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Volcano-Monitoring Instrumentation in the United States, 2008

The United States is one of the most volcanically active countries in the world. According to the global volcanism database of the Smithsonian Institution, the United States (including its Commonwealth of the Northern Mariana Islands) is home to about 170 volcanoes that are in an eruptive phase, have erupted in historical time, or have not erupted recently but are young enough (eruptions within the past 10,000 years) to be capable of reawakening. From 1980 through 2008, 30 of these volcanoes erupted, several repeatedly. Volcano monitoring in the United States is carried out by the U.S. Geological Survey (USGS) Volcano Hazards Program, which operates a system of five volcano observatories-Alaska Volcano Observatory (AVO), Cascades Volcano Observatory (CVO), Hawaiian Volcano Observatory (HVO), Long Valley Observatory (LVO), and Yellowstone Volcano Observatory (YVO). The observatories issue public alerts about conditions and hazards at U.S. volcanoes in support of the USGS mandate under P.L. 93-288 (Stafford Act) to provide timely warnings of potential volcanic disasters to the affected populace and civil authorities. To make efficient use of the Nation's scientific resources, the volcano observatories operate in partnership with universities and other governmental agencies through various formal agreements. The Consortium of U.S. Volcano Observatories (CUSVO) was established in 2001 to promote scientific cooperation among the Federal, academic, and State agencies involved in observatory operations. Other groups also contribute to volcano monitoring by sponsoring long-term installation of geophysical instruments at some volcanoes for specific research projects. This report describes a database of information about permanently installed ground-based instruments used by the U.S. volcano observatories to monitor volcanic activity (unrest and eruptions). The purposes of this Volcano-Monitoring Instrumentation Database (VMID) are to (1) document the Nation's existing, ground-based, volcano-monitoring capabilities, (2) answer queries within a geospatial framework about the nature of the instrumentation, and (3) provide a benchmark for planning future monitoring improvements. The VMID is not an archive of the data collected by monitoring instruments, nor is it intended to keep track of whether a station is temporarily unavailable due to telemetry or equipment problems. Instead, it is a compilation of basic information about each instrument such as location, type, and sponsoring agency. Typically, instruments installed expressly for volcano monitoring are emplaced within about 20 kilometers (km) of a volcanic center; however, some more distant instruments (as far away as 100 km) can be used under certain circumstances and therefore are included in the database. Not included is information about satellite-based and airborne sensors and temporarily deployed instrument arrays, which also are used for volcano monitoring but do not lend themselves to inclusion in a geospatially organized compilation of sensor networks. This Open-File Report is provided in two parts: (1) an Excel spreadsheet (http://pubs.usgs.gov/of/2009/1165/) containing the version of the Volcano-Monitoring Instrumentation Database current through 31 December 2008 and (2) this text (in Adobe PDF format), which serves as metadata for the VMID. The disclaimer for the VMID is in appendix 1 of the text. Updated versions of the VMID will be posted on the Web sites of the Consortium of U.S. Volcano Observatories (http://www.cusvo.org/) and the USGS Volcano Hazards Program http://volcanoes.usgs.gov/activity/data/index.php.

Alaska, Arizona, California, Colorado, Hawaii, New↗

Electrical Resistivity and Seismic Surveys at the Nevada Test Site, Nevada, April 2007

