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Global patterns of coseismic landslide runout mobility differ from aseismic landslide trends

Coseismic landslides significantly contribute to human and economic losses during and immediately following earthquakes, yet very little data on the runout of such landslides exist. While well-established behavior of aseismic (e.g., hydrologically triggered) landslide runout mobility suggests strong correlation between landslide size and mobility, limited studies of coseismic landslide runout find conflicting mobility trends. We present a global dataset of runout lengths produced from a new automated method for estimating landslide runout, developed and validated using 1726 manually mapped landslides from five unique earthquakes. We then apply the automated runout tool to 23 global earthquake-induced landslide inventories, producing a compiled database of 73,665 measured and estimated runout lengths of coseismic landslides to assess mobility trends. We find a significant divergence between well-established aseismic mobility trends and that of coseismic landslides, with far greater scatter and more complex mobility patterns in earthquake-triggered landslides. As a function of landslide size, we observe global coseismic landslide mobility patterns are bilinear, becoming increasingly less mobile with increasing size above some threshold. This discordance between aseismic and coseismic landslide mobility may be a function of landslide type, kinematics, hydrology, and or setting that systematically differ between triggering mechanisms and should be explored in more depth to develop predictive models of these unique runout patterns. These results suggest hazard and risk models for coseismic landslides may significantly under-predict or over-predict impacts, depending on the size of triggered landslides.

Engineering Geology

Recent applications of the USGS National Crustal Model for Seismic Hazard Studies

The U.S. Geological Survey is developing the National Crustal Model (NCM) for seismic hazard studies to facilitate modeling site, path, and source components of seismic hazard across the conterminous United States. The NCM is composed of a 1km grid of geophysical profiles, extending from the Earth’s surface into the upper mantle. It is constructed from a threedimensional (3D) geologic framework and geophysical rules that use (1) a petrologic and mineral physics database; (2) a 3D temperature model; and (3) a calibrated rock type- and age-dependent porosity model. Parameters needed to estimate site response for existing ground motion models (GMMs), including the time-averaged velocity in the upper 30 meters (VS30), the depths to 1.0 and 2.5 km/s shear-wave velocity (Z1.0 and Z2.5), and sediment thickness, can be computed from the NCM. As GMMs continue to improve in the future, other metrics could also be extracted or derived from the NCM, such as fundamental period, site attenuation (ko), a fully frequency-dependent site response function, or 3D geophysical volumes for wavefield simulations. Application of the NCM may also benefit other aspects of seismic hazard analysis, including better accounting for path-dependent attenuation and geometric spreading, more accurate estimation of earthquake source properties such as hypocentral location and stress drop, and calculation of crustal strength profiles that inform estimates of the base of seismicity.

conterminous United States

Constraining large magnitude event source and path effects using ground motion simulations

The purpose of this study is to use ground motion simulations to investigate ways in which source and path effects for large magnitude events can be represented in non-ergodic GMMs. While we initially developed computation techniques using CyberShake simulations, the range of magnitudes and source-site combinations is not adequate to replicate what is observed empirically. We therefore designed a new ground motion simulation study, which includes earthquakes with a large range of magnitudes distributed uniformly on a fault plane, and sites covering a large range of rupture distances and azimuths. After running a large suite of simulations (M4-M7), we then develop a non-ergodic GMM with the simulation data. We find that the within-site residuals are dominated by the radiation pattern, rupture directivity, and slip patterns. Next, we modify an existing rupture directivity model to fit and remove the observed radiation pattern and rupture directivity from the residuals. We also minimize the contributions of slip patterns by averaging the within-site residuals among multiple source realizations. Finally, after removing the source effects from the within-site residuals, we compare the path effects computed with different magnitude groups using two approaches. The first approach only considers the small events that have the same shortest path to a site with the large events, while the second approach considers all small events on the fault plane. The results indicate that the path effects of large events cannot be satisfactorily approximated with that of small events using either approach.

