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Using global remote camera data of a solitary species complex to evaluate the drivers of group formation

The social system of animals involves a complex interplay between physiology, natural history, and the environment. Long relied upon discrete categorizations of “social” and “solitary” inhibit our capacity to understand species and their interactions with the world around them. Here, we use a globally distributed camera trapping dataset to test the drivers of aggregating into groups in a species complex (martens and relatives, family Mustelidae , Order Carnivora ) assumed to be obligately solitary. We use a simple quantification, the probability of being detected in a group, that was applied across our globally derived camera trap dataset. Using a series of binomial generalized mixed-effects models applied to a dataset of 16,483 independent detections across 17 countries on four continents we test explicit hypotheses about potential drivers of group formation. We observe a wide range of probabilities of being detected in groups within the solitary model system, with the probability of aggregating in groups varying by more than an order of magnitude. We demonstrate that a species’ context-dependent proclivity toward aggregating in groups is underpinned by a range of resource-related factors, primarily the distribution of resources, with increasing patchiness of resources facilitating group formation, as well as interactions between environmental conditions (resource constancy/winter severity) and physiology (energy storage capabilities). The wide variation in propensities to aggregate with conspecifics observed here highlights how continued failure to recognize complexities in the social behaviors of apparently solitary species limits our understanding not only of the individual species but also the causes and consequences of group formation.

PNAS↗

Potential minability and economic viability of the Antaramut-Kurtan-Dzoragukh coal field, north-central Armenia; a prefeasibility study

The U. S. Geological Survey (USGS) conducted a coal resource assessment of several areas in Armenia from 1997 to 1999. This report, which presents a prefeasibility study of the economic and mining potential of one coal deposit found and studied by the USGS team, was prepared using all data available at the time of the study and the results of the USGS exploratory work, including core drilling, trenching, coal quality analyses, and other ongoing field work. On the basis of information currently available, it is the authors? opinion that a small surface coal mine having about a 20-year life span could be developed in the Antaramut-Kurtan-Dzoragukh coal field, specifically at the Dzoragukh site. The mining organization selected or created to establish the mine will need to conduct necessary development drilling and other work to establish the final feasibility study for the mine. The company will need to be entrepreneurial, profit oriented, and sensitive to the coal consumer; have an analytical management staff; and focus on employee training, safety, and protection of the environment. It is anticipated that any interested parties will be required to submit detailed mining plans to the appropriate Armenian Government agencies. Further development work will be required to reach a final decision regarding the economic feasibility of the mine. However, available information indicates that a small, economic surface mine can be developed at this locality. The small mine suggested is a typical surface-outcropstripping, contour mining operation. In addition, auger mining is strongly suggested, because the recovery of these low-cost mining reserves will help to ensure that the operation will be a viable, economic enterprise. (Auger mining is a system in which large-diameter boreholes are placed horizontally into the coal seam at the final highwall set as the economic limit for the surface mining operation). A special horizontal boring machine, which can be imported from Russia, is required for auger mining. Although auger-mining coal reserves do exist, the necessary development work will further verify the extent of these reserves and all of the other indicated reserves. The following items are based on the detailed study reported in this publication. Initial investment.?Following an investment of US $85,000 over a 12-month period in mine development drilling and other activities, a decision must be taken regarding further investment in an ongoing mining operation. If the new data support the opening of the surface mine, __________________________ 1Consultant, 6024 Morning Dew Drive, Austin, TX 78749. 2 U.S. Geological Survey, 956 National Center, Reston, VA 20192 1 2 MINABILITY AND ECONOMIC VIABILITY, ANTARAMUT-KURTAN-DZORAGUKH COAL FIELD the $85,000 development cost is amortized over the first 10 years of mine production. If the new data do not support the opening of the mine, the $85,000 is considered a business development expense that may be written off against profits from other operations for income or other tax purposes or simply as a business loss. Total capital required.?The equipment costs will reach a total of $900,500 which will be amortized over a 7-year period to establish estimated coal mining costs. Estimated working capital costs are $300,000, which will be borrowed. Surface mining reserves.?Approximately 840,200 metric tonnes of surface minable coal reserves at 9.3 m3 of overburden per metric tonne of minable coal is indicated. Recovery of the minable coal at 85 percent will yield 714,000 recoverable metric tonnes of marketable as-mined coal. Auger mining reserves.?Auger-mining reserves of 576,000 metric tonnes are indicated. Recoverable auger-mining reserves of 202,000 metric tonnes (at 35-percent recovery) can be expected. Auger-mining production will vary according to the hole size being used, but, in either case, augering is a very profitable addition to the mining oper

Bulletin↗

Drought and cooler temperatures are associated with higher nest survival in Mountain Plovers

