USGS ScienceSearch

SEARCH · USGS Science

Results for “Ore and Energy Resource Geology”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

1,664 records · Page 90Linked to original sources

A 10-year continuous daily simulation of chloride flux from a suburban watershed in Fairfax County, Virginia, USA

Increasing levels of chloride in surface water are associated with detrimental effects on water quality, aquatic ecosystems, infrastructure, and human health. Numerous mass-balance studies have inferred watershed transport processes by interpreting chloride inputs and outputs, but few represent internal dynamics explicitly. We constructed a coupled water/chloride mass balance model to gain insights into storage, residence time, and transport processes in a 10-km 2 urban watershed. The model, which operates over a 10-year period at a daily time scale, represents storage in a dynamic soil-moisture reservoir, quick-flow runoff from storm events, and slow-flow runoff that sustains streamflow in dry weather. The calibrated model accurately represented (a)the observed transition from a streamflow enrichment regime in cold months to a dilution regime in warmer months, (b) the observed tendency for late-summer concentrations to be higher after winters with heavy snowfall, and (c) a period-of-record downward trend in chloride concentration likely associated with a downward trend in annual snowfall. Estimated chloride inputs averaged 195 metric tons per year, while the average output was 270 metric tons per year. In contrast, estimated storage was only 107 metric tons. The estimated mean residence time in groundwater was 1.27 years. This short residence time indicates that efforts to reduce inputs will manifest as decreased concentrations in streamflow on a management-relevant time scale of several years. The coupled mass balance model yielded insights into internal watershed dynamics that would not be possible from simple input/output analysis; such models can be useful tools for gaining insight into small watershed hydrology and pollutant transport.

Virginia

An unexplained tsunami: Was there megathrust slip during the 2020 Mw7.6 Sand Point, Alaska, earthquake?

On October 19, 2020, the M w 7.6 Sand Point earthquake struck south of the Shumagin Islands in Alaska. Moment tensors indicate the earthquake was primarily strike-slip, yet the event produced an enigmatic tsunami that was larger and more widespread than expected for an earthquake of that magnitude and mechanism. Using a suite of hydrodynamic, seismic, and geodetic modeling techniques, we explore plausible causes of the tsunami. We find that strike-slip models consistent with the moment tensor orientation cannot produce the observed tsunami. Hydrodynamic inversion of sea surface deformation from deep ocean and tide gauge data suggest seafloor deformation more closely matches a megathrust, rather than a strike-slip, source. Static slip inversions, using sea level and Global Navigation Satellite System data, allow for a portion of co-seismic megathrust slip that can explain tsunamigenesis. Combining all available geophysical datasets to model the kinematic rupture, we show that considerable, relatively slow, megathrust slip is allowable in the Shumagin segment, concurrent with strike-slip faulting. We hypothesize that the slow megathrust rupture does not contribute much seismic radiation allowing it to previously go unnoticed with traditional seismic monitoring.

Alaska

Microplastics undergo fragmentation during pressurized membrane filtration

Low-micrometer microplastics (<10 μm) have been detected in drinking water, driving growing interest in using pressure-driven membrane filtration to remove these particles and ensure drinking water safety. However, little attention is paid to the fate of microplastics concentrated in the filtration byproduct. In this study, using well-defined polystyrene (PS) and poly(methyl methacrylate) microspheres as model particles, we observed microplastic fragmentation during nanofiltration and the subsequent release of smaller fragments. After operating for 3 h at 20 bar, 67.9 ± 8.0% of the PS spheres in the concentrate, based on particles counted in selected fields of view, were transformed into fractured particles. The characteristic Raman band signals of microplastics were significantly weakened after fragmentation, leading to detection challenges. To address this, a data processing algorithm was developed to identify PS fragments as small as 1 μm. Preliminary statistical analysis reveals that within the tested pressure range, operation time has a stronger influence on fragmentation than pressure magnitude alone and that fragmentation is further governed by the intrinsic mechanical properties of the tested model polymers. This work provides direct evidence that pressure-driven membrane processes induce microplastic fragmentation and highlights the environmental risks associated with the discharge of fragmented microplastics into the concentrate.