In April 2007, the USGS collected direct-current (DC) electrical resistivity data and shear- (S) and compressional- (P) wave seismic data to provide new detail of previously mapped, overlapping fault splays at two administrative areas in the Nevada Test Site (NTS). In NTS Area 7, we collected two-dimensional DC resistivity data along a transect crossing the Yucca Fault parallel to, and between, two transects along which resistivity data were collected in a previous study in 2006. In addition, we collected three-dimensional DC resistivity data in a grid that overlies part of the 2007 transect. The DC resistivity data show that the fault has a footwall that is more conductive than the hanging wall and an along-strike progression of the fault in a location where overlapping splays are present. Co-located with the northernmost of the two 2006 DC resistivity transects, we acquired S- and P-wave seismic data for both reflection and refraction processing. The S-wave data are corrupted by large amounts of converted (P-wave) energy likely due to the abundance of fractured caliche in the shallow subsurface. The P-wave data show minimal reflected energy, but they show clear refracted first arrivals. We have inverted these first arrival times to determine P-wave seismic velocity models. The seismic model for the transect in Area 7 shows low velocities extending to the base of the model at the location of the Yucca Fault, as well as low velocities at the eastern end of the transect, in the vicinity of the adjacent crater. These new surveys provide further detail about the geometry of the Yucca Fault in this location where it shows two overlapping splays. We collected P- and S-wave seismic data along a transect in the southern part of NTS Area 2, corresponding with the location of a 2006 DC resistivity transect that targeted a set of small faults identified with field mapping. Again, the S-wave data are difficult to interpret. The P-wave data show clear first arrivals that we inverted, yielding a velocity model that shows lateral heterogeneity similar to the 2006 DC resistivity models. Finally, we collected P-wave data along a second transect in Area 2, located north of the first line and in an area of a very minor fault that was targeted by another 2006 DC resistivity survey. The P-wave refraction velocity model shows generally high velocities, with a zone of somewhat lower velocities in the central part of the transect. The position of the low velocity zone corresponds with the location of a minor fault, though it is unclear whether the two are related. Together, these results demonstrate the value of geophysical data for mapping the subsurface extent of faults. The 2007 DC resistivity data complement the 2006 data and provide important new detail of the overlapping fault splays. The seismic data demonstrate the ability of P-wave refraction methods to identify the damage zones at faults, and they show the difficulties associated with S-wave methods in areas with caliche. Combining all of the geophysical data from the Area 7 studies, we are able to develop a coherent interpretation of the relation between the site geology, the fault, and the observations.

Open-File Report↗

Compilation of existing data for sand resource studies in Federal and California State Waters of the San Francisco, Oceanside, and Silver Strand littoral cell study areas along the continental shelf of California—Strategy for field studies and sand resource assessment

Executive Summary The Sand Resources Project was established through collaborative agreements between the U.S. Geological Survey (USGS), the Bureau of Ocean Energy Management (BOEM), and the California Ocean Protection Council (OPC) with the purpose of evaluating sand and gravel resources in Federal and California State Waters for potential use in future beach-nourishment projects. Project partners worked in collaboration with California Coastal Sediment Management Workgroup (CSMW) members to define priority study areas for this work based on the potential for finding sand within the broader region and the needs for this sand as shown by beach erosion areas of concern in the adjacent littoral cells. The final study areas were defined to be (1) the San Francisco Littoral Cell, (2) the Oceanside Littoral Cell, and (3) the Silver Strand Littoral Cell. A two-stage approach was used to assess the study areas. This report addresses the initial stage, which is a synthesis of the existing geophysical and sediment-sampling data in each area. This allowed for evaluations of the data availability, data gaps, and general patterns of sediment thickness and grain size. This report provides a description of the methods and results of this synthesis. The findings from this work were used to refine study area boundaries and develop sampling plans for stage two of the project. Stage two of the project, the results of which will be published separately, will be the collection, processing, and synthesis of new data, including high-resolution geophysical surveys and sediment cores within the three study areas. The data collected will provide new information about the three study areas including sediment thickness, grain-size distributions, and total organic carbon. The description and results of stage two of the work is included in another USGS report (Warrick and others, 2022).

California↗

Areal studies aid protection of ground-water quality in Illinois, Indiana, and Wisconsin

In 1991, the U.S. Geological Survey, in cooperation with the U.S. Environmental Protection Agency, initiated studies designed to characterize the ground-water quality and hydrogeology in northern Illinois, and southern and eastern Wisconsin (with a focus on the north-central Illinois cities of Belvidere and Rockford, and the Calumet region of northeastern Illinois and northwestern Indiana). These areas are considered especially susceptible to ground-water contamination because of the high density of industrial and waste-disposal sites and the shallow depth to the unconsolidated sand and gravel aquifers and the fractured, carbonate bedrock aquifers that underlie the areas. The data and conceptual models of ground-water flow and contaminant distribution and movement developed as part of the studies have allowed Federal, State, and local agencies to better manage, protect, and restore the water supplies of the areas. Water-quality, hydrologic, geologic, and geophysical data collected as part of these areal studies indicate that industrial contaminants are present locally in the aquifers underlying the areas. Most of the contaminants, particularly those at concentrations that exceeded regulatory water-quality levels, were detected in the sand and gravel aquifers near industrial or waste-disposal sites. In water from water-supply wells, the contaminants that were present generally were at concentrations below regulatory levels. The organic compounds detected most frequently at concentrations near or above regulatory levels varied by area. Trichloroethene, tetrachloroethene, and 1,1,1-trichloroethane (volatile chlorinated compounds) were most prevalent in north-central Illinois; benzene (a petroleum-related compound) was most prevalent in the Calumet region. Differences in the type of organic compounds that were detected in each area likely reflect differences in the types of industrial sites that predominate in the areas. Nickel and aluminum were the trace metals detected most frequently at concentrations above regulatory levels in both areas. Contaminants in the shallow sand and gravel aquifers and carbonate aquifers appear to have moved with ground water discharging to local lakes, streams, and wetlands. Ground-water flow and possibly contaminant movement is concentrated in the weathered surface zones and in deeper fractures of the carbonate aquifers underlying both areas.