Conference Paper

Evidence for nonlocal sediment transport on hillslopes from fault scarp morphology

Hillslope sediment transport processes such as bioturbation, rainsplash, and granular mechanics occur across the entire planet. Yet, it remains uncertain how these small-scale processes act together to shape landscapes. Longstanding hillslope diffusion theory posits that hillslope processes are spatially limited, whereas new concepts of nonlocal sediment transport argue otherwise. However, each theory produces subtly different, but distinct, predictions for the evolution of fault scarps. We use the topographic change of fault scarps to demonstrate that hillslope processes produce nonlocal sediment transport. Analysis of a global compilation of 340 dated single-earthquake scarp profiles reveals a statistically significant ( p < 0.05 ) relationship between scarp age and scarp asymmetry, here defined as the ratio of imaginary to real components of the Fourier transform of absolute slope. Numerical simulations show that nonlocal models predict this relationship, whereas hillslope diffusion models do not. To further investigate this result, we examined the depositional geometry of a well-exposed colluvial wedge along the Wasatch fault in central Utah, United States. Our quantitative comparison between the exposure and numerical simulations reveals better agreement with the nonlocal model. Nonlocal sediment transport theory appears to best capture the physics of how hillslope processes shape fault scarps, yet hillslope diffusion provides a useful approximation in many cases. As the processes that act on fault scarps are nearly identical to those acting on hillslopes, our results provide evidence supporting nonlocality as a generalized model of hillslope sediment transport.

Utah

Factors regulating the potential for freshwater mineral soil wetlands to function as natural climate solutions

There are increasing global efforts and initiatives aiming to tackle climate change and mitigate its impacts via natural climate solutions (NCS). Wetlands have been considered effective NCS given their capacity to sequester and retain atmospheric carbon dioxide (CO 2 ) while also providing a myriad of other ecosystem functions that can assist in mitigating the impacts of climate change. However, wetlands have a dual impact on climate, influencing the atmospheric concentrations of both CO 2 and methane (CH 4 ). The cooling effect associated with wetland CO 2 sequestration can be counterbalanced by the warming effect caused by CH 4 emissions from wetlands. The relative ability of wetlands to sequester CO 2 versus emit CH 4 is dependent on a suite of interacting physical, chemical, and biological factors, making it difficult to determine if/which wetlands are considered important NCS. The fact that wetlands are embedded in landscapes with surface and subsurface hydrological connections to other wetlands (i.e., wetlandscapes) that flow over and through geochemically active soils and sediments adds a new layer of complexity and poses further challenges to understanding wetland carbon sequestration and greenhouse gas fluxes at large spatial scales. Our review demonstrates how additional scientific advances are required to understand the driving mechanisms associated with wetland carbon cycling under different environmental conditions. It is vital to understand wetland functionality at both wetland and wetlandscape scales to effectively implement wetlands as NCS to maximize ecological, social, and economic benefits.

Wetlands

Methodology for construction of a three-layer geologic model of the conterminous United States using land surface, top of bedrock, and top of basement

This report describes the methodology used for the construction of a digital three-layer geologic model of the conterminous United States by mapping the altitude of three surfaces: land surface, the top of bedrock, and the top of basement. These surfaces are mapped through the compilation and synthesis of published stratigraphic horizons from numerous topical studies. The mapped surfaces create a three-layer geologic model with three geomaterial-based subdivisions: unconsolidated to weakly consolidated sediment; layered consolidated rock strata that constitute bedrock; and crystalline rocks that are described as “basement,” consisting of either igneous, metamorphic, or highly deformed rocks. The data compilation and synthesis are highly dependent on the definition of the informal terms “bedrock” and “basement,” which may describe different ages or types of rock in different parts of the conterminous United States. This report presents the conceptualization of the three mapped layers, describes the datasets used, and summarizes the decisions made while compiling the three-layer model from the various sources. This digital dataset was created as part of efforts by the U.S. Geological Survey to develop subsurface geologic data in geospatial form as part of a broad directive to develop two-dimensional and three-dimensional geologic information at detailed, national, and continental scales. This digital dataset partly fulfills the goal of the U.S. Geological Survey’s National Cooperative Geologic Mapping Program to construct a national-scale three-dimensional geologic model.

conterminous United States

Shallow geologic framework of the Mississippi Sound and the potential for sediment resources

