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At least 1,603 records · Page 89Linked to original sources

Seasonal use of shallow water habitat in the Lower Snake River reservoirs by juvenile fall Chinook salmon

The U.S. Army Corps of Engineers (COE) is preparing a long term management plan for sediments that affect the authorized project purposes of the Lower Granite, Little Goose, Lower Monumental, and Ice Harbor reservoirs (hereafter, the lower Snake River reservoirs), and the area from the mouth of the Snake River to Ice Harbor Dam. We conducted a study from spring 2010 through winter 2011 to describe the habitat use by juvenile Chinook salmon within a selected group of shallow water habitat complexes (< 6 m deep) in the lower Snake River reservoirs to help inform the long-term plan. Natural fry and parr were present within all four shallow water habitat complexes that we studied from early spring through early summer, and parr ( = 40,345 &plusmn; 18,800 [error bound]) were more abundant than fry ( = 24,615 &plusmn; 5,701). Water < 2 m deep was highly used for rearing by natural fall Chinook salmon subyearlings (fry and parr combined; hereafter natural subyearlings) based on duration of use and relative group abundances during spring and summer, whereas the 2&ndash;6 m depth interval was more highly used by migratory hatchery fall Chinook salmon subyearlings and spring, summer, and fall Chinook salmon yearlings. Overall mean spring-summer apparent density of natural subyearlings was 15.5 times higher within the < 2 m depth interval than within the 2&ndash;6 m depth interval. Density of natural subyearlings also decreased as the distance a given shallow water habitat complex was located from the riverine spawning areas increased. Reservoir-type juveniles (or fish likely destined to become reservoir-type juveniles) were present in the lower Snake River reservoirs from fall 2010 through winter 2011; however, use of shallow water habitat by reservoir-type juveniles was limited during our study. We only collected 38 reservoir-type juveniles in shallow water habitat sites in beach and lampara seines during the fall. Radiotelemetry data revealed that though many tagged fish passed shallow water habitat sites, relatively few fish entered them and the median time fish spent within a given site was less than 1.4 h. Fish located by mobile tracking away from study sites were pelagically oriented, and generally not found over shallow water or close to shore. The findings in this report: (1) support the selection of natural fall Chinook subyearlings as the indicator group for determining the potential benefits of using dredge spoils to create shallow water habitat, (2) provide evidence for shallow water habitat use by natural subyearlings, (3) provide evidence against large-scale use of shallow water habitat by reservoir-type juveniles, (4) suggest that the depth criterion for defining shallow water habitat (i.e., < 6 m deep) warrants reconsideration, and (5) provide guidance for when to dredge and create shallow water habitat. Future research on habitat preference, feeding ecology, the food web, and intra-specific competition would help to better inform the long-term management plan.

Report↗

High throughput computing: a solution for scientific analysis

Public land management agencies continually face resource management problems that are exacerbated by climate warming, land-use change, and other human activities. As the U.S. Geological Survey (USGS) Fort Collins Science Center (FORT) works with managers in U.S. Department of the Interior (DOI) agencies and other federal, state, and private entities, researchers are finding that the science needed to address these complex ecological questions across time and space produces substantial amounts of data. The additional data and the volume of computations needed to analyze it require expanded computing resources well beyond single- or even multiple-computer workstations. To meet this need for greater computational capacity, FORT investigated how to resolve the many computational shortfalls previously encountered when analyzing data for such projects. Our objectives included finding a solution that would: harness existing Computer Processing Units (CPUs) when they're idle to run multiple jobs concurrently, which reduces the overall processing time without requiring additional hardware; offer an effective, centralized job-management system; handle job failures due to hardware, software, or network interruptions (obviating the need to manually resubmit the job after each stoppage); be affordable; and most importantly, allow us to complete very large, complex analyses that otherwise would not even be possible. In short, we envisioned a job-management system that would take advantage of unused FORT CPUs within a local area network (LAN) to effectively distribute and run highly complex analytical processes. What we found was a solution that uses High Throughput Computing (HTC) and High Performance Computing (HPC) systems to do exactly that (Figure 1).

Report↗

Evaluating environmental and economic consequences of alternative pest management strategies: results of modeling workshops