Native grasslands have been altered to a greater extent than any other biome in North America. The habitats and resources needed to support breeding performance of grassland birds endemic to prairie ecosystems are currently threatened by land management practices and impending climate change. Climate models for the Great Plains prairie region predict a future of hotter and drier summers with strong multiyear droughts and more frequent and severe precipitation events. We examined how fluctuations in weather conditions in eastern Colorado influenced nest survival of an avian species that has experienced recent population declines, the Mountain Plover (Charadrius montanus). Nest survival averaged 27.2% over a 7-yr period (n = 936 nests) and declined as the breeding season progressed. Nest survival was favored by dry conditions and cooler temperatures. Projected changes in regional precipitation patterns will likely influence nest survival, with positive influences of predicted declines in summer rainfall yet negative effects of more intense rain events. The interplay of climate change and land use practices within prairie ecosystems may result in Mountain Plovers shifting their distribution, changing local abundance, and adjusting fecundity to adapt to their changing environment.

Avian Conservation and Ecology↗

Using decision analysis to support proactive management of emerging infectious wildlife diseases

Despite calls for improved responses to emerging infectious diseases in wildlife, management is seldom considered until a disease has been detected in affected populations. Reactive approaches may limit the potential for control and increase total response costs. An alternative, proactive management framework can identify immediate actions that reduce future impacts even before a disease is detected, and plan subsequent actions that are conditional on disease emergence. We identify four main obstacles to developing proactive management strategies for the newly discovered salamander pathogen Batrachochytrium salamandrivorans ( Bsal ). Given that uncertainty is a hallmark of wildlife disease management and that associated decisions are often complicated by multiple competing objectives, we advocate using decision analysis to create and evaluate trade-offs between proactive (pre-emergence) and reactive (post-emergence) management options. Policy makers and natural resource agency personnel can apply principles from decision analysis to improve strategies for countering emerging infectious diseases.

Frontiers in Ecology and the Environment↗

Consumer isoscapes reveal heterogeneous food webs in deep-sea submarine canyons and adjacent slopes

The deep sea is the largest biome on earth, but one of the least studied despite its critical role in global carbon cycling and climate buffering. Deep-sea organisms largely rely on particulate organic matter from the surface ocean for energy – these organisms in turn play critical roles in energy transport, transformation, storage, and sequestration of carbon. Within the deep sea, submarine canyons are amongst the most complex and dynamic environments in our oceans, where varied morphology, powerful currents, and variable nutrient conditions influence the distribution of species and transport of organic material throughout the water column and the seafloor. Significant habitat heterogeneity provides ideal substrates for cold-water corals, making submarine canyons of interest to conservation and management. However, how these and other topographic features in the deep ocean influence energy flow and trophic pathways is poorly known. Thus, submarine canyons serve as model systems to track variability in organic material flux and consequential utilization and assimilation by the benthos. In this study, we used an extensive stable isotope dataset to examine food-web structure in Baltimore and Norfolk submarine canyons and compared them to their adjacent slopes located along the U.S. Atlantic margin. Linear models were used to construct geospatially-explicit consumer isoscapes that predicted variation in carbon and nitrogen isotopes across the canyon-slope seascape, providing a predictive map from which to test hypotheses on the distribution and flow of energy resources, relevant to understanding whole community function. Communities were composed of isotopically diverse feeding groups with photosynthetically-derived organic carbon providing the basal food resource. Canyon communities were distinct from the slope, with canyon consumers significantly 13 C-depleted, indicating a greater supply and/or utilization of fresh organic matter compared to the slope. Isoscapes for benthic and suspension feeders were distinct, possibly due to the consumption of different quality organic matter sources (fresh = suspension feeders, old = benthic feeders), each with distinct isotope composition. To our knowledge, our modeled isoscapes represent the first spatially extensive isotopic maps of deep-sea consumers, providing insights into regional-scale variation in stable carbon and nitrogen isotopes for different consumer groups. They provide a baseline for tracking climate-change induced fluctuations in the quality and availability of surface primary production and the consequential impact to benthic communities, which play critical roles in carbon cycling in our world’s oceans.

Progress in Oceanography↗

CaDAVEr: A metagenome-assembled genome catalog of microbial decomposers across vertebrate environments

Microbial degradation of organic matter is a fundamental Earth process, yet a mechanistic understanding of microbial metabolisms and successional ecology involved in decomposition remains poorly understood. Here, we announce the recovery of 277 cadaver-associated soil metagenome-assembled genomes to enhance our understanding of vertebrate decomposition microbial processes.