Environmental Science & Technology Letters

Quantifying methane emissions from a rich fen with uncrewed aircraft systems in boreal Alaska

Thawing of permafrost in northern latitudes is accelerating, potentially releasing substantial amounts of methane (CH 4 ) as forested permafrost plateaus transition into wetlands. This ecosystem shift alters the carbon exchange between the soil and atmosphere, influencing the permafrost-carbon feedback. Monitoring these changes may require measurement platforms operating across varied spatial and temporal scales. Recent advancements in small uncrewed aircraft systems (sUAS) enable high resolution CH 4 flux quantification in remote, complex terrains; however, comparisons with established methods such as eddy covariance flux towers remain limited. We used a hexacopter sUAS to quantify CH 4 emissions from the Alaska Peatland Experiment, a wetland within the Bonanza Creek Experimental Forest. Using an ensemble of methods to define the background CH 4 concentration, along with near surface emissions from soil chambers, helped constrain our flux estimates. The sUAS method yielded an average flux of 0.0077 ± 0.0019 mol s −1 CH 4 , within a factor of two concurrent tower-derived total source flux estimates (0.0036 ± 0.00042 mol s −1 CH 4 ). To assess spatial drivers of observed fluxes, we conducted a 2D footprint analysis and overlaid the results with high-resolution hyperspectral land cover classification, quantifying vegetative contributions within each footprint. This revealed higher fen representation in sUAS measurements (73.8%) than in tower footprints (58.8%), and lower tussock meadow representation (15.6% and 30.3%, respectively). These differences were consistent with known variation in vegetation-specific CH 4 emissions. Our results highlight that combining footprint modeling with land cover characterization can enhance interpretations of CH 4 fluxes and guide cross-platform comparisons.

JGR Atmospheres

Earthquake ground-motion model adjustments for the San Francisco Bay area

We develop adjustments to ergodic ground‐motion models (GMMs) to improve their performance in the San Francisco Bay Area (SFBA). GMMs are widely used in hazard assessments to estimate characteristics of ground shaking based on known properties of the source, path, and site. Such models are often developed using datasets containing records from various regions, resulting in models that represent median ground‐motion behavior, which may not adequately represent ground motions within subregions. This is true for the SFBA, where ground motions attenuate more rapidly with distance than in many other parts of California that dominate GMM databases. To support improved seismic hazard estimates in the SFBA, we calculate regional constants and anelastic attenuation coefficient adjustments relative to two commonly used ergodic GMMs: BSSA14 ( Boore et al. , 2014 ) and ASK14 ( Abrahamson et al. , 2014 ). These adjustments are obtained for a suite of ground‐motion intensity measures (peak ground acceleration, peak ground velocity, and 5%‐damped pseudospectral acceleration at oscillator periods ranging from 0.075 to 10 s) using mixed‐effects regression. Use of the regionally adjusted models reduces the overall bias by up to 0.5 natural log units for BSSA14 and up to 0.6 natural log units for ASK14. We demonstrate one application of our attenuation adjustments and their implications in an earthquake early warning case study of the 2014 M 6.0 South Napa earthquake. The predicted extent of shaking using the adjusted models better matches observed shaking at large source‐to‐site distances, especially for lower shaking intensities, thus potentially reducing overalerting. We encourage the use of our model adjustments when ergodic models are considered for seismic hazard studies in the SFBA.

California

Development of USGS NSHMs: Do small changes in hazard imply small changes in risk?

One of the flagship products from the U.S. Geological Survey (USGS) is the National Seismic Hazard Model (NSHM). Since 1976, the NSHM has been periodically updated to reflect newly published earthquake science and provide probabilistic estimates of seismic hazard for the United States. During each update cycle, alternative models are deliberated, analyzed, and documented through logic trees and their corresponding logic tree branch weights. For example, the decision to modify a logic tree branch weight may be influenced by sensitivity analyses of the logic tree branches in their effects on the mean hazard. However, do small changes in traditional measures of hazard imply small changes in risk? In this study, we make use of two update cycles of the USGS NSHMs and a National Bridge Inventory (NBI) from the Federal Highway Administration (FHWA) to explore the preceding question. Specifically, we first identify geographic locations in the conterminous United States in which the change in hazard from one cycle to another is relatively small. Next, we model the seismic risk to highway bridges for these locations and for each update cycle, while simultaneously distinguishing low hazard environments from high hazard environments. These data enable quantitative analysis of how much changes in risk can be expected given small changes in hazard, investigating the importance of risk models in decision-making during development of the USGS NSHMs.