The U.S. Environmental Protection Agency (EPA) needs a comprehensive method to evaluate the human health and environmental effects of alternative agricultural pest management strategies. This project explored the utility of Adaptive Environmental Assessment (AEA) techniques for meeting this need. The project objectives were to produce models for environmental impact analysis, improve communications, identify research needs and data requirements, and demonstrate a process for resolving conflicts. The project was structured around the construction (in an initial 2 1/2-day workshop) and examination (in a second 2 1/2-day workshop) of a simulation model of a corn agroecosystem. The model conceptualized at the first workshop simulates the effect of corn agrecosystem decisions on crop production, economic returns, and environmental indicators. The model is composed of five interacting submodels: 1) a Production Strategies submodel which makes decisions concerning tillage, planting, fertilizer and pesticide applications, and harvest; 2) a Hydrology/Chemical Transport submodel which represents soil hydrology, erosion, and concentrations of fertilizers and pesticides in the soil, runoff, surface waters, and percolation; 3) a Vegetation submodel which simulates growth of agricultural crops (corns and soybeans) and weeds; 4) a Pests submodel which calculates pest population levels and resulting crop damage; and 5) an Environmental Effects submodel which calculates indicators of potential fish kills, human health effects, and wildlife habitat. The most persistent data gaps encountered in quantifying the model were coefficients to relate environmental consequences to alternative pest management strategies. While the model developed in the project is not yet accurate enough to be used for real-world decisions about the use of pesticides on corn, it does contain the basic structure upon which such a model could be built. More importantly at this stage of development, the project has shown that very complex systems can be modeled in short periods of time and that the process of building such models increases understanding among disciplinary specialists and between diverse institutional interests. This process can be useful to EPA as the agency cooperates with other institutions to meet its responsibilities in less costly ways. Activities at the second 2 1/2-day workshop included a review of the model, incorporation of necessary corrections, simulation of policy scenarios, and examination of techniques to address remaining institutional conflicts. Participants were divided into three groups representing environmental, production or industry, and regulatory interests. Each group developed scenarios that would be most appealing to their particular interest and the scenarios were simulated by the agroecosystem computer model. Negotiators from each of the interest groups decided whether a hypothetical herbicide should be relabeled and if certain restrictions should be imposed on its use. Other participants functioned as experts and consultants on caucus teams. A solution to the hypothetical problem was successfully negotiated. Workshop participants and project staff agreed that the model and processes developed during the project should be used in training students, extension specialists, farmers, researchers, and chemical producers in collaborative problem solving methods. More productive research can be planned, and more realistic models of complex systems can be built in this way. More importantly, greater trust of decisionmakers in computer models, better understanding by technical experts about disciplines other than their own, and improved cooperation between institutional interests can be achieved. This trust, understanding, and cooperation are critical ingredients in solving problems that are too complex to be resolved by independent disciplinary activity and unilateral decision authority.

Report↗

Results of an adaptive environmental assessment modeling workshop concerning potential impacts of drilling muds and cuttings on the marine environment

Drilling fluids or "muds" are essential components of modern drilling operations. They provide integrity for the well bore, a medium for removal of formation cuttings, and lubrication and cooling of the drill bit and pipe. The modeling workshop described in this report was conducted September 14-18, 1981 in Gulf Breeze, Florida to consider potential impacts of discharged drilling muds and cuttings on the marine environment. The broad goals of the workshop were synthesis of information on fate and effects, identification of general relationships between drilling fluids and the marine environment, and identification of site-specific variables likely to determine impacts of drilling muds and cuttings in various marine sites. The workshop was structured around construction of a model simulating fate and effects of discharges from a single rig into open water areas of the Gulf of Mexico, and discussion of factors that might produce different fate and effects in enclosed areas such as bays and estuaries. The simulation model was composed of four connected submodels. A Discharge/Fate submodel dealt with the discharge characteristics of the rig and the subsequent fate of discharged material. Three effects submodels then calculated biological responses at distances away from the rig for the water column, soft bottom benthos (assuming the rig was located over a soft bottom environment), and hard bottom benthos (assuming the rig was located over a hard bottom environment). The model focused on direct linkages between the discharge and various organisms rather than on how the marine ecosystem itself is interconnected. Behavior of the simulation model indicated relatively localized effects of drilling muds and cuttings discharged from a single platform into open water areas. Water column fate and effects were dominated by rapid dilution. Effects from deposition of spent mud and cuttings were spatially limited with relatively rapid recovery, especially in soft bottom benthic communities which were conceptualized as being adapted to frequent storms. This behavior was generated by the set of assumptions about linkages and functional relationships used to construct the model. Areas of uncertainty included methods for extrapolating 96-hr LC50 so results to exposures of varying lengths and concentrations; recovery rates of benthic communities; responses to various depths and rates of burial; fate and effects of the plume in relationship to stratification layers; and long-term and sub-lethal effects of slightly elevated concentrations of discharged materials. Evaluation of the assumptions of the Soft Bottom Submodel suggest that the assumptions used may have been relatively liberal estimates of resiliency of these communities. Discussion of "closed" water bodies such as bays and estuaries indicated several reasons to expect different and more complex fate and effects behavior in these areas. These factors included different species and communities (such as aquatic macrophytes and oyster beds), more complex circulation and stratification patterns, and potentially more active resuspension processes. Much of the possible difference in behavior in these areas centers around the extent to which they are “closed” or in the relative residence times of water and sediments in these areas as they determine the long-term dispersion of discharged material. Despite the complexity and variability of these areas, a large body of knowledge (such as that concerning fate and physical effects of dredge spoil) that could be effectively employed in analysis of potential fate and physical effects in enclosed areas was identified.

Report↗

Breaching the levee of a channel on the Mississippi Fan

GLORIA images of the youngest channel on the Mississippi Fan indicate that it has not been a stable feature, but instead has shifted its course several times. A detailed study of a site of channel shifting found a complex stratigraphy that resulted from one episode of channel avulsion. The channel avulsion appears to have been initiated by a large mass flow that choked the channel below the point where the levee was breached and additionally spilled a large volume of material through the breach in the levee onto the adjacent fan. Subsequent flows were redirected through this breach in the levee and built a channel-levee complex over the mass movement deposits. A second phase of mass movement resulted from another large mass flow that came down the channel and triggered the collapse of part of the newly developed levee. In this case, locally derived levee sediment was mixed with allochthonous sediment from farther up the fan and was spread northward from the levee. This localized study suggests that fan stratigraphy is complex and variable at several scales, not just at the scale resolved in seismic stratigraphic studies (Weimer 1989) and that large mass flows capable of choking the channel system have been an important mechanism in redirecting sedimentation on the Mississippi Fan.