Illinois, Indiana, Wisconsin↗

Small atoll fresh groundwater lenses respond to a combination of natural climatic cycles and human modified geology

Freshwater lenses underlying small ocean islands exhibit spatial variability and temporal fluctuations in volume, influencing ecologic management. For example, The Palmyra Atoll National Wildlife Refuge harbors one of the few surviving native stands of Pisonia grandis in the central Pacific Ocean, yet these trees face pressure from groundwater salinization, with little basic groundwater data to guide decision making. Adding to natural complexity, the geology of Palmyra was heavily altered by dredge and fill activities. Our study based at this atoll combines geophysical and hydrological field measurements from 2008 to 2019 with groundwater modeling to study the drivers of observed freshwater lens dynamics. Electromagnetic induction (EMI) field data were collected on the main atoll islands over repeat transects in 2008 following ‘strong’ La Niña conditions (wet) and in 2016 during ‘very strong’ El Niño conditions (dry). Shallow monitoring wells were installed adjacent to the geophysical transects in 2013 and screened within the fresh/saline groundwater transition zone. Temporal EMI and monitoring well data showed a strong contraction of the freshwater lens in response to El Niño conditions, and indicated a thicker lens toward the ocean side, an opposite spatial pattern to that observed for many other Pacific islands. On an outer islet where a stand of mature Pisonia trees exist, EMI surveys revealed only a thin (<3 m from land surface) layer of brackish groundwater during El Niño. Numerical groundwater simulations were performed for a range of permeability distributions and climate conditions at Palmyra. Results revealed that the observed atypical lens asymmetry is likely due to more efficient submarine groundwater discharge on the lagoon side as a result of lagoon dredging and filling with high-permeability material. Simulations also predict large decreases (40%) in freshwater lens volume during dry cycles and highlight threats to the Pisonia trees, yielding insight for atoll ecosystem management worldwide.

Science of the Total Environment↗

Surface-wave relocation and characterization of the 2024–2025 dyking episode along the Fentale–Dofen segment of the Ethiopian rift

From late-December 2024 to mid-March 2025, a 50-km-long dyke intrusion triggered over 300 earthquakes (magnitude 4 to 5.9) between Fentale and Dofen volcanoes along the Northern Main Ethiopian Rift. Dyke intrusions periodically occur along the Fentale–Dofen magmatic segment and are an expression of ongoing rift extension. Preliminary analyses using interferometric synthetic aperture radar revealed extensive ground deformation (up to 60 cm), which closely matched the temporal and spatial evolution of surface manifestations and earthquake locations from global catalogues. While global catalogues are critical for real-time monitoring, the precision of locations in remote and or sparsely instrumented regions can be low. In this investigation, we present surface-wave relocation results of the dyking episode that began near Fentale volcano in December 2024. We estimate relative locations using differential traveltimes measured from regional-to-teleseismic distance surface-wave observations of earthquakes reported by the U.S. Geological Survey. Relative relocations reduce the initial region of diffuse seismicity to a 50-km-long narrow band bounding the strike of surface manifestations and the zone of maximum surface deformation. We demonstrate the precision of surface-wave relocations over incremental time periods, capturing the progression of dyking from seismic onset through seismic migration and caldera subsidence. Results showcase the utility of surface-wave relocations in the characterization of dyking episodes and provide complementary insights into the current understanding of the Fentale–Dofen volcanic plumbing system.