Microbiology Resource Announcements↗

A New Map of Standardized Terrestrial Ecosystems of the Conterminous United States

A new map of standardized, mesoscale (tens to thousands of hectares) terrestrial ecosystems for the conterminous United States was developed by using a biophysical stratification approach. The ecosystems delineated in this top-down, deductive modeling effort are described in NatureServe's classification of terrestrial ecological systems of the United States. The ecosystems were mapped as physically distinct areas and were associated with known distributions of vegetation assemblages by using a standardized methodology first developed for South America. This approach follows the geoecosystems concept of R.J. Huggett and the ecosystem geography approach of R.G. Bailey. Unique physical environments were delineated through a geospatial combination of national data layers for biogeography, bioclimate, surficial materials lithology, land surface forms, and topographic moisture potential. Combining these layers resulted in a comprehensive biophysical stratification of the conterminous United States, which produced 13,482 unique biophysical areas. These were considered as fundamental units of ecosystem structure and were aggregated into 419 potential terrestrial ecosystems. The ecosystems classification effort preceded the mapping effort and involved the independent development of diagnostic criteria, descriptions, and nomenclature for describing expert-derived ecological systems. The aggregation and labeling of the mapped ecosystem structure units into the ecological systems classification was accomplished in an iterative, expert-knowledge-based process using automated rulesets for identifying ecosystems on the basis of their biophysical and biogeographic attributes. The mapped ecosystems, at a 30-meter base resolution, represent an improvement in spatial and thematic (class) resolution over existing ecoregionalizations and are useful for a variety of applications, including ecosystem services assessments, climate change impact studies, biodiversity conservation, and resource management.

Professional Paper↗

Using noninvasive genetics for estimating density and assessing diet of urban and rural coyotes in Florida, USA

Coyotes ( Canis latrans ) are expanding their range and due to conflicts with the public and concerns of Coyotes affecting natural resources such as game or sensitive species, there is interest and often a demand to monitor Coyote populations. A challenge to monitoring is that traditional invasive methods involving live-capture of individual animals are costly and can be controversial. Natural resource management agencies can benefit from contemporary noninvasive genetic sampling approaches aimed at determining key aspects of Coyote ecology (e.g., population density and food habits). However, the efficacy of such approaches under different environmental conditions is poorly understood. Our objectives were to 1) examine accumulation and nuclear DNA degradation rates of Coyote scats in metropolitan and rural sites in Florida to help optimize methods to estimate population density; and 2) explore new genetic methods for determining diet of Coyotes based on vertebrate, plant, and invertebrate species DNA identified in scat. Recently developed DNA metabarcoding approaches make it possible to simultaneously identify DNA from multiple prey species in predator scat samples, but an exploration of this tool for assessing Coyote diet has not been pursued. We observed that scat accumulation rates (0.02 scats/km/day) did not vary between sites and fecal DNA amplification success decreased and genotyping errors increased over time with exposure to sun and precipitation. DNA sampling allowed us to generate a Coyote density estimate for the urban environment of eight Coyotes per 100 km2, but lack of recaptures in the rural area precluded density estimation. DNA metabarcoding showed promise for assessing diet contributions of vertebrate species to Coyote diet. Feral Swine (Sus scrofa) were detected as prey at higher frequencies than previously reported. We identify several considerations that can be used to optimize future noninvasive sampling efforts for Coyotes in the southeastern United States. We also discuss strengths and drawbacks of utilizing DNA metabarcoding for assessing diet of generalist carnivores such as Coyotes.

Florida↗

Biotic and abiotic factors influencing zooplankton vertical distribution in Lake Huron

The vertical distribution of zooplankton can have substantial influence on trophic structure in freshwater systems, particularly by determining spatial overlap for predator/prey dynamics and influencing energy transfer. The zooplankton community in some of the Laurentian Great Lakes has undergone changes in composition and declines in total biomass, especially after 2003. Mechanisms underlying these zooplankton changes remain poorly understood, in part, because few studies have described their vertical distributions during daytime and nighttime conditions or evaluated the extent to which predation, resources, or environmental conditions could explain their distribution patterns. Within multiple 24-h periods during July through October 2012 in Lake Huron, we conducted daytime and nighttime sampling of zooplankton, and measured food (chlorophyll- a ), temperature, light (Secchi disk depth), and planktivory (biomass of Bythotrephes longimanus and Mysis diluviana ). We used linear mixed models to determine whether the densities for 22 zooplankton taxa varied between day and night in the epi-, meta-, and hypolimnion. For eight taxa, higher epilimnetic densities were observed at night than during the day; general linear models revealed these patterns were best explained by Mysis diluviana (four taxa), Secchi disk depth (three taxa), epilimnetic water temperature (three taxa), chlorophyll (one taxon), and biomass of Bythotrephes longimanus (one taxon). By investigating the potential effects of both biotic and abiotic variables on the vertical distribution of crustacean zooplankton and rotifers, we provide descriptions of the Lake Huron zooplankton community and discuss how future changes in food web dynamics or climate change may alter zooplankton distribution in freshwater environments.