Mississippi Fan↗

Estimating changes in riparian and channel features along the Trinity River downstream of Lewiston Dam, California, 1980 to 2011

Dam construction, flow diversion, and legacy landuse effects reduced the transport capacity, sediment supply, channel complexity and floodplain-connectivity along the Trinity River, CA below Lewiston Dam. This study documents the geomorphic evolution of the Trinity River Restoration Program&rsquo;s intensively managed 65-km long restoration reach from 1980 to 2011. The nature and extent of riparian and channel changes were assessed using a series of geomorphic feature maps constructed from ortho-rectified photography acquired at low flow conditions in 1980, 1997, 2001, 2006, 2009, and 2011. Since 1980 there has been a general conversion of riparian to channel features and expansion of the active channel area. The primary mechanism for expansion of the active channel was bank erosion from 1980 to 1997 and channel widening was well distributed longitudinally throughout the study reach. Subsequent net bar accretion from 1997 to 2001, followed by slightly higher net bar scour from 2001 to 2006, occurred primarily in the central and lower reaches of the study area. In comparison, post-2006 bank and bar changes were spatially-limited to reaches with sufficient local transport capacity or sediment supply supported by gravel augmentation, mechanical channel rehabilitation, and tributary contributions to flow and sediment supply. A series of tributary floods in 1997, 1998 and 2006 were the primary factors leading to documented increases in channel complexity and floodplain connectivity. During the post-2006 period managed flow releases, in the absence of large magnitude tributary flooding, combined with gravel augmentation and mechanical restoration caused localized increases in sediment supply and transport capacity leading to smaller but measurable increases in channel complexity and floodplain connectivity primarily in the upper river below Lewiston Dam.

California↗

A baseline analysis of the distribution, host-range, and severity of the rust Puccinia Psidii in the Hawaiian islands, 2005-2010

