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1,661 records · Page 85Linked to original sources

Origin of the high Pd/Pt ratio of the J-M Reef, Stillwater Complex Montana USA

The J-M Reef of the Stillwater Complex exhibits a high and consistent Pd/Pt ratio (~3.8). This ratio results from the equilibration of an immiscible sulfide liquid with a relatively high Pd/Pt silicate melt rather than an unusually Pd- and Pt-enriched parental melt. Numerical modeling suggests that the original silicate melt contained typical mantle-derived concentrations of Pd and Pt (~10–20 ppb Pd/Pt ~1). The partitioning of Pt and Pd between sulfide liquid and silicate melt alone cannot explain the consistently high Pd/Pt ratio across variable melt-to-sulfide mass ratios (R factors). Instead Pt-depletion caused by the early fractionation of Pt-alloy from S-undersaturated silicate magma likely established the high Pd/Pt signature. High Pd/Pt ratios can form through batch equilibration of sulfide liquid with silicate melt if partition coefficients are extremely high (>10⁶). Alternatively Pd enrichment may result from sulfide upgrading within the resident footwall mush under smaller partition coefficients (10⁴–10⁶) in this model the instantaneous R factors remain low (R ≈ 100–700). This limits the impact of Pt and Pd partitioning on sulfide composition and helps explain the Pd-enriched character of the J-M Reef.

Montana

Use of digital land-cover data from the Landsat satellite in estimating streamflow characteristics in the Cumberland Plateau of Tennessee

Characteristics of Streamflow at ungaged sites in coal-mining areas of the Cumberland Plateau may be estimated with regression equations that relate streamflow characteristics to the physiographic and climatic characteristics of the corresponding drainage basins. An experiment was performed to compare the accuracy of equations using basin characteristics derived from maps and climatological records (control group equations) with the accuracy of equations using basin characteristics derived from digital processing of Landsat spectral data as well as maps and climatological records (experimental group equations). Results of this experiment show that (with the exception of low flows and four of six annual peak logarithms) drainage area can explain more than 90 percent of the variance in all streamflow characteristics in both groups of equations. Seventeen of 39 experimental group equations that have two basin characteristics each are different from the corresponding control group equations. Five of the 17 differing experimental group equations have no counterpart in the control group because of lack of significance in control group basin characteristics, seven are slightly more accurate, and five are not measurably different in accuracy. When the equations in both groups are arranged into six flow categories, there is no substantial difference in accuracy between equations using basin characteristics derived from maps and climatological records (control group) and equations using basin characteristics derived from Landsat tapes as well as maps and climatological records (experimental group) for this particular study area, the Cumberland Plateau of Tennessee.

Tennessee

On connecting hydro-social parameters to vegetation greenness differences in an evolving groundwater-dependent ecosystem

Understanding groundwater-dependent ecosystems (i.e., areas with a relatively shallow water table that plays a major role in supporting vegetation health) is key to sustaining water resources in the western United States. Groundwater-dependent ecosystems (GDEs) in Colorado have non-pristine temporal and spatial patterns, compared to agro-ecosystems, which make it difficult to quantify how these ecosystems are impacted by changes in water availability. The goal of this study is to examine how key hydrosocial parameters perturb GDE water use in time and in space. The temporal approach tests for the additive impacts of precipitation, surface water discharge, surface water mass balance as a surrogate for surface–groundwater exchange, and groundwater depth on the monthly Landsat normalized difference vegetation index (NDVI). The spatial approach tests for the additive impacts of river confluences, canal augmentation, development, perennial tributary confluences, and farmland modification on temporally integrated NDVI. Model results show a temporal trend (monthly, 1984–2019) is identifiable along segments of the Arkansas River at resolutions finer than 10 km. The temporal impacts of river discharge correlate with riparian water use sooner in time compared to precipitation, but this result is spatially variable and dependent on the covariates tested. Spatially, areal segments of the Arkansas River that have confluences with perennial streams have increased cumulative vegetation density. Quantifying temporal and spatial dependencies between the sources and effects of GDEs could aid in preventing the loss of a vulnerable ecosystem to increased water demand, changing climate, and evolving irrigation methodologies.