Journal of Great Lakes Research↗

Management and the conservation of freshwater ecosystems

Riparian areas are the terrestrial environment adjacent to water that both influences and is influenced by the aquatic feature (Gregory et al ., 1991; Naiman et al ., 2010). Riparian areas along streams provide shade, sources of wood and organic matter, contribute to bank stability, filter sediments, take up excess nutrients from groundwater inputs, and other key processes that protect freshwaters (e.g. Naiman et al ., 2010; Richardson & Danehy, 2007; Figure 9.1). Riparian areas also increase biodiversity through habitat complexity and close juxtaposition of aquatic and terrestrial environments (Quinn et al ., 2004; Naiman et al ., 2010). Alterations to riparian areas, despite their small area relative to the landscape, have disproportionate effects on habitats and fish communities (Naiman et al ., 2010; Wipfli & Baxter, 2010). Key habitat losses and alterations are derived from modification of riparian areas by reducing instream habitat complexity (Bilby & Ward, 1989; Fausch & Northcote, 1992; Naiman et al ., 2010), diminishing the productive basis of freshwater food webs (Belsky et al ., 1999; Quinn et al ., 2004), increasing nutrient, contaminant and sediment intrusion (Muscutt et al ., 1993; Daniels & Gilliam, 1996; Nguyen et al ., 1998; Waters, 1999). Riparian and freshwater ecosystems are typically tightly coupled, especially in their natural states, and the linkages that couple them frequently exert strong influence on their associated invertebrate and fish fauna (e.g. Gregory et al ., 1991; Naiman et al ., 2010). Riparian habitats, and the condition of these habitats, further plays a key role in the ecology of these fresh waters, influencing critical processes such as water, nutrient and sediment delivery and dynamics; prey resources for fish and other consumers, and other organic materials exchanged between aquatic and terrestrial habitats (Nakano et al ., 1999; Naiman et al ., 2010); light and water temperature dynamics that in turn affect food web processes and fish metabolism and growth; aquatic physical habitat (wood); and terrestrial consumers that prey upon fishes (Bisson & Bilby, 1998; Naiman et al ., 2010; Wipfli & Baxter, 2010). These processes in turn directly or indirectly influence fishes in freshwater systems (Wang et al ., 2001; Pusey & Arthington, 2003; Allan, 2004; Richardson et al ., 2010a).

Book chapter↗

Understanding contaminants associated with mineral deposits

Interdisciplinary studies by the U.S. Geological Survey (USGS) have resulted in substantial progress in understanding the processes that control the release of metals and acidic water from inactive mines and mineralized areas, the transport of metals and acidic water to streams, and the fate and effect of metals and acidity on downstream ecosystems. The potential environmental effects associated with abandoned and inactive mines, resulting from the complex interaction of a variety of chemical and physical processes, is an area of study that is important to the USGS Mineral Resources Program. Understanding the processes contributing to the environmental effects of abandoned and inactive mines is also of interest to a wide range of stakeholders, including both those responsible for managing lands with historically mined areas and those responsible for anticipating environmental consequences of future mining operations. The recently completed (2007) USGS project entitled 'Process Studies of Contaminants Associated with Mineral Deposits' focused on abandoned and inactive mines and mineralized areas in the Rocky Mountains of Montana, Colorado, New Mexico, Utah, and Arizona, where there are thousands of abandoned mines. Results from these studies provide new information that advances our understanding of the physical and biogeochemical processes causing the mobilization, transport, reaction, and fate of potentially toxic elements (including aluminum, arsenic, cadmium, copper, iron, lead, and zinc) in mineralized near-surface systems and their effects on aquatic and riparian habitat. These interdisciplinary studies provide the basis for scientific decisionmaking and remedial action by local, State, and Federal agencies charged with minimizing the effects of potentially toxic elements on the environment. Current (2007) USGS research highlights the need to understand (1) the geologic sources of metals and acidity and the geochemical reactions that release them from their sources, (2) the pathways that facilitate transport from those sources, and (3) the processes that control the fate of the elements once released from the sources. Experts in the fields of economic geology, structural geology, mineralogy, geophysics, geochemistry, hydrology, ground-water modeling, microbiology, and toxicology came together for a series of studies that address these relationships on scales ranging from the microscopic to the watershed. This Circular presents results and highlights from the detailed, interdisciplinary studies that include investigations in both mining-affected areas and mineralized but unmined areas. The first section of the Circular describes laboratory and site-scale field investigations that primarily focus on mineralogic and biologic controls on the source and release of metals and acidity from mine-waste rock and hydrothermally altered areas. The second section describes a set of basin- to watershed-scale studies that not only investigate the source and release of metals and acidity but also the transport of these constituents away from the source areas. The third section is a summary of results from postremediation ecosystem monitoring. For more information on these and other project-related studies, please visit the project Web site at http://minerals.cr.usgs.gov/projects/contaminants/index.html. The Web site includes a complete bibliography and detailed descriptions of each interdisciplinary study.