Puccinia psidii was first described by Winter (1884) on guava ( Psidium guajava L.) in Brazil. The rust is still a major pest of native guava in Brazil and is often referred to as “guava rust” internationally. It is unusual among rust fungi because of its broad and ever-expanding host-range within the Myrtaceae plant family (Simpson et al . 2006). The pathogen is regarded as a major threat to Eucalyptus plantations and other Myrtaceae worldwide (Coutinho et al . 1998, Grgurinovic et al . 2006, Glen et al . 2007). Infections of leaves and meristems are particularly severe on susceptible seedlings, cuttings, young trees, and coppice, causing plants to be stunted and multi-branched, inhibiting normal growth and development, and sometimes causing death to young seedlings (Booth et al . 2000, Rayachhetry et al . 2001). The fungus has expanded its host-range in Brazil, affecting both native and introduced Myrtaceae (Coutinho et al . 1998). Since its discovery in 1884, P. psidii has continually been discovered to have an expanding host-range within the Myrtaceae, affecting hosts throughout much of South and Central America and the Caribbean. Spreading out originally from Brazil in 1884, the fungus has been reported on hosts in the following countries (first record in parentheses): Paraguay (1884), Uruguay (1889), Ecuador (1891), Colombia (1913), Puerto Rico (1913), Cuba (1926), Dominican Republic (1933), Venezuela (1934), Jamaica (1936), Argentina (1946), Dominica (1948), Trinidad and Tobago (1951), Guatemala (1968), United States (Florida; 1977), Mexico (1981), El Salvador (1987), and Costa Rica (1998) (Simpson et al . 2006). It is possible that P. psidii was present in El Salvador and Costa Rica prior to 1980, but was not reported until 1987 and 1998, respectively. Until recently, Puccinia psidii was restricted to the Neotropics, Mexico, and the state of Florida in the United States. While the rust has been present in Florida for over 30 years, only recently has it spread westward. Although possibly present earlier, P. psidii was found in California in November 2005 in a nursery in San Diego County on Myrtus communis and documented by a report in a nursery newsletter (Mellano 2006). Puccinia psidii was first found in Hawai`i on a young plant of `ōhi`a ( Metrosideros polymorpha ) in April 2005, in a nursery on the island of O`ahu (Killgore and Heu 2005; Uchida et al . 2006). The fungus subsequently spread to most islands of the Hawaiian chain, infecting `ōhi`a and other myrtaceous hosts (Hauff 2006, Anderson et al . 2007). P. psidii was first found in Japan in May 2007 on cultivated `ōhi`a (Kawanishi et al . 2009). Most recently, a rust identified as Uredo rangelii was discovered in April 2010 in New South Wales, Australia (Carnegie et al . 2010). This rust is closely related to Puccinia psidii and is part of the guava rust complex described by Simpson et al . (2006). Although treated as a separate species by Simpson et al. (2006), many authors now consider U. rangelii a synonym for U. psidii , which is the anamorph (asexual stage) of P. psidii , and therefore, the same species (Glen et al . 2007, Carnegie et al . 2010). Because of the large diversity of native Myrtaceae present in Australia, the number of Myrtaceae hosts attacked by species of the guava rust complex will likely grow now that U. rangelii has arrived and is spreading in the country. As of this writing (June 2011), 94 species of Myrtaceae have been identified as hosts of U. rangelii in the states of New South Wales and Queensland. Damage is severe on nearly one-third of the species affected, and 16 of these species are threatened or endangered native species (Secretary of Australia, May 2011). The presence of Puccinia psidii in Hawai`i is particularly alarming for at least two reasons: (1) M. polymorpha is the dominant overstory tree of the native forest, and (2) P. psidii is now established in the Pacific region, where numerous Myrtaceae species are native. Native ecosystems in Hawai`i and the Pacific could be seriously affected by the spread of P. psidii , as both native and introduced Myrtaceae are significant components of many different plant communities throughout the region (Glen et al. 2007). Because the guava rust complex (i.e., P. psidii and U. rangelii ) now attacks well over 100 species of Myrtaceae worldwide, it is currently a priority for international quarantine and import restrictions in an effort to prevent further spread among Australasian and Pacific Myrtaceae. Several different studies have been done to determine what degree of genetic variation exists between isolates of Puccinia psidii from many different host plants and many different locations (Langrell et al . 2008, Kawanishi et al . 2009, Kadooka 2010, Graça et al . 2011). So far, all of these studies have shown that all of the Hawaiian samples tested so far have had the same genetic composition. Given that the P. psidii strain in Hawai`i has continually been shown for over five years to lack genetic variation at microsatellite marker sites (which are believed to undergo relatively rapid genetic change), a baseline evaluation of incidence and severity should be especially valuable to provide comparisons with future conditions. Worldwide, 23 Neotropical species in 11 genera and 59 Australasian and Pacific species in 13 genera had been recorded as hosts of Puccinia psidii before 2010 (Simpson et al . 2006, Anderson et al . 2007). Of those 82 species known to be hosts elsewhere, 42 are cultivated or naturalized in Hawai`i. Because of its wide host-range and aggressive pathogenicity, rust disease caused by P. psidii poses a considerable disease threat to many native and cultivated Myrtaceae throughout the world (Coutinho et al . 1998, Booth et al . 2000, Simpson et al . 2006). However, there are few reports comparing the severity of rust infection on native, introduced, and cultivated Myrtaceae (Rayachhetry et al . 2001, Perez et al . 2010). Since government agencies and the public are concerned about the extent of the rust movement within and to Hawai`i (Loope and La Rosa 2008, Loope 2010), there is a need to better understand the incidence, severity, and distribution of P. psidii in Hawai`i. To address that need, this research project was initiated to survey forests, surrounding plant communities, botanical gardens, and commercial nurseries to detect the presence and severity of P. psidii rust infections throughout Hawai`i on plants in the Myrtaceae family. This study provides a baseline on the host distribution and severity to compare current and future impacts of rust infections caused by P. psidii on native, naturalized, and cultivated Myrtaceae in Hawai`i.