The Mississippi Sound, an estuarine environment located between the mainland and barrier islands bordering the northern Gulf of America (formerly the Gulf of Mexico), serves as a vital ecosystem for the States of Mississippi and Alabama. Spanning approximately 100 kilometers from east to west and covering 1,400 square kilometers, the sound is home to marine industry and ports, and its shallow and brackish waters sustain a diverse array of marine life. Barrier islands along the southern edge of the sound separate the microtidal estuary from the Gulf of America. This protection from gulf wave action mediates current flow within the sound, resulting in predominantly fine-grained sediment deposition along the seafloor. This study, conducted by the U.S. Geological Survey in cooperation with the U.S. Army Corps of Engineers, provides insight on fluvial and tidal processes spanning the past 5,000 years. The report synthesizes existing research to provide a comprehensive overview of the sound geology, from Pleistocene origins to present-day morphology, and utilizes high-resolution single channel seismic profiles and sediment data to identify and map sedimentary deposits and morphologic features at and below the seafloor. Despite its ecological significance, the Mississippi Sound faces environmental challenges, including water-quality issues, habitat degradation, storm-induced erosion, and the ongoing threats of sea-level rise and environmental changes. This study uses the present-day understanding of the sound's geology to inform coastal management decisions, hazard assessment, and potential mineral resources.

Louisiana, Mississippi

Speleothem evidence for Late Miocene extreme Arctic amplification – An analogue for near-future anthropogenic climate change?

The Miocene provides an excellent climatic analogue for near-future runaway anthropogenic warming, with atmospheric CO 2 concentrations and global average temperatures similar to those projected for the coming century under extreme-emissions scenarios. However, the magnitude of Miocene Arctic warming remains unclear due to the scarcity of reliable proxy data. Here we use stable oxygen isotope and trace element analyses, alongside clumped isotope and fluid inclusion palaeothermometry of speleothems to reconstruct palaeo-environmental conditions near the Siberian Arctic coast during the Tortonian (8.68 ± 0.09 Ma ). Stable oxygen isotope records suggest warmer-than-present temperatures. This is supported by temperature estimates based on clumped isotopes and fluid inclusions giving mean annual air temperatures between + 6.6 and + 11.1 °C , compared with − 12.3 °C today. Trace elements records reveal a highly seasonal hydrological environment. Our estimate of > 18 °C of Arctic warming supports the wider consensus of a warmer-than-present Miocene and provides a rare palaeo-analogue for future Arctic amplification under high-emissions scenarios. The reconstructed increase in mean surface temperature far exceeds temperatures projected in fully coupled global climate models, even under extreme-emissions scenarios. Given that climate models have consistently underestimated the extent of recent Arctic amplification, our proxy data suggest Arctic warming may exceed current projections.

Lena River delta

Cross-fade sampling: Extremely efficient Bayesian inversion for a variety of geophysical problems

This paper introduces cross-fade sampling, a computationally efficient Markov Chain Monte Carlo simulation method that uses a semi-analytical approach to quickly solve Bayesian inverse problems that do not themselves have an analytical solution. Cross-fading is efficient in two ways. First, it requires fewer samples to obtain the same quality simulation of the target probability density function (PDF). Secondly, it is much faster to evaluate the posterior probability of each sample than conventional sampling methods for simulating Bayesian posterior PDFs. Conventional methods require evaluating the prior probability (which describes your a priori constraints) and data likelihood (which describes the fit between the observations and the predictions of the model) for each sample model. However, cross-fading does not require evaluating the data likelihood, meaning that ‘big data’ can be fit with zero additional computational cost. Further, the cross-fading approach can be used to calculate the marginal likelihood associated with a model design, facilitating model comparison and Bayesian model averaging. Topics covered in this paper include derivation of the cross-fade approach and how it can be used to simulate Bayesian posterior PDFs and compute the marginal likelihood, discussion of the class of problems to which cross-fading can be applied (with examples from earthquake statistics, earthquake ground motion modelling, volcanic eruption forecasting, and finite fault slip modelling), demonstration of efficiency relative to existing sampling methods and discussion of how cross-fading can be used to account for prediction errors (i.e. epistemic errors) as part of the geophysical inverse problem.