Conference Paper

Overcoming the data limitations in landslide susceptibility modelling

Data-driven models widely used for assessing landslide susceptibility are severely limited by the landslide and environmental data needed to create them. They rely on inventories of past landslide locations, which are difficult to collect and often nonrepresentative. Furthermore, susceptibility maps are most needed in regions without the means to assemble an inventory. To overcome these challenges, we develop a method for assessing shallow landslide susceptibility based on a probabilistic morphometric analysis of the landscape’s topography, rather than the characteristics of landslides. The model assumes that hillslopes with higher relief and gradient compared to the surrounding landscape are more prone to landslides. We demonstrate the superior performance of this approach over contrasting data-driven models across the northwestern United States. As our morphometric model only requires elevation data, it overcomes the major limitations of data-driven models and facilitates the creation of effective susceptibility models in areas where it was previously unfeasible.

Oregon, Washington

Predicted exposure of communities in southeastern United States to climate-related coastal hazards

A rigorous analysis of 21st Century multi-hazard exposure for U.S. Southeast Atlantic coastal communities indicates that up to 70% of residents will be exposed daily to shallow and emerging groundwater by ~2100, 15 times higher than from surficial flooding alone. This threat further exacerbates other coastal stressors, such as flooding, subsidence, and beach erosion, that impact these vulnerable coastal communities and ecosystems under expected future climate change scenarios.

Florida, Georgia, North Carolina, South Carolina,

U.S. Geological Survey Groundwater Climate Response Network, 2024

As of October 2024, the U.S. Geological Survey (USGS) operated 588 sites across the United States and its territories as part of the Groundwater Climate Response Network (CRN). The CRN is comprised of wells selected to monitor the effects of climate variability, such as droughts, on groundwater levels nationwide. The CRN includes nearly 500 locations with real-time data and more than 100 sites with non-real-time data available to the public on the CRN web mapper and the USGS National Water Dashboard.

General Information Product

On algorithmically determined versus traditional macroseismic intensity assignments

The utility of macroseismic data, defined as the effects of earthquakes on humans and the built environment, has been increasingly recognized following the advent of online systems that now produce unprecedented volumes of macroseismic intensity information. Contributed reports from the U.S. Geological Survey “Did You Feel It?” (DYFI) system ( Wald et al ., 1999 ) are used to generate intensity values with an algorithm based on seminal work by Dengler and Dewey (1998) . The algorithm was developed initially to reproduce intensity values assigned by expert opinion using questionnaire results collected by telephone survey. In this article, I discuss reasons why intensity values from (self‐selected) DYFI responses can differ from values that would be assigned by expert opinion given more complete data from randomly selected participants. For example, with the data used by Dengler and Dewey (1998) , intensities near 4 could be determined from the percentage of people who felt shaking in each town. With less spatially rich data from self‐selected participants, this percentage often cannot be determined reliably. Audible noises are key additional diagnostic criteria for modified Mercalli intensity (MMI) 4, but, although the DYFI system includes a question about noise, following Dengler and Dewey (1998) , the DYFI algorithm does not include a noise indicator. At the upper end of the scale, as defined the DYFI algorithm yields a maximum intensity value of 9.05, nominally corresponding to peak ground acceleration of 75% g . These and other factors can result in DYFI values that are low compared to traditional MMI values assigned using expert opinion, even absent factors that can bias traditional MMI assignments. Modern ground‐motion intensity conversion equations determined using DYFI intensities are expected to be appropriate for DYFI intensities, but the results of this study suggest that biases may be introduced if DYFI and traditional intensities are assumed to be interchangeable.

Seismological Research Letters

Remote compositional analyses of space-weathered lunar maria

Visible-to-shortwave infrared (VSWIR) reflectance spectroscopy has revolutionized our understanding of planetary surface compositions. However, space-weathering processes on airless bodies complicate quantitative compositional analyses. Here, we present a framework to isolate the signatures of space weathering in VSWIR spectra of lunar maria by leveraging radiative transfer modeling under the assumptions that (i) a space-weathered target can be expressed as a mixture of fresh and fully space-weathered components and (ii) remaining signatures can be modeled by including agglutinates as an end-member component. We first validate this approach against laboratory spectra of space-weathered Apollo mare soils of known mineral compositions using a probabilistic Markov Chain Monte Carlo implementation of the Hapke radiative transfer model. Second, we illustrate how this approach can be applied to orbital Moon Mineralogy Mapper data. The proposed space-weathering correction workflow for lunar maria could be expanded to other lunar lithologies and applied to existing and future data sets.