Hawai'i↗

Geology and ground-water resources of the islands of Lanai and Kahoolawe, Hawaii

Lanai lies 59 miles southeast of Honolulu, Oahu, has an area of 141 square miles, and is 3,370 feet high. (See fig. 1 and pl. 1.) Lanai City is the only town of importance. The island produces pineapples and cattle. The surface above about 1,200 feet is generally covered with lateritic soil, which reaches a maximum depth of about 50 feet. Below this level the island is partly devoid of vegetation and is strewn with boulders, the result of having been once submerged by the ocean to this depth. Traces of various emerged and submerged shore lines are described, the highest fossiliferous marine deposits being 1,070 feet above sea level. Lanai is an eroded extinct basaltic volcano built during one period of activity. No secondary eruptions occurred as on most of the other islands. It has three rift zones and a summit caldera. The summit plateau has resulted from collapse along the northwest rift zone. Elsewhere there is much evidence of faulting. About 100 faults and 275 dikes were recorded, but they are so close together in places that it was not possible to show them all on the map. The climate is semitropical, the mean annual temperature of Lanai City, altitude 1,620 feet, being 68&deg; F. Because Lanai lies to the lee of Maui Island it is dry. The mean annual rainfall ranges from 38 inches on the summit to less than 10 inches on the coast. The windward (northeast) side is carved by streams into deep canyons. Maunalei Gulch has the only perennial stream, and it does not reach the sea. Ground water, the lifeblood of Lanai is scarce. Lanai City obtains some of its water supply by a tunnel from gravel in Maumalei Gulch. This water apparently rises from the dike complex in this gulch. The rest of the supply comes from a recently constructed shaft tapping the dike complex not far downstream. The total quantity of high-level ground water discharged by springs and tunnels ranges from about 600,000 gallons a day in wet weather to about 250,000 gallons a day in dry weather. The basal water, although potable, is fairly high in salt. Several sites are recommended for developing and conserving ground water. Kahoolawe Island is 11 miles long, 6 miles wide, 1,491 feet high, covers 45 square miles, and lies 94 miles southeast of Honolulu and 6 3 / 4 miles southwest of Maui. It is a shield-shaped extinct volcano composed chiefly of thin flows of primitive basalt poured in rapid succession from three rift zones and a vent at their intersection. At one stage the volcano was indented with a caldera about 3 miles across which was later completely filled. A graben led southwestward from it. The rocks are divided into Late Tertiary (?) or early Pleistocene(?) pre-caldera basalts, caldera-filling basalts and basaltic andesites, post-caldera basalts and andesites, and Recent post erosional basalts. A few thin vitric tuff beds and cinder cones were found. Marine erosion has cut cliffs as high as 800 feet along the east and south shores and exposed a cross section of the caldera. Only shallow ephemeral gulches exist. The entire summit has been eroded to a hard-pan surface by the wind as a result of the vegetation being destroyed by livestock. The island is semi-arid and well water is needed for stook: "The stook is now supplied entirely from storage of rain and flood waters. During droughts water is hauled by boat from the island of Maui. All the wells dug so far yield water that is too brackish for stock except at the fairly inaccessible south side of Kanapou Bay. The resistivity survey indicates a water table 1.5 feet or less above sea level for 2.25 miles inland. A few sites for wells are recommended in the dike complex where small supplies of water suitable for stock might be found. Petrographic studies by Gordon A. Macdonald indicate that the pre-caldera and caldera-filling lavas are largely normal olivine basalt of the type which forms the bulk of all Hawaiian volcanoes thus far investigated. It represents the undifferentiated magma of the Hawaiian petrographic province. Toward the close of the caldera-filling epoch the vent became less active, and magmatic differentiation produced basaltic andesites, which are interbedded with normal basalts. The post-caldera lavas are largely basaltic andesites and andesites. The much younger lavas, erupted after a period of extensive erosion, are olivine basalts similar in composition to the pre-caldera flows. The mineralogy of the Kahoolawe rocks is described in detail.

Hawaii↗

Systematic approaches to comprehensive analyses of natural organic matter

The more that is learned of the chemistry of aquatic natural organic matter (NOM) the greater is the scientific appreciation of the vast complexity of this subject. This complexity is due not only to a multiplicity of precursor molecules in any environment but to their associations with each other and with other components of local environments such as clays, mineral acids and dissolved metals. In addition, this complex system is subject to constant change owing to environmental variables and microbial action. Thus, there is a good argument that no two NOM samples are exactly the same even from the same source at nearly the same time. When ubiquity of occurrence, reaction with water treatment chemicals, and subsequent human exposure are added to the list of NOM issues, one can understand the appeal that this subject holds for a wide variety of environmental scientists.

Annals of Environmental Science↗

Integrated hydrologic modeling of a transboundary aquifer system —Lower Rio Grande

For more than 30 years the agreements developed for the aquifer systems of the lower Rio Grande and related river compacts of the Rio Grande River have evolved into a complex setting of transboundary conjunctive use. The conjunctive use now includes many facets of water rights, water use, and emerging demands between the states of New Mexico and Texas, the United States and Mexico, and various water-supply agencies. The analysis of the complex relations between irrigation and streamflow supplyand-demand components and the effects of surface-water and groundwater use requires an integrated hydrologic model to track all of the use and movement of water. MODFLOW with the Farm Process (MFFMP) provides the integrated approach needed to assess the stream-aquifer interactions that are dynamically affected by irrigation demands on streamflow allotments that are supplemented with groundwater pumpage. As a first step to the ongoing full implementation of MF-FMP by the USGS, the existing model (LRG_2007) was modified to include some FMP features, demonstrating the ability to simulate the existing streamflow-diversion relations known as the D2 and D3 curves, departure of downstream deliveries from these curves during low allocation years and with increasing efficiency upstream, and the dynamic relation between surface-water conveyance and estimates of pumpage and recharge. This new MF-FMP modeling framework can now internally analyze complex relations within the Lower Rio Grande Hydrologic Model (LRGHM_2011) that previous techniques had limited ability to assess.

Conference Paper↗

Relations among pH, sulfate, and metals concentrations in anthracite and bituminous coal-mine discharges, Pennsylvania