Geophysical Journal International↗

Description of data files compiled for the Central Midwest Regional Aquifer-System Analysis

Several types of geologic and hydrologic data were collected and compiled as part of the Central Midwest Regional Aquifer-System Analysis. The study described the hydrology of Cambrian-age through Cretaceous-age rocks in all of Kansas and Nebraska and parts of eight other states. Information from both water wells and petroleum wells was obtained from numerous State, Federal, and private sources. The completeness, quality, and distribution of the data varies considerably. Most data files contain data selected to represent the regional scope of the study. The log data file contains about 850 lithologic logs and about 750 geophysical logs. The hydraulic-head data file contains about 1 ,400 measured water levels and about 2,600 values of equivalent freshwater head derived from drill-stem-test analyses. The hydrochemical data file contains about 2,900 water quality analyses. The aquifer-property data file contains about 1,050 values. In addition to site-specific data, areal information in the form of model-data arrays is available for initial hydraulic head, transmissivity, and vertical leakance. These data describe the major geohydrologic units studied in terms of a three-dimensional grid, 28 rows x 33 columns x 5 layers. Parts of the hydraulic-head, hydrochemical, and aquifer-property data files are proprietary. The fluid-withdrawal data file was developed for study use only. Most other data described herein are available on magnetic tape from the U.S. Geological Survey in Lawrence, Kansas. (USGS)

Open-File Report↗

Geology, hydrology, and ground-water quality at the Byron Superfund site near Byron, Illinois

A study was conducted by the U.S. Geological Survey and the U.S. Environmental Protection Agency to define the geohydrology and contaminant distribution at a Superfund site near Byron, Illinois. Geologic units of interest beneath the site are the St. Peter Sandstone; the shale, dolomite and sandstone of the Glenwood Formation; the dolomite of the Platteville and Galena Groups; and sands, gravels, tills and loess of Quaternary age. The hydrologic units of interest are the unconsolidated aquifer, Galena-Platteville aquifer, Harmony Hill Shale semiconfining unit, and the St. Peter aquifer. Ground-water flow generally is from the upland areas northwest and southwest toward the Rock River. Water levels indicate the potential for downward ground-water flow in most of the area except near the Rock River. The Galena-Platteville aquifer can be subdivided into four zones characterized by differing water-table altitudes, hydraulic gradients, and vertical and horizontal permeabilities. Geophysical, hydraulic, and aquifer-test data indicate that lithology, stratigraphy, and tectonic structures affect the distribution of primary and secondary porosity of dolomite in the Galena and Platteville Groups, which affects the permeability distribution in the Galena-Platteville aquifer. The distribution of cyanide, chlorinated aliphatic hydrocarbons, and aromatic hydrocarbons in ground water indicates that these contaminants are derived from multiple sources in the study area. Contaminants in the northern part of this area migrate northwest to the Rock River. Contaminants in the central and southern parts of this area appear to migrate to the southwest in the general direction of the Rock River.

