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Airborne geophysical efforts for critical mineral systems mapping in the southern Midcontinent, USA

The increasing global demand for critical minerals to support energy and technological advancement has accelerated exploration and research efforts for these essential resources. Since 2019, the United States Geological Survey (USGS) Earth Mapping Resources Initiative (EMRI) has worked to modernize geologic mapping of the Nation to better understand its critical mineral resources. To further this initiative, the USGS has flown a series of high-resolution airborne magnetic and radiometric surveys over large areas of the southern Midcontinent. The surveys cover known critical mineral deposits and areas with the potential to host additional critical minerals based on the presence of one or more overlapping mineral systems. One aspect of EMRI emphasizes close collaboration between the USGS and the Association of American State Geologists, as well as other government and industry partners to leverage geophysical, geological, and geochemical expertise on both regional and local scales. The EMRI high-resolution airborne survey data provide new insights into the geophysical framework of the southern Midcontinent and its critical mineral endowment. Additionally, discoveries made from the data have directed new studies for critical mineral exploration.

southern Midcontinent↗

At-sea feeding ecology of parasitic lampreys

This paper synthesizes information on the at-sea ecology of ten anadromous lampreys, with emphasis on trophic ecology. The at-sea ecology of these lampreys concerns the juvenile stage, in which growth is most rapid. Anadromous lampreys can be categorized into four groups, based on feeding modalities: 1) scavenger (Caspian lamprey, Caspiomyzon wagneri ); 2) parasite-predator (Pacific lamprey, Entosphenus tridentatus ); 3) predators (western river lamprey, Lampetra ayresii ; European river lamprey, L. fluviatilis ; Arctic lamprey, Lethenteron camtschaticum ; pouched lamprey, Geotria australis ; and Argentinian pouched lamprey, G. macrostoma ); and 4) parasites (sea lamprey, Petromyzon marinus ; Chilean lamprey, Mordacia lapicida ; and short-headed lamprey, M. mordax ). This paper discusses direct evidence for lamprey feeding ecology, as observed through lamprey-induced wounds on hosts and prey, and lamprey attachments on hosts and prey; and indirect evidence for feeding ecology, via analyses of fatty acids, stable isotopes, contaminants, and bioenergetics modelling. A part of the information presented on feeding ecology is from landlocked sea lamprey, and in some instances this information can be generalizable to anadromous populations. For most anadromous lampreys, but particularly for Southern Hemisphere taxa, little is known about their feeding ecology at sea. Duration of the trophic marine phase and habitat use are still subjects of debate. Species identified as lamprey hosts can be demersal or pelagic, possibly reflecting marine habitat preferences. To unlock understanding of the marine phase of anadromous lampreys, direct evidence of feeding ecology should be coupled with natural (i.e., biomarkers) and artificial (e.g., biologgers) markers to identify habitat use, movement patterns and dispersal.

Journal of Great Lakes Research↗

Availability of lake trout reproductive habitat in the Great Lakes

A decades-long program to reestablish self-sustaining stocks of lake trout ( Salvelinus namaycush ) in the four lower Great Lakes produced excellent fisheries supported by stocked fish. These fish spawned widely and small numbers of their offspring were collected intermittently from Lakes Michigan, Huron, and Ontario, but no self-sustaining stocks were established. Irt this paper we address habitat sufficiency as a factor in the failure of stocked lake trout to established self-sustaining populations in the four lower Great Lakes. We present the previously unpublished results of lake trout spawning habitat surveys conducted at seven sites in the Great Lakes since 1987 and we compare them with the published results of similar surveys conducted at 24 other sites in the four lower lakes since 1981. Our evaluation indicates all but two of these sites can support the production of viable fry from spawnings by the shallow-water strains of lake trout that are stocked in the Great Lakes. However, some of the best spawning, egg, and fry habitat in the lower Great Lakes seems to be at deeper offshore sites that may be unattractive to these shallow-water strains. Thus, we suggest also stocking the lower four lakes with strains from Lake Superior that might more fully exploit the best spawning habitat at these deeper, offshore sites.