Water-quality data for discharges from 140 abandoned mines in the Bituminous and Anthracite Coalfields of Pennsylvania illustrate relations among pH, sulfate, and dissolved metal concentrations. The pH for the 140 samples ranged from 2.7 to 7.3, with two modes at pH 2.5 to 4 (acidic) and 6 to 7 (near neutral). Generally, flow rates were smaller and solute concentrations were greater for low-pH samples; flow rates increased with pH. Although the pH distribution was similar for the bituminous and anthracite subsets, the bituminous discharges had smaller median flow rates, greater concentrations of sulfate, iron, and aluminum, and smaller concentrations of barium and lead than anthracite discharges with the same pH values. The observed relations between the pH and constituent concentrations can be attributed to (1) dilution of acidic water by alkaline ground water; (2) solubility control of aluminum, iron, manganese, barium, and lead by hydroxide, sulfate, and/or carbonate minerals; and (3) aqueous sulfate-complex formation. The formation of AlSO 4 + and AlHSO 4 +2 complexes adds to the total dissolved aluminum concentration at pH of equilibrium with aluminum hydroxide or hydroxysulfate minerals and can account for 10 to 20 times greater concentrations of dissolved aluminum in bituminous discharges compared to anthracite discharges at similar pH. Sulfate complexation also can account for 10 to 30 times greater concentrations of dissolved ferric iron concentrations at equilibrium with ferrihydrite (Fe(OH) 3 ) and/or schwertmannite (Fe 8 O 8 (OH) 4.5 (SO 4 ) 1.75 ) at pH of 3 to 5. In contrast, lower barium and lead concentrations in bituminous than anthracite discharges indicates elevated sulfate concentration could decrease mobility of these metals by the formation of insoluble minerals such as barite (BaSO 4 ) or anglesite (PbSO 4 ). Most samples were saturated with barite, but none were saturated with anglesite. Hence, lead concentrations could be controlled by coprecipitation with barite and/or by adsorption to schwertmannite or another sulfate-bearing oxide.

Pennsylvania↗

The history of late holocene surface-faulting earthquakes on the central segments of the Wasatch fault zone, Utah

The Wasatch fault (WFZ)—Utah’s longest and most active normal fault—forms a prominent eastern boundary to the Basin and Range Province in northern Utah. To provide paleoseismic data for a Wasatch Front regional earthquake forecast, we synthesized paleoseismic data to define the timing and displacements of late Holocene surface-faulting earthquakes on the central five segments of the WFZ. Our analysis yields revised histories of large (M ~7) surface-faulting earthquakes on the segments, as well as estimates of earthquake recurrence and vertical slip rate. We constrain the timing of four to six earthquakes on each of the central segments, which together yields a history of at least 24 surface-faulting earthquakes since ~6 ka. Using earthquake data for each segment, inter-event recurrence intervals range from about 0.6 to 2.5 kyr, and have a mean of 1.2 kyr. Mean recurrence, based on closed seismic intervals, is ~1.1–1.3 kyr per segment, and when combined with mean vertical displacements per segment of 1.7–2.6 m, yield mean vertical slip rates of 1.3–2.0 mm/yr per segment. These data refine the late Holocene behavior of the central WFZ; however, a significant source of uncertainty is whether structural complexities that define the segments of the WFZ act as hard barriers to ruptures propagating along the fault. Thus, we evaluate fault rupture models including both single-segment and multi-segment ruptures, and define 3–17-km-wide spatial uncertainties in the segment boundaries. These alternative rupture models and segment-boundary zones honor the WFZ paleoseismic data, take into account the spatial and temporal limitations of paleoseismic data, and allow for complex ruptures such as partial-segment and spillover ruptures. Our data and analyses improve our understanding of the complexities in normal-faulting earthquake behavior and provide geological inputs for regional earthquake-probability and seismic hazard assessments.

Book chapter↗

Midcontinent microcosm: Geology of the Atkins lake - Marengo falls area (Field trip 2)

Archean and Proterozoic rocks exposed over about 16km2 between Atkins Lake and Coffee Lake in southeastern Bayfield County (Fig. 1) chronicle almost all of the major Precambrian geologic events in the history of the southern Superior Craton. The oldest rocks are part of a locally gneissic quartz monzonite complex, the Puritan Batholith, with an igneous Rb-Sr age of 2710+140 Ma (Sims et al., 1977). At the regional scale, this complex is part of one of the youngest Archean granite-greenstone belts in the Superior Province, and it intrudes greenstones of the Neoarchean Ramsay Formation. In the Atkins Lake – Marengo River area, the Puritan Batholith is nonconformably overlain by the Paleoproterozoic (ca. 2200 Ma) Bad River Dolomite. The Bad River Dolomite is in turn separated by an unconformity from rocks of the ca. 1875 Ma Menominee Group (Palms Formation and Ironwood Iron-formation), which locally contain mafic volcanic rocks and diabase sills (Cannon et al., 2008). These Paleoproterozoic rocks provide insight into climate and biogeochemical cycles during the transition to an oxidizing atmosphere (Bekker et al., 2006) and have deformational fabrics (folds, strong cleavage, local mylonite zones) that record the ca. 1850 Ma Penokean Orogeny. The youngest rocks in the area are Mesoproterozoic basaltic lava flows (Siemens Creek Volcanics, ca. 1110 Ma) and a layered mafic complex (the Mineral Lake Intrusion, also ca. 1100 Ma), both related to the Mid-continent Rift. All of the stratified units show static contact metamorphic textures near their contacts with the Mineral Lake Intrusion. Thus the area constitutes a microcosm of the regional bedrock geology, and the cross-cutting relationships among the units provide clear constraints on the relative timing of different phases of deformation and magmatism (Cannon etal., 2008, Bjørnerud, 2010a).