Circular↗

Report on the 2010 Chilean earthquake and tsunami response

In July 2010, in an effort to reduce future catastrophic natural disaster losses for California, the American Red Cross coordinated and sent a delegation of 20 multidisciplinary experts on earthquake response and recovery to Chile. The primary goal was to understand how the Chilean society and relevant organizations responded to the magnitude 8.8 Maule earthquake that struck the region on February 27, 2010, as well as how an application of these lessons could better prepare California communities, response partners and state emergency partners for a comparable situation. Similarities in building codes, socioeconomic conditions, and broad extent of the strong shaking make the Chilean earthquake a very close analog to the impact of future great earthquakes on California. To withstand and recover from natural and human-caused disasters, it is essential for citizens and communities to work together to anticipate threats, limit effects, and rapidly restore functionality after a crisis. The delegation was hosted by the Chilean Red Cross and received extensive briefings from both national and local Red Cross officials. During nine days in Chile, the delegation also met with officials at the national, regional, and local government levels. Technical briefings were received from the President’s Emergency Committee, emergency managers from ONEMI (comparable to FEMA), structural engineers, a seismologist, hospital administrators, firefighters, and the United Nations team in Chile. Cities visited include Santiago, Talca, Constitución, Concepción, Talcahuano, Tumbes, and Cauquenes. The American Red Cross Multidisciplinary Team consisted of subject matter experts, who carried out special investigations in five Teams on the (1) science and engineering findings, (2) medical services, (3) emergency services, (4) volunteer management, and (5) executive and management issues (see appendix A for a full list of participants and their titles and teams). While developing this delegation, it was clear that a multidisciplinary approach was required to properly analyze the emergency response, technical, and social components of this disaster. A diverse and knowledgeable delegation was necessary to analyze the Chilean response in a way that would be beneficial to preparedness in California, as well as improve mitigation efforts around the United States. By most standards, the Maule earthquake was a catastrophe for Chile. The economic losses totaled $30 billion USD or 17% of the GDP of the country. Twelve million people, or ¾ of the population of the country, were in areas that felt strong shaking. Yet only 521 fatalities have been confirmed, with 56 people still missing and presumed dead in the tsunami. The Science and Technology Team evaluated the impacts of the earthquake on built environment with implications for the United States. The fires following the earthquake were minimal in part because of the shutdown of the national electrical grid early in the shaking. Only five engineer-designed buildings were destroyed during the earthquake; however, over 350,000 housing units were destroyed. Chile has a law that holds building owners liable for the first 10 years of a building’s existence for any losses resulting from inadequate application of the building code during construction. This law was cited by many our team met with as a prime reason for the strong performance of the built environment. Overall, this earthquake demonstrated that strict building codes and standards could greatly reduce losses in even the largest earthquakes. In the immediate response to the earthquake and tsunami, first responders, emergency personnel, and search and rescue teams handled many challenges. Loss of communications was significant; many lives were lost and effective coordination to support life-sustaining efforts was gravely impacted due to a lack of inter- and intra-agency coordination. The Health and Medical Services Team sought to understand the medical disaster response strategies and operations of Chilean agencies, including perceived or actual failures in disaster preparation that impacted the medical disaster response; post-disaster health and medical interventions to save lives and limit suffering; and the lessons learned by public health and medical personnel as a result of their experiences. Despite devastating damage to the health care and civic infrastructure, the health care response to the Chilean earthquake appeared highly successful due to several factors. Like other first responders, the medical community had the ability and resourcefulness to respond without centralized control in the early response phase. The health care community maintained patient care under austere conditions, despite many obstacles that could have prevented such care. National and international resources were rapidly mobilized to support the medical response. The Emergency Services Team sought to collect information on all phases of emergency management (preparedness, mitigation, response, and recovery) and determine what worked well and what could be improved upon. The Chileans reported being surprised that they were not as ready for this event as they thought they were. The use of mass care sheltering was limited, given the scope of the disaster, because of the resiliency of the population. The impacts of the earthquake and the tsunami were quite different, as were the needs of urban and rural dwellers, necessitating different response activities. The Volunteer Services Team examined the challenges faced in mobilizing a large number of volunteers to assist in the aftermath of a disaster of this scale. One of the greatest challenges expressed was difficulty in communication; the need for redundancy in communication mechanisms was cited. The flexibility and ability to work autonomously by the frontline volunteers was a significant factor in effective response. It was also important for volunteer leadership to know the emergency plans. These plans need to be flexible, include alternative options, and be completed in conjunction with local officials and other volunteers. The Executive/Red Cross Management Team took a broad look at the impacts of the earthquake and the implications for California. Some of the most important preparation for the disaster came from relationships formed before the event. The communities with strong connections between different government services generally fared well. The initial response and resilience of individuals and communities was another important component. Communication system failures limited the ability of a central government to assist impacted communities, or to issue tsunami warnings. It also delayed the response since the government did not know (in some case for several days) the impact and needs of local governments. In general, plans for congregate care shelters existed but were little used as most people chose to stay at damaged homes or with relatives. Looting was a surprise to response officials as well as social scientists, but both public and private sector organizations, including NGOs (Non-Governmental Organizations), must consider security for damaged businesses as a priority in California’s multihazard planning. Class and ethnic divisions that become heightened during some cases of actual or perceived injustice may also emerge in natural disasters in California. Several factors contributed overall to the low casualty rate and rapid recovery. A major factor is the strong building code in Chile and its comprehensive enforcement. In particular, Chile has a law that holds building owners accountable for losses in a building they build for 10 years. A second factor was the limited number of fires after the earthquake. In the last few California earthquakes, 60% of the fires were started by electrical problems, so the rarity of fires may have been affected by the shut down of the electricity grid early in the earthquake. Third, in many areas, the local emergency response was very effective. The most effective regions had close coordination between emergency management, fire, and police and were empowered to respond without communication with the capital. The fourth factor was the overall high level of knowledge about earthquakes and tsunamis by much of the population that helped them respond more appropriately after the event.