Planetary Science Journal

Simulating human behavior under earthquake early warning

Earthquakes are a rapid-onset hazard where advance planning and learning plays a key role in mitigating injuries and death to individuals. Recent advances in earthquake detection have resulted in the development of earthquake early warning (EEW) systems. These systems can provide advance warning to predetermined geographic regions that an earthquake is in progress, which may result in individuals receiving warning seconds before significant shaking is felt at their location. This additional time could allow individuals to take more effective protective actions during the immediate disaster. To demonstrate this, we created an agent-based simulation of a basic apartment that allowed us to randomly and repeatedly simulate an individual receiving and responding to an EEW message. The results of our preliminary simulation show that, in our study environment, earthquake early warning alerts have the potential to allow for sufficient time for individuals to take protective actions.

Washington

Controls on water quality below a reclaimed surface coal mine, southeastern Montana

Coal mining and reclamation can have a profound influence on hydrogeologic systems, with clear consequences for groundwater quality, yet their long-term influence on downgradient water quality over time following reclamation is less well documented. Geochemical trends were evaluated in water quality downgradient of a fully reclaimed landscape at the former Big Sky Mine in the Rosebud Creek watershed (southeastern Montana, USA), over a 3-year period (2020–2022), including bond release in 2022. Within 6 km downgradient from the reclaimed area, sulfate concentrations decreased from approximately 3500 to 1800 mg l −1 within the Miller Coulee alluvial aquifer. Major ions, δ 34 S SO4 values, and residence time tracers suggest that the observed decreases in sulfate concentration result from a combination of dilution by mixed-age inflows and incomplete transit of the high salinity plume from the mine boundary. Both bedrock and alluvial aquifers of the Rosebud Creek corridor contained contributions of millennia-old regional groundwater, which may serve to mitigate mine-derived high salinity waters. Rosebud Creek, which traverses the outflow zone of Miller Coulee in the study area, exhibited high sulfate concentrations during low flows and consistent downgradient increases in sulfate concentration. The possibility of plume dynamics in Miller Coulee suggests that the greatest water quality impacts may not yet have reached Rosebud Creek.

Montana

Multi-objective optimization of a hydro-economic model in an over-allocated agricultural basin

Groundwater depletion for agricultural irrigation poses significant environmental and economic challenges. This study introduces a proof-of-concept that combines hydro-economic modeling, scenario-based modeling, and multi-objective optimization to manage pumping curtailment in an over-allocated basin in the western United States. Three optimization scenarios were evaluated, each offering different degrees of management flexibility. Results reveal that scenarios with finer spatial resolution achieved greater environmental benefits per unit profit loss. Additionally, strategies allowing fractional reductions in curtailed wells–rather than complete shutdowns based on water rights seniority–substantially improved efficiency, highlighting the value of increased decision-making flexibility. Although scenario testing can aid stakeholder engagement and strategy exploration, multi-objective optimization provides a systematic framework to quantify tradeoffs between competing objectives. This combined approach demonstrates promise for building consensus and supporting the design of sustainable water management strategies that balance agricultural livelihoods with ecosystem preservation.

Oregon

Rewilding the upper Klamath River Basin: Rapid recolonization of Chinook salmon following the world’s largest dam removal

Habitat fragmentation is a global driver of decline in biodiversity, yet evaluations of ecological response following re-connection remain rare. In 2024, four hydroelectric dams on the Klamath River were removed, reconnecting over 640 km of anadromous habitat and marking the largest dam removal project completed to date. We used a stationary high-resolution multi-beam imaging SONAR to quantify adult Chinook salmon ( Oncorhynchus tshawytscha ) passage into newly reopened reaches during the first two migratory seasons following dam removal. An estimated 7,742 (95% CI: 7,702–7,778) Chinook salmon migrated upstream in 2024 and 13,310 (95% CI: 12,876–13,733) in 2025, representing 18–19% of fish returning to the Klamath River Basin. Within this period, Chinook salmon recolonized 88% of their documented historical distribution, expanding into 345 km of reconnected habitats and reaching elevations of up to 1,250 m. Recolonization required fish to swim through dam removal sites, complex hydraulic corridors and engineered fishways, demonstrating the propensity for rapid recolonization at basin scale despite these challenges. These findings provide the first quantitative assessment of salmon response to the world’s largest dam removal and demonstrate how reconnection can catalyze large-scale recolonization in historically fragmented river networks.