Colorado

Characteristics of the fault damage zone From high-resolution seismic imaging along the Palos Verdes Fault, California

The distribution and intensity of fault damage zones provides insight into fault activity and its relationship to fluid flow in the crust. Presently, measures of the in-situ distribution of fault damage remain limited and along-strike studies are rare. This study focuses on an offshore section Palos Verdes Fault damage zone that spans 28 km, near Los Angeles, California. To investigate the previously unresolved shallow (∼400 m below the seafloor) fault damage zone we use densely spaced (∼500 m line separation) newly collected sparker multichannel seismic lines and sub-bottom profiles. The combination of high-resolution acquisition methods and specialized seismic processing workflows provide improved imaging of shallow faulting. We apply a multi-trace similarity technique to identify discontinuities in the seismic data that may be attributed to faults and fractures. This fault detection approach reveals diverse fault damage patterns on adjacent seismic profiles. However, a discernible damage zone pattern emerges by stacking multiple damage detection profiles along strike. We find that peak damage identified in this way corresponds to the active main fault strand, confirmed in this study, and thus the technique may be useful for identifying active fault strands elsewhere. Additionally, we observe that the variable width of the damage zone along strike is controlled by fault obliquity. Furthermore, our observations reveal a correlation between fault damage and seafloor fluid seeps visible in the water column, suggesting that damage plays a role in controlling fluid flow around the fault.

California

Total uncertainty quantification in inverse solutions with deep learning surrogate models

We propose an approximate Bayesian method for quantifying the total uncertainty in inverse partial differential equation (PDE) solutions obtained with machine learning surrogate models, including operator learning models. The proposed method accounts for uncertainty in the observations, PDE, and surrogate models. First, we use the surrogate model to formulate a minimization problem in the reduced space for the maximum a posteriori (MAP) inverse solution. Then, we randomize the MAP objective function and obtain samples of the posterior distribution by minimizing different realizations of the objective function. We test the proposed framework by comparing it with the iterative ensemble smoother and deep ensembling methods for a nonlinear diffusion equation with an unknown space-dependent diffusion coefficient. Among other applications, this equation describes the flow of groundwater in an unconfined aquifer. Depending on the training dataset and ensemble sizes, the proposed method provides similar or more descriptive posteriors of the parameters and states than the iterative ensemble smoother method. Deep ensembling underestimates uncertainty and provides less-informative posteriors than the other two methods. Our results show that, despite inherent uncertainty, surrogate models can be used for parameter and state estimation as an alternative to the inverse methods relying on (more accurate) numerical PDE solvers.

Journal of Computational Physics

Estimating earthquake source depth using teleseismic broadband waveform modeling at the USGS National Earthquake Information Center

The U.S. Geologic Survey National Earthquake Information Center (NEIC) monitors global seismicity, producing a catalog of earthquake source parameters in near-real-time to provide information that can help mitigate the societal impact of earthquakes. The NEIC commonly relies on teleseismic observations to constrain earthquake source parameters (e.g., location, depth, magnitude, and mechanism) due to a lack of local and regional observations. For these ‘teleseismic’ events, depth phase (i.e., pP , sP ) arrival time observations provide the best estimate on source depth. However, depth phases are often difficult to accurately identify and/or pick. Therefore, NEIC relies on waveform modeling, such as those determined from W-phase ( M ww ), body wave ( M wb ), and regional ( M wr ) moment tensor estimations, to provide constraints on source depth. While depth estimates from these approaches are informative, higher frequency observations provide more precise estimates because depth phases are more prominently observed at higher frequencies. Here, we present NEIC’s relatively high-frequency (~0.04 to 1 Hz) teleseismic waveform modeling approach, termed Synthetic Depth Phase Modeling (SynDepth), for determining source depth. SynDepth was developed to provide NEIC with a tool that enables rapid, accurate, and quantifiable estimates of earthquake source depth in cases where locator depths are not reliable. This relatively simple and fast procedure searches over 1 km-incremented source depths and an expanding triangular source-time function to find the best-fitting solution. We compare automatic SynDepth solutions for a dataset of 1,216 earthquakes (M5.5-M7.6) between 2017 and 2021 to NEIC-derived depth estimates from other methods. Our approach provides a robust depth estimate for earthquakes lacking local arrival time data, and it minimizes the need for analyst review of depth-phase picks ( pP , sP ) or using predefined ‘fixed’ depths.