Open-File Report↗

Effects of coal mine subsidence in the Sheridan, Wyoming, area

Analyses of the surface effects of past underground coal mining in the Sheridan, Wyoming, area suggest that underground mining of strippable coal deposits may damage the environment more over long periods of time than would modern surface mining, provided proper restoration procedures are followed after surface mining. Subsidence depressions and pits are a continuing hazard to the environment and to man's activities in the Sheridan, Wyo., area above abandoned underground mines in weak overburden less than about 60 m thick and where the overburden is less than about 10-15 times the thickness of coal mined. In addition, fires commonly start by spontaneous ignition when water and air enter the abandoned mine workings via subsidence cracks and pits. The fires can then spread to unmined coal as they create more cavities, more subsidence, and more cracks and pits through which air can circulate. In modern surface mining operations the total land surface underlain by minable coal is removed to expose the coal. The coal is removed, the overburden and topsoil are replaced, and the land is regraded and revegetated. The land, although disturbed, can be more easily restored and put back into use than can land underlain by abandoned underground mine workings in areas where the overburden is less than about 60 m thick or less than about 10-15 times the thickness of coal mined. The resource recovery of modern surface mining commonly is much greater than that of underground mining procedures. Although present-day underground mining technology is advanced as compared to that of 25-80 years ago, subsidence resulting from underground mining of thick coal beds beneath overburden less than about 60 m thick can still cause greater damage to surface drainage, ground water, and vegetation than can properly designed surface mining operations. This report discusses (11 the geology and surface and underground effects of former large-scale underground coal mining in a 50-km 2 area 5-20 km north of Sheridan, Wyo., (2) a ground and aerial reconnaissance study of a 5-km^2 coal mining area 8-10 km west of Sheridan, and (31 some environmental consequences and problems caused by coal mining.

Professional Paper↗

Geologic framework and hydrogeologic characteristics of the Edwards aquifer, Uvalde County, Texas