California, Oregon

Strong shaking from past Cascadia Subduction Zone earthquakes encoded in coastal landforms

Strong earthquakes along subduction zones are often devastating events, but sparse records along some tectonic margins limit our understanding of seismic hazards. Constraining shaking intensities is critical, especially in subduction zones with infrequent but large-magnitude earthquakes like the Cascadia Subduction Zone (CSZ), where the lack of recorded ground motions has led to uncertainty in the severity and potential impacts of future earthquakes. Here we fill this observational gap with a novel inventory of quantitative estimates of past shaking intensities from geotechnical modeling of coastal landforms. One hundred fifty-four deep-seated landslides and 65 fragile geologic features constrain minimum and maximum peak ground accelerations, respectively. These estimates are broadly consistent with model predictions of M9 ruptures, suggesting strong shaking of 0.4–0.8 g during past CSZ earthquakes. Local discrepancies between our geologic shaking constraints and earthquake simulations may inform past rupture behavior, leading to better predictions of shaking intensity for future earthquakes.

California, Oregon, Washington

Predicting hydrothermal reservoir depth from chemical geothermometers using a three-dimensional temperature model in the Great Basin, USA

Recent work in the Great Basin region of the western United States has made it possible to predict the depth of hydrothermal reservoirs (i.e., the depth at which heat is accumulated prior to ascent via hydrothermal upflow) identified through geochemistry and to contextualize the spatial patterns of these reservoir depths. Chemical geothermometers use the chemical and mineral constituents of hydrothermal fluids to predict the temperature at which fluids equilibrated with the host rocks at depth. Assuming that most of the Great Basin is dominated by conductive conditions until a vertically connected hydrothermal flow path is created (e.g., by faulting), geothermometers reflect the chemical and thermal conditions at the depth interval that the fluid has conductively equilibrated over a long period before a vertical conduit allows convective upflow. By pairing geothermometer temperature estimates with our recent three-dimensional temperature model of conductive heat flow in the Great Basin, we estimate the corresponding reservoir depths and construct a map of circulation depths. The predicted depths from geothermometers have spatial patterns across the Great Basin that relate to patterns seen in other geologic and geophysical data. Deeper springs generally occur disproportionately in areas with higher strain rates and in basins. We posit that current elevated strain rates reflect patterns of historic deformation where ongoing tectonic activity maintains permeable pathways to deeper reservoirs, some of which are estimated to exceed 6 km depth. Basins, as expected, contain a disproportionate number of these deep systems, because the underlying aquifers are closer to the surface in basins, thus requiring less water pressure to reach the surface than in mountain ranges. Most springs estimated to have their source in a deep reservoir occur at places known to host a hydrothermal system; these refined depth estimates of the source reservoir can help to better constrain the source depth for many known hydrothermal systems across the Great Basin.

Arizona, California, Idaho, Nevada, Oregon, Utah

Long-term dynamics of earthquake swarms in the Yellowstone caldera

The factors controlling the spatial distribution and temporal evolution of earthquake swarms in volcanic systems remain unclear. We leverage leading-edge deep learning algorithms and a detailed three-dimensional velocity model to construct a 15-year high-resolution earthquake catalog of the Yellowstone caldera region. More than half of the region’s earthquakes are clustered into swarm-like families characterized by episodes of hypocenter expansion and migration. Adjacent earthquake swarms, separated by long quiescent periods, are found to be a dominant feature. We suggest that these swarms are controlled by the interplay between slowly diffusing aqueous fluids and rapid episodic fluid injections, which may result from the breaking of permeability seals. Our analyses also indicate that clustered seismicity beneath the caldera occurs on relatively immature, rougher fault structures, compared to more planar faults outside. Our results provide additional context for understanding seismicity in hydrothermal systems, highlighting the key role played by long-term fluid diffusion processes in driving the occurrence of earthquake swarms.

Idaho, Montana, Wyoming