Seismological Research Letters

Debris avalanches in the northern California Coast Range triggered by plate boundary earthquakes

Determining the timing and cause for ancient hillslope failures proves difficult in the western United States, yet critical as it ties directly into groundmotion estimates for hazardous events. This knowledge gap is important to confront as hillslope failures are candidates to be triggered by earthquakes along active plate boundaries. We identify two prehistoric, i.e., preinstrumental history, debris avalanches (3 10^6 and 6 10^6 m^3) in the Coast Ranges of northern California. These debris avalanches are well suited for studying the timing (to the exact year) and trigger as the densely forested landscape enables effective use of dendrochronology and high-resolution radiocarbon to pinpoint time of failure, and the legacy of landslide studies in the region provides context for evaluating a seismic trigger as the most likely triggering mechanism. Neither debris avalanche was triggered by the largest precipitation event of the instrumental record in 1964 CE, and the two debris avalanche sites are physiographically suited to accommodate topographic amplification of seismic shaking. Through a suite of geologic and dendrochronologic evidence, we establish the likely time of failure of the two debris avalanches as 1906 CE and 933 CE. The failure of the younger landslide coincides with the 1906 CE San Francisco earthquake on the Pacific/North American plate boundary, while the older landslide dates to 933 CE falling within the broad age range (850-966 CE) of a likely megathrust earthquake on the Cascadia subduction zone as recorded in coastal marshes in Humboldt Bay, California. The precise age on the 933 CE debris avalanche could trim the uncertainty on a Cascadia subduction zone event from 116 years to one year. Utilizing debris avalanche records from sites suitable to record seismic shaking improves understanding of plate-boundary earthquake timing and extent of shaking.

Bulletin of the Seismological Society of America

Disparate groundwater responses to wildfire

Post-wildfire investigations of groundwater response reveal a range of outcomes, varying from substantial increases to notable decreases in recharge and baseflow, with some studies indicating negligible or short-lived effects. This review assesses these varied responses within five critical categories: climate, vegetation, hydrogeology, fire characteristics, and the cryosphere, examining both short-term (within 2 years) and intermediate (2–10 years post-fire) effects. Despite considerable variability, some consistent patterns emerge. For instance, in hydroclimatic settings where water input and evaporative demand cycles are out of sync, post-wildfire groundwater responses tend to be positive (i.e., increased flux or storage), whereas under low fire severity conditions or in vegetation types that quickly recover, groundwater responses tend to be negative (i.e., decreased flux or storage). We synthesize relevant findings into a compendium of testable hypotheses aimed at explaining the spatiotemporal variability in observed post-wildfire groundwater responses. A recurring theme is the critical influence of the pre-wildfire groundwater regime on expected response and recovery. We identify opportunities for specific improvements in post-wildfire monitoring and modeling that would further advance capabilities to predict groundwater response. A key area for further research is understanding how wildfire effects on snow dynamics and other cryospheric processes translate to changes in groundwater.

WIREs Water

A soil velocity model for improved ground motion simulations in the U. S. Pacific Northwest

Near-surface seismic velocity structure may significantly impact the intensity, duration, and frequency content of ground shaking during an earthquake. In this study, we compile 649 shear wave velocity (Vs) profiles throughout the U.S. Pacific Northwest and southern British Columbia (PNW) and use these measured profiles to develop a representative soil velocity model for four major Holocene soil provinces: Puget Lowlands, Willamette Valley, fill and alluvium, and `other' soils. The resulting soil velocity model shows good agreement to measured data for a wide range of site conditions, with variability between different geologic domains reflecting fundamental differences in depositional environments. We then show that using this regional soil velocity model in simulations of the 2001 M6.8 Nisqually, Washington earthquake improves the fit to observed high-frequency (≥ 0.5 Hz) ground motions in the Puget Sound region compared to simulations that do not incorporate shallow (≤ 200 m) seismic velocity structure. Overall, this work shows that incorporating localized soil velocity profiles into seismic velocity models is important for accurately estimating high-frequency ground motion and regional seismic hazard in earthquake simulations. Future earthquake simulations and hazard studies in the PNW could incorporate these soil velocity profiles to capture the region's distinct site response characteristics.