Geophysical Journal International

Preliminary depth to basement modeling at Salton Sea, California

The San Andreas Fault – Imperial Fault (SAF-IF) transtensional step-over zone along the southern margin of the Salton Sea hosts substantial geothermal production and lithium brine resources. Recent volcanism at the Salton Buttes and active seismicity along the SAFIF fault system highlight active tectonic and magmatic processes that pose natural hazards and may impact energy and mineral production. Characterizing the subsurface architecture and extent of concealed alteration associated with this tectono-magmatic system enhances understanding of these active processes, associated hazards, and resources. We have compiled a gravity database, consisting of new and re-processed existing data, from which we have constructed a new isostatic residual gravity anomaly map of the Salton trough. We have used this new gravity dataset together with a compilation of publicly available borehole data to develop new depth to basement inversion models for the region. These depth to basement models help to constrain basin geometries, inform alteration mapping, and reveal variations in basement rocks. Due to the concealed nature of the complex tectonic framework at the Salton trough, it is necessary to utilize geophysical methods for subsurface characterization. These new depth to basement models are a first step toward constructing 2D and 3D geophysical and geologic models of the Imperial Valley and Salton Sea geothermal area. This analysis complements other geophysical initiatives, including magnetotelluric (MT) modeling (Tokmakoff et al., 2024), magnetic mapping (Glen and Earney, 2023, 2024) and potential field modeling, and seismic studies focused on hazard and resource investigations in the Imperial Valley.

California

Rapid characterization of the 2025 Mw 8.8 Kamchatka, Russia earthquake

The 29 July 2025 M w 8.8 Kamchatka, Russia, earthquake was the sixth largest instrumentally recorded earthquake. This event was seismically well observed at regional and teleseismic distances, but publicly available near‐source data were sparse at the time of the event, presenting unique challenges for rapid source and impact characterization. The U.S. Geological Survey (USGS) National Earthquake Information Center provides global real‐time monitoring for earthquakes, including rapid response information products that estimate source characteristics, shaking, and the resulting impacts. We describe the USGS rapid response earthquake information products following the Kamchatka event and discuss their implications for ongoing hazards in the region. We describe potential improvements to our response workflows motivated by this event, including more rapid constraints on source geometries and the automated selection of fault geometries for finite‐fault inversions. The rapid response products together support the interpretation of a unilateral southwestward rupture with significant slip on the southwestern end of the rupture extent. The M w 8.8–9.0 event in 1952, which ruptured a comparable extent of the Kuril–Kamchatka subduction interface, has many similarities to the 2025 rupture. This illustrates that slip deficits may remain following great earthquakes and highlights the usefulness of comparative studies between historic and modern events.

Kuril-Kamchatka subduction zone

Multi-site evaluation of a postfire debris-flow runout forecast method

Postfire debris flows pose a hazard to human life, property, and infrastructure when they travel from steep source areas to urbanized alluvial fans or other developed areas. Existing methods for rapid (<1 week) postfire debris-flow hazard assessment document the increase in the likelihood and size of debris flows as the magnitude of high-intensity rain necessary to initiate debris flows increases but do not indicate the extent of downstream debris-flow runout. Although many models for the simulation of debris-flow motion are available, there is no established approach for using these models to delineate locations susceptible to postfire debris-flow runout that (a) is feasible to use at the spatial scale of an entire fire; (b) is appropriate for runout onto unconfined areas; (c) reproduces observed relations between runout and rainfall intensity; and (d) characterizes inherent uncertainty in runout, even without spatiotemporally variable rainfall. We propose and evaluate a method for generating postfire debris-flow runout hazard maps that has all the above qualities. Selection of case studies prioritized events triggered by a range of rainfall intensities, locations within and outside of southern California, and observed runout onto unconfined topography. Qualitative and quantitative assessment of performance for four events indicate that simulation results broadly match observations albeit with some discrepancies at a scale larger than structure or land parcel level (approximately 20-m by 20-m). The method may be used to identify potentially hazardous areas immediately following a fire and to provide approximate runout forecasts when a storm is imminent.