The Edwards aquifer in Uvalde County is composed of Lower Cretaceous carbonate (mostly dolomitic limestone) strata of the Devils River Formation in the Devils River trend and of the West Nueces, McKnight, and Salmon Peak Formations in the Maverick basin. Rocks in the Devils River trend are divided at the bottom of the Devils River Formation into the (informal) basal nodular unit. Maverick basin rocks are divided (informally) into the basal nodular unit of the West Nueces Formation; into lower, middle, and upper units of the McKnight Formation; and into lower and upper units of the Salmon Peak Formation. The Edwards aquifer overlies the (Lower Cretaceous) Glen Rose Limestone, which composes the lower confining unit of the Edwards aquifer. The Edwards aquifer is overlain by the (Upper Cretaceous) Del Rio Clay, the basal formation of the upper confining unit. Upper Cretaceous and (or) Lower Tertiary igneous rocks intrude all stratigraphic units that compose the Edwards aquifer, particularly in the southern part of the study area. The Balcones fault zone and the Uvalde salient are the principal structural features in the study area. The fault zone comprises mostly en echelon, high-angle, and down-to-the-southeast normal faults that trend mostly from southwest to northeast. The Uvalde salient—resulting apparently from a combination of crustal uplift, diverse faulting, and igneous activity—elevates the Edwards aquifer to the surface across the central part of Uvalde County. Downfaulted blocks associated with six primary faults—Cooks, Black Mountain, Blue Mountain, Uvalde, Agape, and Connor—juxtapose the Salmon Peak Formation (Lower Cretaceous) in central parts of the study area against Upper Cretaceous strata in the southeastern part. The carbonate rocks of the Devils River trend and the Maverick basin are products of assorted tectonic and depositional conditions that affected the depth and circulation of the Cretaceous seas. The Devils River Formation formed in a fringing carbonate bank—the Devils River trend— in mostly open shallow marine environments of relatively high wave and current energy. The West Nueces, McKnight, and Salmon Peak Formations resulted mostly from partly restricted to open marine, tidal-flat, and restricted deep-basinal environments in the Maverick basin. The porosity of the Edwards aquifer results from depositional and diagenetic effects along specific lithostratigraphic horizons (fabric selective) and from structural and solutional features that can occur in any lithostratigraphic horizon (non-fabric selective). In addition to porosity depending upon the effects of fracturing and the dissolution of chemically unstable (soluble) minerals and fossils, the resultant permeability depends on the size, shape, and distribution of the porosity as well as the interconnection among the pores. Upper parts of the Devils River Formation and the upper unit of the Salmon Peak Formation compose some of the most porous and permeable rocks in Uvalde County.

Texas↗

Geologic history and hydrogeologic setting of the Edwards-Trinity aquifer system, west-central Texas

The Edwards-Trinity aquifer system underlies about 42,000 square miles of west-central Texas. Nearly flat-lying, mostly Comanche (Lower Cretaceous) strata of the aquifer system thin northwestward atop massive pre-Cretaceous rocks that are comparatively impermeable and structurally complex. From predominately terrigenous clastic sediments in the east and fluvialdeltaic (terrestrial) deposits in the west, the rocks of early Trinitian age grade upward into supratidal evaporitic and dolomitic strata, intertidal limestone and dolostone, and shallow-marine, openshelf, and reefal strata of late Trinitian, Fredericksburgian, and Washitan age. A thick, downfaulted remnant of mostly open-marine strata of Eaglefordian through Navarroan age composes a small, southeastern part of the aquifer system. The Trinity Group was deposited atop a rolling peneplain of pre-Cretaceous rocks during three predominately transgressive cycles of sedimentation that encroached upon the Llano uplift. The Fredericksburg and Washita Groups were deposited above the Trinity Group mostly in the lee of the Stuart City reef trend, a shelf margin ridge that sheltered depositional environments in the study area. The Washita Group subsequently was covered with thick, mostly fine-grained Gulf strata. During late Oligocene through early Miocene time, large-scale normal faulting formed the Balcones fault zone, where the Cretaceous strata were downfaulted, intensively fractured, and differentially rotated within a series of northeasttrending fault blocks. In addition to fracturing the rocks in the fault zone and extending the depth of freshwater diagenesis, the faulting vertically displaced the terrain, which steepened hydraulic gradients and maintained relatively high flow velocities near the surface. A shallow regime of dynamic ground-water flow evolved that promoted dissolution and enhanced the transmissivity of the Edwards Group in the Balcones fault zone. Cementation, recrystallization, and mineral replacement caused by deeper, comparatively sluggish ground-water circulation combined to diminish the transmissivity of the underlying Trinity Group, as well as most Cretaceous strata in the Hill Country, Edwards-Plateau, and Trans-Pecos. The Trinity, Fredericksburg, and Washita strata compose a regional aquifer system of three aquifers, whose water-transmitting characteristics generally are continuous in the lateral direction, and two hydraulically tight confining units. The aquifers are the Edwards aquifer in the Balcones fault zone, the Trinity aquifer in the Balcones fault zone and Hill Country, and the Edwards-Trinity aquifer in the Edwards Plateau and Trans-Pecos. The Navarro-Del Rio confining unit overlies the subcrop of the Edwards aquifer, and the Hammett confining unit lies within the updip, basal part of the Trinity aquifer and a small southeastern fringe of the Edwards-Trinity aquifer. The confining units are mostly calcareous mudstone, siltstone, and shale of low-energy terrigenous and openshelf marine depositional environments. The aquifers mainly result from fractures, joint cavities, and porosity caused by the dissolution of evaporites and unstable carbonate constituents. Because the diagenetic effects of cementation, recrystallization, and mineral replacement diminish the hydraulic conductivity of most rocks composing the Trinity and Edwards-Trinity aquifers, transmissivity values average less than 10,000 feet squared per day over more than 90 percent of the study area. However, the effects of tectonic fractures and dissolution in the Balcones fault zone cause transmissivity values to average about 750,000 feet squared per day in the Edwards aquifer, which occupies less than 10 percent of the study area.