Washington

Turbidite correlation for paleoseismology

Marine turbidite paleoseismology relies on the assumption of synchronous triggering of turbidity currents by earthquake shaking to infer rupture extent and recurrence. Such inference commonly depends on age dating and correlation of the physical stratigraphy of deposits carried by turbidity currents (i.e., turbidites) across great distances. Along the Cascadia subduction zone, which lies offshore the Pacific Northwest, USA, turbidite facies in core photographs, X-ray computed tomography images, and magnetic susceptibility (MS) data exhibit differences in character over relatively short distances, which implies that not all deposits can be correlated with confidence. Thus, subjective correlation based on expected similarity over great distances and weak age constraints does not independently support paleoseismic models. We present a new method for correlating turbidites along the Cascadia margin that can yield a more objective and repeatable stratigraphic framework to underpin earthquake recurrence. We use dynamic time warping to correlate MS logs and measure correlation coefficients of core pairs to evaluate correlation strength. We then compare these measures to a distribution of correlation coefficients of randomly generated turbidite sequences and find that only a small number of core pairs can be correlated more confidently than randomly stacked turbidites. This methodology promises a more robust correlation strategy for future stratigraphic studies.

Oregon, Washington

Parsimonious high-resolution landslide susceptibility modeling at continental scales

Landslide susceptibility maps are fundamental tools for risk reduction, but the coarse resolution of current continental-scale models is insufficient for local application. Complex relations between topographic and environmental attributes characterizing landslide susceptibility at local scales are not transferrable across areas without landslide data. Existing maps with multiple susceptibility classifications under-represent landslide potential in moderate and gently sloping terrain. We leverage an extensive landslide database ( N = 613,724), a high-resolution digital elevation model (10-m), and high-performance computing resources, to develop a new nationwide susceptibility map for the contiguous United States, Hawaii, Alaska, and Puerto Rico. We calculate four alternative linear and nonlinear thresholds of topographic slope and relief using an objective split-sample calibration. We down-sample our results to a 90-m grid to account for uncertainty in the digital elevation model and landslide position, and evaluate these thresholds' ability to differentiate areas of greater susceptibility. The less conservative nonlinear model optimally balances our priorities of capturing observed landslides (99%) while minimizing area covered by susceptible terrain (43%). Independent evaluation with four statewide landslide inventories ( N = 172,367) reinforces our model selection but highlights spatially variable performance. Therefore, we propose a novel approach to susceptibility classification using the concentration of landslide-prone terrain within each down-sampled grid. While landslides are possible within any cells containing susceptible terrain, those with the highest concentration capture the majority of observed landslides. Our new map characterizes landside susceptibility more consistently than prior models; our transparent classification approach also provides flexibility for accommodating different tolerances in risk reduction measures.

AGU Advances

Parameter ESTimation with the Gauss–Levenberg–Marquardt algorithm: An intuitive guide

In this paper, we review the derivation of the Gauss–Levenberg–Marquardt (GLM) algorithm and its extension to ensemble parameter estimation. We explore the use of graphical methods to provide insights into how the algorithm works in practice and discuss the implications of both algorithm tuning parameters and objective function construction in performance. Some insights include understanding the control of both parameter trajectory and step size for GLM as a function of tuning parameters. Furthermore, for the iterative Ensemble Smoother (iES), we discuss the importance of noise on observations and show how iES can cope with non-unique outcomes based on objective function construction. These insights are valuable for modelers using PEST, PEST++, or similar parameter estimation tools.