Arizona, California

The Mammoth magnetic anomaly, Pinal County, Arizona

A high-resolution Earth Mapping Resources Initiative airborne geophysical survey was flown in the southwest North American porphyry copper province to improve bedrock geologic maps and to identify areas that have unrecognized critical mineral resource potential. During the review of the aeromagnetic data, a distinctly monopolar-shaped, negative magnetic anomaly was observed at a flight elevation of 200 m above the ground with a maximum amplitude of –9500 nT. We have named this the Mammoth magnetic anomaly (MMA) because it is centered 12 km northeast of the town of Mammoth, Arizona, USA. The total field anomaly (TFA) contour of –500 nT enclosing the MMA defines an elongate shape measuring 2.5 km long by 1 km wide that trends northwest–southeast. Given the striking nature of this negative, monopolar-shaped magnetic anomaly, we conducted a ground campaign in May 2025 to determine its authenticity and potential relationship to critical mineral endowment. The MMA was confirmed on the ground with a TFA approaching –46,000 nT. Total magnetic intensity (TMI) observations routinely fell below the 18,000 nT operating floor of an industry-standard cesium-vapor total field magnetometer, and extremely low TMI measurements were corroborated along coincident traverse lines using two high dynamic range, but lower sensitivity, smartphone vector magnetometers. The lowest TMI values recorded by both smartphone magnetometers were 1000 nT and confirmed with multiple adjacent and crossing lines. Field observations suggest that this magnetic feature is caused by strong remanent magnetization within fine-grained magnetite hosted within locally altered Pinal Schist.

Arizona

Generalized Bancroft algorithm for locating earthquakes with P- and S-wave arrival times

Because of similarities between locating an earthquake with seismic stations and locating a Global Positioning System (GPS) receiver from satellites, the Bancroft algorithm developed for GPS processing can be used to locate earthquakes. Such an approach to earthquake location differs from the conventional method of choosing an initial or trial solution and then iteratively improving the solution until convergence. The Bancroft algorithm has the advantage of being a direct, noniterative solution but with the disadvantage of only being able to accommodate a homogeneous velocity model. An additional limitation of the standard Bancroft algorithm is that it considers arrival times in a medium with a single propagation velocity. This poses no problem for GPS processing because electromagnetic waves travel at the speed of light; however, for seismic waves it means the algorithm can be applied to collections of either P ‐ or S ‐wave arrival times. Here, I show how the Bancroft algorithm can be generalized to handle both P ‐ and S ‐wave arrival‐time measurements simultaneously. I also show how to accommodate depth‐varying P ‐ and S ‐wave velocity models. I apply the generalized Bancroft algorithm to microearthquakes beneath Tanaga Volcano in Alaska and compare standard locations from the widely used HYPOINVERSE location code to Bancroft locations and to the output of HYPOINVERSE when setting the trial location to the Bancroft location. I find the Bancroft locations outperform the results from the other methods for shallow earthquakes near sea level, where a quantity known as the geometric dilution of precision is large and linearized approaches such as HYPOINVERSE are expected to struggle.

Alaska

Stream nitrate dynamics driven primarily by discharge and watershed physical and soil characteristics at intensively monitored sites: Insights from deep learning

We developed a suite of models using deep learning to make hindcast predictions of the 7‐day average backward‐looking nitrate concentration at 46 predominantly agricultural sites across the midwestern and eastern United States. The models used daily observations of discharge and meteorological variables and watershed attributes describing anthropogenic modification to hydrology, nitrogen application, climate, groundwater, land use, watershed physiographic attributes, and soils. Across all sites, discharge and watershed soil and physiographic attributes showed a strong influence on model performance. Analysis of drivers across sites revealed considerable regional differences related to controlling processes such as groundwater contributions. We tested several ways to pool data across sites to develop accurate models and make the most effective use of available data. Single‐site models, in which models are trained and tested at a single location, showed generally strong predictive performance (median Kling‐Gupta Efficiency = 0.66), and accuracy at poorly performing sites could be improved by grouping sites with similar characteristics. Developing a single model for all sites reduced performance at several locations with distinct characteristics, suggesting that there is a threshold of dissimilarity beyond which more data does not improve the model. While many deep learning studies have shown that national or even global models can outperform local models, it is not clear that this is true for water quality constituents. This study demonstrates how data can be combined effectively, using deep learning to develop accurate and interpretable models of instream nitrate at sites where varying processes are responsible for changes in nitrate concentration.