Wisconsin↗

Effects of El Nino on streamflow, lake level, and landslide potential

One of the most important sources of year-to-year climate variation in the Southwest is the El Niño phenomenon of the tropical Pacific Ocean. El Niño is a natural but largely unpredictable condition that results from complex interplay among clouds and storms, regional winds, oceanic temperatures, and ocean currents along the equatorial Pacific. Under "normal" conditions, the tropical trade winds blow from east to west, Figure 1. Schematic diagram of normal and El Niño conditions in the Pacific Ocean. From NOAA El Niño website. ponding up warm water in the western Pacific. In the eastern Pacific, the trade winds pull up cold, deep, nutrient-rich waters along the equator from the Ecuadorian coast to the central Pacific. The warmth of the western Pacific results in a particularly vigorous hydrologic cycle there with towering cumulus clouds and tropical storms that "radiate" atmospheric waves and disturbances across vast regions of the globe. Heat and moisture lofted into the upper atmosphere by the clouds and storms are distributed by high-altitude winds across vast regions of the globe. During an El Niño, this situation is disrupted and the trade winds weaken, thus reducing the upwelling of cool waters in the eastern Pacific and allowing the pool of warm water in the west to drift eastward toward South America. As the central and eastern Pacific warms, atmospheric pressure gradients along the equator weaken, and the trade winds diminish even more. These changes in sea-level pressure of the atmosphere are characteristic of the strongest El Niño and were identified as the "Southern Oscillation" of the global atmosphere by Sir Gilbert Walker in the early decades of this century. A chicken-and-egg relation exists between the changes in ocean temperatures and changes in winds (and atmospheric pressure gradients); the two sets of changes reinforce and drive each other but neither is clearly or universally "the" initiator of El Niño. Ocean temperatures and surface winds interact to form the complex process, El Niño-Southern Oscillation (ENSO). The interactions can be set off by subtle changes in one or the other, by buffeting from other parts of the tropics, or from regions beyond the tropics. Such a complex interplay and its uncertain (and variable) origins are the primary limitations on our ability to predict El Niño. As the waters of the central and eastern Pacific warm, the powerful tropical Pacific storms begin to form farther east than usual (Fig. 1). As the distribution of storms spreads east along the equator, their influence on global weather systems also changes. Most notably, for our purposes, the jet stream over the North Pacific Ocean is invigorated and pulled farther south than normal, where it collects moisture and storms and carries them to the southwestern United States and northern Mexico. During an El Niño, the trade winds are too weak to cause upwelling of nutrient-rich waters off the coasts of Ecuador and Peru. Generations of South American fisherman thus have recognized these conditions by the disappearance of their standard catch, commonly during December and January, every three to seven years. Because of the near coincidence in timing between these conditions and Christmas, the fishing communities have called the phenomenon "El Niño", for the Christ child. The geologic record suggests that El Niño conditions have been a part of earth's climate for at least several thousand years. An El Niño event usually lasts for several seasons, and, along with its other effects, represents an interruption of the "normal" seasonal cycle of the tropical climate. After a few seasons, and usually during spring time (in the Northern Hemisphere), the seasonal cycle reasserts itself and the tropical ocean cools back to the normal east-to-west sea-surface temperature gradients. Sometimes the warm El Niño events give way to unusually cold sea-surface temperatures and unusually strong trade winds, a condition now called La Niña. On other occasions, La Niñas may begin on their own, without an immediately preceding El Niño. The effects of the El Niño and La Niña on global climate are, in part, mirror images of each other. For example, drought is a common occurrence in the southwestern United States during La Niña, in contrast to the wet years associated with El Niño.

Arizona, California, Nevada, New Mexico, Oregon, U↗

Local to landscape-level controls of water fluxes through Hawaiian forests: Effects of invasive animals and plants on soil infiltration capacity across substrate and moisture gradients

Given the potential effect of invasive plants and animals to water fluxes through forests, the invasive-driven degradation of native ecosystems is a topic of great concern for many downstream land and water managers. The infiltration rate determines the partitioning between runoff and infiltration into soil in Hawaiian forests and beyond. Thus, to explore the ecohydrological effects of plant and animal invasion in mesic and wet forests in Hawaii, we measured soil infiltration capacity in multiple fenced (i.e., ungulate-free)/unfenced and native/invaded forest sites along moisture and substrate age gradients across the islands of Hawai‘i and Kaua‘i. We also characterized forest composition and structure and soil characteristics at these sites to assess the direct and vegetation-mediated impacts of invasive species on infiltration capacity. Infiltration capacity is highly variable across forested sites and the wider landscape. Much of this variability is determined by a complex set of soil, vegetation, and disturbance factors that affect infiltration capacity at the immediate surrounding of measurement plots. Consequently, the effect of any given factor can be masked by variability in other factors. However, by controlling for variability in soil and vegetation conditions at a local plot level, we found that the presence of invasive species in forests has complex and sometimes non-intuitive effects on infiltration. Our final models showed that invasive ungulates negatively affect soil infiltration capacity consistently across the wide moisture and substrate age gradients considered. Additionally, because several soil characteristics known to be affected by ungulates were associated with local infiltration rates (e.g., soil organic matter, bare soil cover, soil depth), the long-term secondary effects of high ungulate densities in Hawaiian forests may be higher than effects observed in this study. These results provide clear evidence for land managers that ungulate control efforts likely improve ecohydrologic function to mesic and wet forest systems critical to protecting downstream and nearshore resources and maintaining groundwater recharge. Compared to ungulate effects, the effect of invasive plants on water infiltration capacity in Hawaiian forests appeared much more complex. In general, elements of forest structure including increased canopy, understory and floor cover, greater presence of large roots, and lower grass and bare soil covers were positively associated with water infiltration. Whether native or not, a plant species’ potential to alter infiltration rates in Hawaiian forests was likely to depend on its physiognomy and how it affects forest community structure. For instance, while the cover of native dominant tree ‘ōhi‘a, Metrosideros polymorpha, was found to be positively associated with infiltration capacity (perhaps as an indicator of overall forest integrity), invasive Himalayan ginger, Hedychium gardnerianum, was also positively correlated with infiltration capacity, possibly due to preferential flow channels created by the presence of large root mats. Few studies have conducted comprehensive integrated ecological and hydrological sampling in forests of high conservation value. While we show there are large benefits to understanding how conservation efforts may help shape water fluxes, we also found that the commonly used study design for infiltration studies used here and elsewhere (i.e., adjacent paired sites) could be modified to provide more accurate effects of invasion in future studies for ecosystems in Hawaii and beyond.