Water-Resources Investigations Report↗

Settlement of the USS Arizona, Pearl Harbor, Hawaii

The U.S. Geological Survey, in collaboration with the National Park Service Submerged Resources Center, undertook investigations at the USS Arizona Memorial at Pearl Harbor, Hawaii, in 2002, 2003, and 2005 to characterize geological factors affecting the deterioration and movement of the hull of the USS Arizona. Since sinking on the morning of December 7, 1941, the hull of the USS Arizona has been slowly but steadily disappearing below the surface of Pearl Harbor. Continuous sediment coring at three of four locations around the hull of the Arizona was only partially successful, but it was sufficient to identify a varied sedimentary substrate beneath the hull. A boring near the stern reveals a thick, continuous sequence of soft, gray clay to the bottom of the boring. In contrast, borings near the bow and starboard side, below about 5 meters subbottom depth, indicate the presence of very stiff, brown clay and coral debris and an absence of soft clay. Multisensor core logger scanning of the recovered cores distinguishes the lower density of the soft, gray clay at the stern from the higher density of the stiff, brown clays and coral debris at the bow and starboard side. Uniaxial consolidation testing of the soft gray clay indicates a normally consolidated sequence, whereas the stiff, brown clay and coral debris are overconsolidated. Profiles of shear wave velocity vs. depth obtained through spectral analysis of interface wave testing around the perimeter of the hull in 2005 identified areas of higher velocity, stiffer sediment at the bow and starboard side, which correspond to the dense, stiff clay recovered near the bow and starboard borings. Low shear-wave velocities at the port midship and quarter of the hull correlate with the lower density, softer sediment recovered from the boring at the stern. Cross sections of the subbottom of the Memorial combine results from the sediment borings and geophysical surveys and depict a wedge of soft clay unconformably overlying the stiff clays and coral debris beneath the aft half of the USS Arizona and thickening toward the stern. The 2008 position of the hull has been documented using both tide-based and differential Global Positioning System (GPS) measuring systems. Analysis of historical and recent photographs was done to create a record of settlement from the time of sinking in 1941 to the present. By examining shadows in suitable photos, the sun azimuth, local time of day, and tide levels were determined to derive tide-adjusted and sea-level-rise-corrected elevations for structures on the hull and from these elevations to obtain settlement and tilt trends. The settlement trends, most complete for barbette 3, have two components. An early, nonlinear component ends on December 9, 1941, and represents the initial penetration and displacement of the bottom sediment by the hull. A linear, long-term trend of normal consolidation continues to the present day. Long-term settlement rates are greatest at the stern and decrease linearly to the midship, showing that the aft half of the hull is moving as an intact, rigid body. The recent rate of settlement at the stern is about 3.5 mm/year; rates at the starboard midship and forward part of the hull are less than one-third of the stern rate. The aft half of the USS Arizona hull presently tilts about 2 degrees to port, an increase of at least 1.5 degrees since the initial sinking of the ship. The results of this study identify differential settlement of the Arizona hull, due to the wedge of soft clay underlying the aft half of the hull, as the cause of the movement of the hull beneath the surface of Pearl Harbor. Calculation of sediment consolidation using lab-determined properties of the soft clay demonstrates that the observed settlements can be reproduced by projecting appropriate clay thicknesses beneath the hull. Several of the high-quality photographs analyzed for the historical settlement analysis highlight some of the limitations of this retrospective technique for determining tide-based elevations. In these cases, calculated structure elevations do not conform to the settlement trend, indicating that there can be complicating factors affecting the interpretation of the photos. Conflicting dates for events during the salvage operations were also encountered.

Hawai'i↗

Geology, geochemistry, and geophysics of the Fry Canyon uranium/copper project site, southeastern Utah: Indications of contaminant migration

The Fry Canyon uranium/copper project site in San Juan County, southeastern Utah, was affected by the historical (1957–68) processing of uranium and copper-uranium ores. Relict uranium tailings and related ponds, and a large copper heap-leach pile at the site represent point sources of uranium and copper to local soils, surface water, and groundwater. This study was designed to establish the nature, extent, and pathways of contaminant dispersion. The methods used in this study are applicable at other sites of uranium mining, milling, or processing. The uranium tailings and associated ponds sit on a bench that is as much as 4.25 meters above the level of the adjacent modern channel of Fry Creek. The copper heap leach pile sits on bedrock just south of this bench. Contaminated groundwater from the ponds and other nearby sites moves downvalley and enters the modern alluvium of adjacent Fry Creek, its surface water, and also a broader, deeper paleochannel that underlies the modern creek channel and adjacent benches and stream terraces. The northern extent of contaminated groundwater is uncertain from geochemical data beyond an area of monitoring wells about 300 meters north of the site. Contaminated surface water extends to the State highway bridge. Some uranium-contaminated groundwater may also enter underlying bedrock of the Permian Cedar Mesa Sandstone along fracture zones. Four dc-resistivity surveys perpendicular to the valley trend were run across the channel and its adjacent stream terraces north of the heap-leach pile and ponds. Two surveys were done in a small field of monitoring wells and two in areas untested by borings to the north of the well field. Bedrock intercepts, salt distribution, and lithologic information from the wells and surface observations in the well field aided interpretation of the geophysical profiles there and allowed interpretation of the two profiles not tested by wells. The geophysical data for the two profiles to the north of the well field suggest that the paleochannel persists at least 900 m to the north of the heap leach and pond sites. Contamination of groundwater beneath the stream terraces may extend at least that far. Fry Creek surface water (six samples), seeps and springs (six samples), and wells (eight samples) were collected during a dry period of April 16–19, 2007. The most uranium-rich (18.7 milligrams per liter) well water on the site displays distinctive Ca-Mg-SO 4 -dominant chemistry indicating the legacy of heap leaching copper-uranium ores with sulfuric acid. This same water has strongly negative δ 34 S of sulfate (–13.3 per mil) compared to most local waters of –2.4 to –5.4 per mil. Dissolved uranium species in all sampled waters are dominantly U(VI)-carbonate complexes. All waters are undersaturated with respect to U(VI) minerals. The average 234 U/ 238 U activity ratio (AR) in four well waters from the site (0.939±0.011) is different from that of seven upstream waters (1.235±0.069). This isotopic contrast permits quantitative estimates of mixing of site-derived uranium with natural uranium in waters collected downstream. At the time of sampling, uranium in downstream surface water was mostly (about 67 percent) site-derived and subject to further concentration by evaporation. Three monitoring wells located approximately 0.4 kilometer downstream contained dominantly (78–87 percent) site-derived uranium. Distinctive particles of chalcopyrite (CuFeS) and variably weathered pyrite (FeS 2 ) are present in tailings at the stream edge on the site and are identified in stream sediments 1.3 kilometers downstream, based on inspection of polished grain mounts of magnetic mineral separates.