Water Resources Research

Subduction zone geometry modulates the megathrust earthquake cycle: Magnitude, recurrence, and variability

Megathrust geometric properties exhibit some of the strongest correlations with maximum earthquake magnitude in global surveys of large subduction zone earthquakes, but the mechanisms through which fault geometry influences subduction earthquake cycle dynamics remain unresolved. Here, we develop 39 models of sequences of earthquakes and aseismic slip (SEAS) on variably-dipping planar and variably-curved nonplanar megathrusts using the volumetric, high-order accurate code tandem to account for fault curvature. We vary the dip, downdip curvature and width of the seismogenic zone to examine how slab geometry mechanically influences megathrust seismic cycles, including the size, variability, and interevent timing of earthquakes. Dip and curvature control characteristic slip styles primarily through their influence on seismogenic zone width: wider seismogenic zones allow shallowly-dipping megathrusts to host larger earthquakes than steeply-dipping ones. Under elevated pore pressure and less strongly velocity-weakening friction, all modeled fault geometries host uniform periodic ruptures. In contrast, shallowly-dipping and sharply-curved megathrusts host multi-period supercycles of slow-to-fast, small-to-large slip events under higher effective stresses and more strongly velocity-weakening friction. We discuss how subduction zones' maximum earthquake magnitudes may be primarily controlled by the dip and dimensions of the seismogenic zone, while second-order effects from structurally-derived mechanical heterogeneity modulate the recurrence frequency and timing of these events. Our results suggest that enhanced co- and interseismic strength and stress variability along the megathrust, such as induced near areas of high or heterogeneous fault curvature, limits how frequently large ruptures occur and may explain curved faults' tendency to host more frequent, smaller earthquakes than flat faults.

Journal of Geophysical Research: Solid Earth

Toward a new framework to evaluate process-based model configurations and quantify data worth prior to calibration

Model criticism, discrimination, and selection methods often rely on calibrated model outputs. Because calibration can be computationally expensive, model criticism can first be undertaken by assessing model outputs obtained from limited prior parameter ensembles. However, such prior-based methods are often heuristic and do not formalize the notion of balancing model consistency with data and model complexity (i.e., model adequacy). We present a new framework to discriminate among candidate models prior to calibration that formalizes prior-to-calibration model adequacy into a metric to implicitly balance prior model output data coverage with model complexity represented by prior output (co)variance. The prior model adequacy metric “Mahalanobis distance deviation” quantifies the deviation of (a) the set of squared Mahalanobis distances of data from a prior model output distribution from (b) the set of squared Mahalanobis distances of data from their own distribution. A new data worth metric “discernment value” is also presented which quantifies the value of data for screening less-adequate models prior to calibration. Discernment value is calculated from the change in variance of a weighted average of prior model outputs from all candidate models due to less-adequate model outputs receiving lower weight. The framework is demonstrated using a one-dimensional groundwater flow model with eight possible configurations. A synthetic data network is used to test the framework. Results show the framework identifies the candidate models most similar to the true model used to create the synthetic data. Discernment values show variation in the value of different data types and locations for screening less-adequate models.

Water Resources Research

Is satellite-derived bathymetry vertical accuracy dependent on satellite mission and processing method?

This research focusses on three satellite-derived bathymetry methods and optical satellite instruments: (1) a stereo photogrammetry bathymetry module (SaTSeaD) developed for the NASA Ames stereo pipeline open-source software (version 3.6.0) using stereo WorldView data; (2) physics-based radiative transfer equations (PBSDB) using Landsat data; and (3) a modified composite band-ratio method for Sentinel-2 (SatBathy) with an initial simplified calibration, followed by a more rigorous linear regression against in situ bathymetry data. All methods were tested in three different areas with different geological and environmental conditions, Cabo Rojo, Puerto Rico; Key West, Florida; and Cocos Lagoon and Achang Flat Reef Preserve, Guam. It is demonstrated that all satellite derived bathymetry (SDB) methods have increased accuracy when the results are aligned with higher-accuracy ICESat-2 ATL24 track bathymetry data using the iterative closest point (ICP). SDB vertical accuracy depends more on location characteristics than the method or optical satellite instrument used. All error metrics considered (mean absolute error, median absolute deviation, and root mean square error) can be less than 5% of the maximum bathymetry depth penetration for at least one method, although not necessarily for the same method for all sites. The SDB error distribution tends to be bimodal irrespective of method, satellite instrument, alignment, site, or maximum bathymetry depth, leading to the potential ineffectiveness of traditional error metrics, such as the root mean square error. However, our analysis demonstrates that performing detrending where possible can achieve an error distribution as close to normality as possible for which error metrics are more diagnostic.

Florida