 1.0 Hz. The contribution of soil-structure interaction to the peak displacements of the building is significant, particularly at lower floors.

California↗

Effects of land use on greenhouse gas fluxes and soil properties of wetland catchments in the Prairie Pothole Region of North America

Wetland restoration has been suggested as policy goal with multiple environmental benefits including enhancement of atmospheric carbon sequestration. However, there are concerns that increased methane (CH 4 ) emissions associated with restoration may outweigh potential benefits. A comprehensive, 4-year study of 119 wetland catchments was conducted in the Prairie Pothole Region of the north-central U.S. to assess the effects of land use on greenhouse gas (GHG) fluxes and soil properties. Results showed that the effects of land use on GHG fluxes and abiotic soil properties differed with respect to catchment zone (upland, wetland), wetland classification, geographic location, and year. Mean CH 4 fluxes from the uplands were predictably low (< 0.02 g CH 4 m &minus; 2 day &minus; 1 ), while wetland zone CH 4 fluxes were much greater (< 0.001&ndash;3.9 g CH 4 m &minus; 2 day &minus; 1 ). Mean cumulative seasonal CH 4 fluxes ranged from roughly 0&ndash;650 g CH 4 m &minus; 2 , with an overall mean of approximately 160 g CH 4 m &minus; 2 . These maximum cumulative CH 4 fluxes were nearly 3 times as high as previously reported in North America. The overall magnitude and variability of N 2 O fluxes from this study (< 0.0001&ndash;0.0023 g N 2 O m &minus; 2 day &minus; 1 ) were comparable to previously reported values. Results suggest that soil organic carbon is lost when relatively undisturbed catchments are converted for agriculture, and that when non-drained cropland catchments are restored, CH 4 fluxes generally are not different than the pre-restoration baseline. Conversely, when drained cropland catchments are restored, CH 4 fluxes are noticeably higher. Consequently, it is important to consider the type of wetland restoration (drained, non-drained) when assessing restoration benefits. Results also suggest that elevated N 2 O fluxes from cropland catchments likely would be reduced through restoration. The overall variability demonstrated by this study was consistent with findings of other wetland investigations and underscores the difficulty in quantifying the GHG balance of wetland systems.

Iowa, Minnesota, North Dakota, South Dakota↗

Contribution of climate-driven change in continental water storage to recent sea-level rise

Using a global model of continental water balance, forced by interannual variations in precipitation and near-surface atmospheric temperature for the period 1981-1998, we estimate the sea-level changes associated with climate-driven changes in storage of water as snowpack, soil water, and ground water; storage in ice sheets and large lakes is not considered. The 1981-1998 trend is estimated to be 0.12 mm/yr, and substantial interannual fluctuations are inferred; for 1993-1998, the trend is 0.25 mm/yr. At the decadal time scale, the terrestrial contribution to eustatic (i.e., induced by mass exchange) sea-level rise is significantly smaller than the estimated steric (i.e., induced by density changes) trend for the same period, but is not negligibly small. In the model the sea-level rise is driven mainly by a downtrend in continental precipitation during the study period, which we believe was generated by natural variability in the climate system.

Proceedings of the National Academy of Sciences of↗

Postfire management in forested public lands of the western USA

Forest ecosystems in the western United States evolved over many millennia in response to disturbances such as wildfires. Land use and management practices have altered these ecosystems, however, including fire regimes in some areas. Forest ecosystems are especially vulnerable to postfire management practices because such practices may influence forest dynamics and aquatic systems for decades to centuries. Thus, there is an increasing need to evaluate the effect of postfire treatments from the perspective of ecosystem recovery. We examined, via the published literature and our collective experience, the ecological effects of some common postfire treatments. Based on this examination, promising postfire restoration measures include retention of large trees, rehabilitation of firelines and roads, and, in some cases, planting of native species. The following practices are generally inconsistent with efforts to restore ecosystem functions after fire: seeding exotic species, livestock grazing, placement of physical structures in and near stream channels, ground-based postfire logging, removal of large trees, and road construction. Practices that adversely affect soil integrity, persistence or recovery of native species, riparian functions, or water quality generally impede ecological recovery after fire. Although research provides a basis for evaluating the efficacy of postfire treatments, there is a continuing need to increase our understanding of the effects of such treatments within the context of societal and ecological goals for forested public lands of the western United States.

Western United States↗

Simulation of ground-water flow in a mined watershed in eastern Ohio

A 43-acre watershed in Muskingum County, Ohio, was studied to determine the hydrologic consequences of strip mining for coal. A quantitative description of the effects on the ground-water flow components of the hydrologic system has been obtained using digital models. The premining watershed was characterized by nearly flat-lying sedimentary rocks of the Pennsylvanian System. Underclay beneath the two major coal beds formed bases for perched zones, creating three separate aquifers. Recharge to the ground-water system occurred mainly by percolation of precipitation. Most of the discharge from the top and middle aquifers occurred by downward leakage to the underlying aquifers. A smaller amount of discharge occurred as springflow or streamflow near the intersections of the underclays and land surface. Mining has destroyed the top aquifer, and has replaced the bedrock by spoil material. Water levels in the spoils are at a much lower altitude than existed in the premining top aquifer because of a combination of (1) a larger hydraulic conductivity, (2) areal variations of the hydraulic characteristics of the confining bed, and (3) a slower rate of recharge from precipitation caused by removal of vegetation and soil compaction. Covering of previously exposed portions of the middle aquifer and a lower hydraulic head in the spoils has allowed less recharge to the middle aquifer. Additional flow is induced across the western boundary of the watershed and has reduced the outflow across the eastern boundary. Discharge from the middle aquifer as downward leakage and streamflow is less than before mining.

Groundwater↗