Utah↗

Digital aeromagnetic anomaly data from eastern-most Guyana

The Center for Inter-American Mineral Resource Investigations (CIMRI) supported distribution and analysis of geoscientific and mineral resource related information concerning Latin America. CIMRI staff digitized aeromagnetic data for eastern-most Guyana as part of a preliminary regional assessment of minerals in the Guyana Shield, South America. The data were digitized from 145 aeromagnetic contour maps at a scale of 1:50,000 and merged into a single digital data set. The data were used to examine the Precambrian shield, greenstone belts, and other tectonic boundaries as well as explore ideas concerning mineral deposits within the area. A subset of these digital data were presented to the Guyanan government during early 1995 (Pierce, 1994). This Open-File report, consisting of this text and seven (7) 3.5" IBM-PC compatible ASCII magnetic disks, makes the digital data available to the public. Information regarding the source of data and subsequent processing is included below. The data were collected in Guyana by two contractors at different times. The first data were collected from 1962 to 1963. These data are several aeromagnetic surveys covering parts of 12 quadrangles funded by the United Nations and flown by Aero Service Corporation. The second and more extensive data set was collected from 1971 to 1972 by the Canadian International Development Agency flown by Terra Surveys Ltd. under a contract with the Geological Survey of Guyana. The Guyana Government published the data as contour maps that are available in Georgetown through the Guyana Government. Coverage extends from about 2°45*N to 8°30*N latitude and from 60°0'W to 57°0'W longitude (see Figure 1.). The contour maps were digitized at points where the magnetic contours intersect the flight lines. The data files include XYZ ASCII files, XYZ binary files, ASCII grids, and binary "standard USGS" grids. There are four grids consisting of the following data types: unprotected raw data grid unprotected residual or International Geomagnetic Reference Field (IGRF) removed grid UTM projected residual (IGRF removed) grid UTM projected residual with a second order surface removed These data files were transferred to 3.5" 1.44 megabyte floppy disks readable on IBM-compatible personal computers. These data are also available from the Department of Commerce National Geophysical Data Center.

Open-File Report↗

Systems-deposits-commodities-critical minerals table for the earth mapping resources initiative

To define and prioritize focus areas across the United States with resource potential for 35 critical minerals in a few years’ time, the U.S Geological Survey Earth Mapping Resources Initiative (Earth MRI) required an efficient approach to streamline workflow. A mineral systems approach based on current understanding of how ore deposits that contain critical minerals form and relate to broader geologic frameworks and the tectonic history of the Earth was used to satisfy this Earth MRI need. This report describes the rationale for, and structure of, a table developed for Earth MRI that relates critical minerals and principal commodities to the deposit types and mineral systems in which they are concentrated. The hierarchical relationship between systems, deposits, commodities, and critical minerals makes it possible to define and prioritize each system-based focus area once for all of the critical minerals that it may contain. This approach is advantageous because mineral systems are much larger than individual ore deposits and they generally have geologic features that can be “imaged” by the topographic, geologic, geochemical, and geophysical mapping techniques deployed by Earth MRI.