Groundwater

Opportunities for the U.S. Geological Survey’s National Seismic Hazard Model to improve seismic risk assessment of critical infrastructure.

As fragility and risk modeling techniques and computational capabilities evolve, complemented by moving toward more routine and systematic seismic risk assessment of all buildings and critical infrastructure, the authors pose a few critical questions to investigate how the U.S. Geological Survey (USGS) National Seismic Hazard Models (NSHMs) can be used and enhanced further to serve such issues. In this paper, we use three examples from multiple sectors to (1) identify the role of USGS NSHMs in evaluating seismic risks to critical infrastructure, (2) quantify potential impacts from NSHM enhancements (i.e., [i] hazard curves for the vertical component of ground motion, [ii] stochastic event sets, and [iii] maps of probabilistic ground failure hazards), and (3) clarify the feasibility of relevant NSHM improvements. We illuminate that NSHMs are commonly used in location-specific performance assessments, whereas earthquake effects on critical infrastructure can be widespread across large geospatial regions. Further, we found that without the NSHM extensions considered here, risk can be severely underestimated, e.g., neglecting ground failure hazards can underestimate regional loss by a factor of two or more. Although many challenges remain, we developed example prototypes to clarify the feasibility of the NSHM extensions, which can facilitate improved management of risks to critical infrastructure.

Earthquake Spectra Journal

Updating regional‐scale geospatial liquefaction models with locally available geotechnical data

We present a method to update the geospatial liquefaction model used by the U.S. Geological Survey’s near‐real‐time ground failure product with subsurface geotechnical data. The geospatial model estimates liquefaction probability from peak ground velocity (via ShakeMap) and geospatial susceptibility proxies. In many regions, additional information relevant to constraining liquefaction likelihood is also available, including surface geology maps and subsurface geotechnical measurements. There is currently no mechanism to use these data in the ground failure product liquefaction model, even though these data could provide more precise constraints on spatial variations in the lithologic character of the soil (surface geology) and direct measurements of the subsurface mechanical properties that affect liquefaction occurrence and severity (geotechnical measurements). In this study, we develop a method to integrate these data with the geospatial model and assess how these data can improve regional‐scale predictions. We develop a Bayesian updating framework and apply it to the 1989 magnitude 6.9 Loma Prieta, California, earthquake, for which mapped observations are available to evaluate performance. We constrain the Bayesian framework with 373 Northern California cone penetration tests and liquefaction susceptibility classes based on the mapped surface geology. This Bayesian model incorporates geotechnical information into the geospatial model and more accurately predicts liquefaction occurrences than the geospatial model, while sacrificing less accuracy in terms of predicting the absence of liquefaction than the geotechnical model. In future applications, this approach could be adapted to update other geospatial models using locally available subsurface data.

California

Characterizing precariously balanced rocks (PBRs) in the eastern United States for estimating maximum past earthquake ground motions

Fragile geologic features (FGFs) can be used to estimate an upper bound to the strength of earthquake ground shaking in the past thousands to tens of thousands of years. FGFs could be especially useful in the eastern United States, where few active faults are available for paleoseismic studies and where low seismic attenuation means that an earthquake could damage FGFs at large distances. This article describes a pilot study of one form of FGF, precariously balanced rocks (PBRs), in the Blue Ridge of Virginia, ∼160 km from the central Virginia seismic zone (CVSZ) and ∼100 km from Virginia’s Giles County seismic zone (GCSZ). The main goal is to develop and refine methods for studying PBRs in the eastern United States. Photogrammetric 3D models of the rocks were used to locate their centers of mass and delineate their basal contacts, with the latter corroborated by wrapping a wire around the bases to verify the circumferences. Relations between hill geometry and amplification were used to estimate topographic amplification. Seismometers on the PBRs provided the frequencies, amplitudes, and directions of rocking after giving the rocks gentle pushes. The levels of ground shaking likely to topple the rocks were compared with the median hazard curves from the U.S. Geological Survey’s National Seismic Hazard Model and were used to map magnitudes of earthquakes in the nearby region likely to topple the rocks. Results indicate that an M w ≥ 7.5 earthquake is needed in the CVSZ or near the 2020 Sparta, North Carolina, earthquake to topple the two most fragile PBRs and that an earthquake of ~ M w 7–7.5 in the GCSZ is needed. The fragilities and estimated ages of the PBRs (20–40 ka) are thus consistent with the absence of such events in the historical record in the nearby region.