Hawaii↗

Fish out of water: Insights from a case study of a highly social animal that failed the mirror self-recognition test

Mirror self-recognition (MSR) tests have been conducted with a variety of species with the aim of examining whether subject animals have the capacity for self-awareness. To date, the majority of animals that have convincingly passed are highly social mammals whose wild counterparts live in complex societies, though there is much debate concerning what constitutes passing and what passing means in terms of self-awareness. Amid recent reports that a fish (cleaner wrasse, Labroides dimidiatus ) passed, it is intriguing that a mammal as highly social, tolerant, attentive, and cooperative as the grey wolf ( Canis lupus ) reportedly failed the test. Given the many possible reasons for failure, we aimed to elucidate the wolves’ responses at various stages of the MSR test to pinpoint potential problem areas where species-appropriate modifications to the test may be needed. Thus, we evaluated 6 socialized, captive grey wolves as a case study of failed MSR in socially complex canids. At a minimum, wolves did not respond to their reflection as an unfamiliar conspecific. Unfortunately, the wolves rapidly lost interest in the mirror and were uninterested in the applied marks. We note limitations of the MSR test for this species, recommend changes for future MSR tests of wolves, discuss other emerging self-cognizance methods for socially complex canids, and highlight the need for a suite of ecologically relevant, potentially scalable self-cognizance methods. Our findings and recommendations may aid in understanding self-cognizance in other untested highly social, cooperatively-hunting, coursing, terrestrial carnivores such as African wild dogs ( Lycaon pictus ), spotted hyenas ( Crocuta crocuta ), and African lions ( Panthera leo ).

International Journal of Comparative Psychology↗

Very different crustal response to extreme extension in the southern Basin and Range and Colorado Plateau transition

Clustered about the southwest edge of the Colorado Plateau lie many highly extended terranes. Among these are metamorphic core complexes, distinguished by low-angle normal faults with sufficient offset to expose middle crustal rocks at higher elevation relative to the surrounding areas. About 150 km to the southwest, strong extension in the Salton Trough manifests itself very differently; high-angle normal faults form deep basins, with the strongest extension causing subsidence beneath sea level. We ask why strong extension takes such different forms, and, to help answer the question, we take advantage of seismic and gravity profiles that cross through the Salton Trough, metamorphic core complexes, and the Colorado Plateau. We propose that the relative rate of extension vs. intrusion of crust by magmatism and crustal flow controls the extensional style. We further show that conditions may have been ideal for core complex formation along the edges of the Colorado Plateau because its thick crust and high elevation provided a source of crustal flow and the pressure gradient to drive the flow.

California↗

Geology of central Costa Rica and its implications in the geologic history of the region

The oldest rocks in Costa Rica, the Nicoya Complex, crop out in an arcuate belt along the Pacific coast and outside the mapped area. The complex is an ophiolite assemblage and indicates that a Late Cretaceous arc-trench system, probably a southerly extension of the Middle America Trench, lay along and west of the present Pacific coast. Polarity of the system is indicated by the presence of a volcanic olivine basalt arc east of the ophiolite belt and by a younger magmatic arc farther east. Relative lack of metamorphism of the ophiolite assemblage suggests that the rocks were obducted rather than subducted. Fossil evidence indicates that the complex was emplaced no later than the late Campanian. By the late Eocene both the ophiolite assemblage and the olivine basalt arc had been established as major sediment sources for basins that lay to the east, and they continued as such through the Oligocene and possibly into the middle Miocene. Widespread deposition of trachyandesite lava and volcaniclastic sediments, local marine planation, uplift, and renewed volcanism mark what is presumed to be the end of the Miocene. Extreme south-to-north coarsening of the unconformably superposed Doan Formation and the presence of corals in the shaly facies of the Doan in the southern part of the mapped areas suggest that marine sedimentation there was undisturbed by orogeny and that intrusion of the Talamancan magmatic rocks must have followed deposition of the Doan. Volcaniclastic block breccia, characteristic of northern exposures of the Doan, indicates that volcanism in the proto- Cordillera Central had begun by at least Doan time. Volcanism has been a dominant process in central Costa Rica since that time.

Journal of Research of the U.S. Geological Survey↗