Open-File Report↗

Factors Affecting Specific-Capacity Tests and their Application--A Study of Six Low-Yielding Wells in Fractured-Bedrock Aquifers in Pennsylvania

This report by the U.S. Geological Survey, prepared in cooperation with the Pennsylvania Department of Environmental Protection, Bureau of Mining and Reclamation, evaluates factors affecting the application of specific-capacity tests in six low-yielding water wells in areas of coal mining or quarrying in Pennsylvania. Factors such as pumping rate, duration of pumping, aquifer properties, wellbore storage, and turbulent flow were assessed by theoretical analysis and by completing multiple well tests, selected to be representative of low-yielding household-supply wells in areas of active coal mining or quarrying. All six wells were completed in fractured-bedrock aquifers--five in coal-bearing shale, siltstone, sandstone, limestone, and coal of Pennsylvanian and Permian age and one in limestone of Cambrian age. The wells were pumped 24 times during 2007-09 at rates from 0.57 to 14 gallons per minute during tests lasting from 22 to 240 minutes. Geophysical logging and video surveys also were completed to determine the depth, casing length, and location of water-yielding zones in each of the test wells, and seasonal water-level changes were measured during 2007-09 by continuous monitoring at each well. The tests indicated that specific-capacity values were reproducible within about ? 20 percent if the tests were completed at the same pumping rate and duration. A change in pumping duration, pumping rate, or saturated aquifer thickness can have a substantial effect on the comparability of repeated tests. The largest effect was caused by a change in aquifer thickness in well YO 1222 causing specific capacity from repeated tests to vary by a factor of about 50. An increase in the duration of pumping from 60 to 180 minutes caused as much as a 62 percent decrease in specific capacity. The effect of differing pumping rates on specific capacity depends on whether or not the larger rate causes the water level in the well to fall below a major water-yielding zone; when this decline happened at well CA 462, specific capacity was reduced by about 63 percent. Estimates of the maximum yield for low-yielding wells that are computed by multiplying the available drawdown by the specific-capacity value may contain large errors if the wells were pumped at low rates that do not cause much water-level drawdown. The estimates of yield are likely to be too large because the effects of lowering the water level in the well below water-yielding zones have not been incorporated. Better yield estimates can be made by the use of step-drawdown tests or by over-pumping at a rate large enough to dewater most of the wellbore. The maximum well yield, after overpumping, can be estimated from the rate of water-level recovery or by subtracting the incremental rate of change of borehole storage at the end of the test from the pumping rate.

Pennsylvania↗

Geohydrologic systems in Kansas, geohydrology of the Great Plains aquifer system

Sedimentary rocks of Late Cambrian through Early Cretaceous age in Kansas are part of a regional flow system of hydraulically connected aquifers and confining units. Future demands for water require that these deeply buried rocks be studied to describe hydrologic properties and ground-water-flow conditions and to provide information that will serve as the basis for decisions concerning the protection and the management of the water resources contained therein, Toward this end, the U.S. Geological Survey, as a part of its Central Midwest Regional Aquifer-System Analysis (CMRASA), began a 5-year hydrologic investigation of this regional flow system in Arkansas, Colorado, Kansas, Missouri, Nebraska, New Mexico, Oklahoma, South Dakota, and Texas (Jorgensen and Signor, 1981). This chapter is one of nine contained in Hydrologic Investigations Atlas HA-722, which present a description of the physical framework (Chapters B-F) and the geohydrology (Chapters G-I} of principal aquifers and confining systems in Upper Cambrian through Lower Cretaceous rocks in Kansas; the stratigraphic relations of these geohydrologic systems are discussed in detail in Chapter A (Wolf and others, 1990). This chapter (G) describes the geohydrology of the Great Plains aquifer system; the physical framework of the Great Plains aquifer system is presented in Chapter B (Spinazola and others, 1992). The maps in this chapter are based on existing data from selected geophysical and lithologic logs, drill-stem tests, water-level measurements, water-quality analyses, and published maps of stratigraphically equivalent units. An index to the geohydrologic data compiled for the CMRASA in Kansas is presented in Spinazola and others (1987). For the most part, data used to construct the maps were collected over many years and do not reflect aquifer conditions for any specific time period.

Kansas↗

Report of the committee on chemistry of natural waters, 1938–39

The membership of this Committee is as follows: C. S. Howard (Chairman), United States Geological Survey, Washington, D.C. I. A. Denison, National Bureau of Standards, Washington, D.C. W. P. Kelley, 119 Hilgard Hall, University of California, Berkeley, California A. C. Lane, 22 Arlington Street, Cambridge, Massachusetts C. S. Scofield, Bureau of Plant Industry, United States Department of Agriculture, Washington, D.C. D. G. Thompson, United States Geological Survey, Washington, D.C. T. G. Thompson, University of Washington, Seattle, Washington Studies on the corrosion of metals and soils have been continued at the National Bureau of Standards and a report of the recent findings was published under the title “Correlation of the electrolytic corrosion test with the active corrosiveness of soils,” by I. A. Denison and R. B. Darnielle [J. Res., Nation. Bur. Stan., No. 21, pp. 819‐830, December, 1938], Another paper on this subject by Kirk H. Logan was published under the title “Engineering significance of National Bureau of Standards soil corrosion data” [J. Res. Nation. Bur. Stan., pp. 109–125, January. 1939].