eastern United States

Factors influencing distribution of Coccidioides immitis in soil, Washington State, 2016

Coccidioides immitis and Coccidioides posadasii are causative agents of Valley fever, a serious fungal disease endemic to regions with hot, arid climate in the United States, Mexico, and Central and South America. The environmental niche of Coccidioide s spp. is not well defined, and it remains unknown whether these fungi are primarily associated with rodents or grow as saprotrophs in soil. To better understand the environmental reservoir of these pathogens, we used a systematic soil sampling approach, quantitative PCR (qPCR), culture, whole-genome sequencing, and soil chemical analysis to identify factors associated with the presence of C. immitis at a known colonization site in Washington State linked to a human case in 2010. We found that the same strain colonized an area of over 46,000 m 2 and persisted in soil for over 6 years. No association with rodent burrows was observed, as C. immitis DNA was as likely to be detected inside rodent holes as it was in the surrounding soil. In addition, the presence of C. immitis DNA in soil was correlated with elevated levels of boron, calcium, magnesium, sodium, and silicon in soil leachates. We also observed differences in the microbial communities between C. immitis -positive and -negative soils. Our artificial soil inoculation experiments demonstrated that C. immitis can use soil as a sole source of nutrients. Taken together, these results suggest that soil parameters need to be considered when modeling the distribution of this fungus in the environment.

Washington

Transcriptional changes in wild Yukon River Chinook Salmon associated with Ichthyophonus infections

Objective We compared differentially expressed genes in Chinook Salmon Oncorhynchus tshawytscha with three divergent Ichthyophonus statuses (undetected, subclinical infections, or clinical disease; n = 100) to investigate associated transcriptomic responses. Disease associated with the fish parasite Ichthyophonus sp. was first diagnosed in adult Chinook Salmon from the Yukon River in the late 1980s and has subsequently been implicated in premature host mortality. Methods Chinook Salmon tissue sample collections and Ichthyophonus infection data were leveraged from a multi-agency collaboration during summer 2022 at three locations along the main-stem Yukon River that spanned nearly 2,000 km of freshwater migration (lower, middle, and upper river). We sequenced the transcriptome and compared this to infection status based on routine diagnostic procedures. Results Among the 17,569 genes for which messenger RNA was detected, we identified a transcription signature in the skeletal muscle that was associated with Ichthyophonus infections and included 53 differentially expressed genes. The differentially expressed genes and their pathways included those known for involvement in immune functions, energy synthesis, cellular breakdown, and reproduction—all processes that are known to be influenced by senescence during spawning migrations. Conclusions Results demonstrate a clear transcriptional difference between diseased fish (clinical disease group) and those in which Ichthyophonus was undetected, including identifying candidate markers for infection in this population. These results provide a foundation for development of nonlethal biomarkers to evaluate potential Ichthyophonus infections in Chinook Salmon based on gene transcription, protein products, or gene variants (e.g., polymorphisms).

Journal of Aquatic Animal Health

Advancing outreach effectiveness to improve conservation practice adoption

Agricultural conservation practices are central to achieving Chesapeake Bay watershed restoration goals, yet long-term adoption remains challenging even when practices are technically effective and financial assistance is available. Adoption is not a single decision, but a staged and context-dependent process. Awareness and willingness to commitment, implementation, and persistence, are all important. Progress along this pathway is influenced by interacting factors such as knowledge, attitudes, beliefs, social norms, trust, perceived risk, farm characteristics, and practical constraints. Improving adoption requires outreach strategies that respond to the specific factors limiting progress at each stage rather than relying on a one-size-fits-all approach.

Chesapeake Bay watershed