Texas↗

Artificial intelligence applied to big data reveals that lake invasions are predicted by human traffic and co-occurring invasions

Preventing the spread of aquatic invasive species is an important management action. Identifying the characteristics of lakes that are susceptible to invasion creates an opportunity for management groups to prioritize limited resources for high-risk areas. In this study, we leveraged big data from a popular fishing app and other publicly available sources of environmental and human-use exposure measurements to develop machine learning models to predict aquatic invasive species presence in 30,375 lakes in the upper Mississippi river basin of the United States. Our results predicted that an additional 665, 771, 544, 703, and 638 lakes in the basin are invaded or at high risk of invasion by Eurasian watermilfoil, curly-leaf pondweed, rusty crayfish, Chinese mystery snail, and dreissenid mussels, respectively. Lake invasions were predicted by a combination of environmental, human-use exposure, and community dynamics variables. Features that made a lake more attractive to recreationists were consistently important across our models including the presence of a boat ramp, larger lake size, and surrounding natural landscape. The importance of co-occurring invasive species in some models could reflect several scenarios including invasional meltdown, facilitation among species, similar pathways for introduction, or similar response to the environment. Our models predicted a higher proportion of invasions in less popular lakes compared to known invasions. The finding underscores the potential importance of less popular lakes in the invasion process and suggests that the detection of invasions may be lower in these lakes. These results serve as a valuable tool for data-driven management decisions and can provide actionable insights for effective aquatic invasive species management.

Biological Invasions↗

Leveraging modern climatology to increase adaptive capacity across protected area networks

Human-driven changes in the global environment pose an increasingly urgent challenge for the management of ecosystems that is made all the more difficult by the uncertain future of both environmental conditions and ecological responses. Land managers need strategies to increase regional adaptive capacity, but relevant and rapid assessment approaches are lacking. To address this need, we developed a method to assess regional protected area networks across biophysically important climatic gradients often linked to biodiversity and ecosystem function. We plot the land of the southwestern United States across axes of historical climate space, and identify landscapes that may serve as strategic additions to current protected area portfolios. Considering climate space is straightforward, and it can be applied using a variety of relevant climate parameters across differing levels of land protection status. The resulting maps identify lands that are climatically distinct from existing protected areas, and may be utilized in combination with other ecological and socio-economic information essential to collaborative landscape-scale decision-making. Alongside other strategies intended to protect species of special concern, natural resources, and other ecosystem services, the methods presented herein provide another important hedging strategy intended to increase the adaptive capacity of protected area networks.

Arizona, Colorado, New Mexico, Nevada, Utah↗

Mercury contamination from historic gold mining in California

Mercury contamination from historic gold mines represents a potential risk to human health and the environment. This fact sheet provides background information on the use of mercury in historic gold mining and processing operations in California, and describes a new USGS project that addresses the potential risks associated with mercury from these sources, with emphasis on historic hydraulic mining areas. Miners used mercury (quicksilver) to recover gold throughout the western United States at both placer (alluvial) and hardrock (lode) mines. The vast majority of mercury lost to the environment in California was from placer-goldmines, which used hydraulic, drift, and dredging methods. At hydraulic mines, placer ores were broken down with monitors (or water cannons, fig. 1) and the resulting slurry was directed throughsluices and drainage tunnels, where goldparticles combined with liquid mercury to form gold?mercury amalgam. Loss ofmercury in this process was 10 to 30 percent per season (Bowie, 1905), resulting in highly contaminated sediments at mine sites (fig. 2). Elevated mercury concentrations in present-day mine waters and sediments indicate thathundreds to thousands of pounds of mercury remain at each of the many sites affected by hydraulic mining. High mercury levels in fish, amphibians, and invertebrates downstream of the hydraulic mines are a consequence of historic mercury use. On the basis of USGS studies and other recent work, a better understanding is emerging of mercury distribution, ongoing transport, transformation processes, and the extent of biological uptake in areas affected by historic gold mining. This information will be useful to agencies responsible for prudent land and resource management and for protecting public health.

California↗