Eos, Transactions, American Geophysical Union↗

Estimation of undiscovered deposits in quantitative mineral resource assessments-examples from Venezuela and Puerto Rico

Quantitative mineral resource assessments used by the United States Geological Survey are based on deposit models. These assessments consist of three parts: (1) selecting appropriate deposit models and delineating on maps areas permissive for each type of deposit; (2) constructing a grade-tonnage model for each deposit model; and (3) estimating the number of undiscovered deposits of each type. In this article, I focus on the estimation of undiscovered deposits using two methods: the deposit density method and the target counting method. In the deposit density method, estimates are made by analogy with well-explored areas that are geologically similar to the study area and that contain a known density of deposits per unit area. The deposit density method is useful for regions where there is little or no data. This method was used to estimate undiscovered low-sulfide gold-quartz vein deposits in Venezuela. Estimates can also be made by counting targets such as mineral occurrences, geophysical or geochemical anomalies, or exploration "plays" and by assigning to each target a probability that it represents an undiscovered deposit that is a member of the grade-tonnage distribution. This method is useful in areas where detailed geological, geophysical, geochemical, and mineral occurrence data exist. Using this method, porphyry copper-gold deposits were estimated in Puerto Rico. ?? 1993 Oxford University Press.

Nonrenewable Resources↗

Geophysical Investigation Along the Great Miami River From New Miami to Charles M. Bolton Well Field, Cincinnati, Ohio

Three geophysical profiling methods were tested to help characterize subsurface materials at selected transects along the Great Miami River, in southwestern Ohio. The profiling methods used were continuous seismic profiling (CSP), continuous resistivity profiling (CRP), and continuous electromagnetic profiling (CEP). Data were collected with global positioning systems to spatially locate the data along the river. The depth and flow conditions of the Great Miami River limited the amount and quality of data that could be collected with the CSP and CRP methods. Data from the CSP were generally poor because shallow reflections (less than 5 meters) were mostly obscured by strong multiple reflections and deep reflections (greater than 5 meters) were sparse. However, modeling of CRP data indicated broad changes in subbottom geology, primarily below about 3 to 5 meters. Details for shallow electrical conductivity (resistivity) (less than 3 meters) were limited because of the 5-meter electrode spacing used for the surveys. For future studies of this type, a cable with 3-meter electrode spacing (or perhaps even 1-meter spacing) might best be used in similar environments to determine shallow electrical properties of the stream-bottom materials. CEP data were collected along the entire reach of the Great Miami River. The CRP and CEP data did not correlate well, but the CRP electrode spacing probably limited the correlation. Middle-frequency (3,510 hertz) and high-frequency (15,030 hertz) CEP data were correlated to water depth. Low-frequency (750 hertz) CEP data indicate shallow (less than 5-meter) changes in electrical conductivity. Given the variability in depth and flow conditions on a river such as the Great Miami, the CEP method worked better than either the CSP or CRP methods.

Open-File Report↗

Long-term trends of ground-water levels in the United States

Ground-water levels at the end of 1954 were at or near record-low stages throughout most of the southern two-thirds of the United States. These low stages, like those of the early 1930's, have led to frequent expression of the opinion that the water table throughout the country is continuously falling and that we are gradually exhausting our ground-water supplies. A good record of changes in ground-water levels is being obtained by the United States Geological Survey and cooperating State agencies from periodical measurements of water levels in nearly 20,000 observation wells. The records of some of these wells extend back 50 years. Many records are available for the period beginning in 1934. These long-term records indicate that in some areas the ground-water supply is overdeveloped. In the great majority of areas, however, the stage of the water levels correlates with the precipitation. Much of the country has been in drought and the water levels are at a low stage. As the precipitation increases, as it is bound to do later, the water levels will return to higher stages.

Eos, Transactions, American Geophysical Union↗