Journal of Great Lakes Research↗

Chemical analyses of igneous rocks published from 1884 to 1900, with a critical discussion of the character and use of analyses

In the first two or three decades of the last century, when the study of rocks as such was being differentiated from that of minerals and of rock terranes that is, when the science of petrogaphy was in its infancy little attention was paid to their chemical features. It is true that a number had been analyzed, but these were for the most part rocks that were of such a character as to lead the investigator of those early days to consider them as minerals, as was the case with the first described Ihcrzolite and wehrlite. In contradistinction to the individually well-defined minerals, rocks were regarded as merely aggregates of minerals, in presumably fortuitous combinations, and lacking that definiteness or constancy of composition in one mass or in different masses which would justify their chemical study as a whole. As, however, they became more and more the subjects of special research, beginning with the earliest investigations of Cordiera, a knowledge of their chemical composition assumed gradually increasing interest. The great importance of this side of the study of rocks was first clearly recognized by Abich, who pointed out, as early as 1841, the, necessity of a knowledge of their chemical composition for the solution of such problems as their origin, mode of formation, and connection with the interior of the earth, as well as the value of a comparison of their analyses as a proper basis for their classification and nomenclature. To him, therefore, is due the credit, of introducing the chemical composition of rocks as a basis for their classification; though the good influence of this suggestion for their right understanding was largely nullified by the coincident use of the feldspars alone as one of the main factors of classification, an idea which has had a deplorably retarding influence on the development of systematic petrography for many years, and which, even at the present day, holds many systematists firmly in its grasp.

Professional Paper↗

Outcomes of control and monitoring of a widespread riparian invader (Tamarix spp.): A comparison of synthesis approaches

Effective ecological restoration requires empirical assessment to determine outcomes of projects, but conclusions regarding the effects of restoration treatments on the whole ecosystem remain rare. Control of invasive shrubs and trees in the genus Tamarix and associated riparian restoration in the American Southwest has been of interest to scientists and resource managers for decades; dozens of studies have reported highly variable outcomes of Tamarix control efforts, as measured by a range of response variables, temporal and spatial scales and monitoring strategies. We conducted a literature search and review, meta-analysis and vote count (comparison of numerical outcomes lacking reported variances and/or sample sizes) on published papers that quantitatively measured a variety of responses to control of Tamarix . From 96 publications obtained through a global search on terms related to Tamarix control, we found 52 publications suitable for a meta-analysis (n = 777 comparisons) and 63 publications suitable for two vote counts (n = 1,460 comparisons total; 622 comparisons reported as statistically significant) of response to Tamarix control. We estimated responses to control by treatment type (e.g. cut-stump treatment, burning, biocontrol) and ecosystem component (e.g. vegetation, fauna, fluvial processes). Finally, we compared results of the various synthesis methods to determine whether the increasingly stringent requirements for inclusion led to biased outcomes. Vegetation metrics, especially measures of Tamarix response, were the most commonly assessed. Ecosystem components other than vegetation, such as fauna, soils and hydrogeomorphic dynamics, were under-represented. The meta-analysis showed significantly positive responses by vegetation overall to biocontrol, herbicide and cut-stump treatments. This was primarily due to reduction of Tamarix cover; impacts on replacement vegetation were highly variable. We found concordance amongst our varied synthesis approaches, indicating that increased granularity from stricter quantitative techniques does not come at the cost of a biased sample. Overall, our results indicate that common control methods are generally effective for reducing Tamarix , but the indirect effects on other aspects of the ecosystem are variable and remain understudied. Given that this is a relatively well-studied invasive plant species, our results also illustrate the limitations of not only individual studies, but also of reviews for measuring the impact of invasive species control. We call on researchers to investigate the less commonly studied responses to Tamarix control and riparian restoration including the effects on fauna, soil and hydrogeomorphic characteristics.

NeoBiota↗

Delineation of the freshwater-saltwater interface on southwestern Long Island, New York, through use of surface and borehole geophysical methods

The U.S. Geological Survey used surface and borehole geophysical methods to delineate the freshwater-saltwater interface in coastal plain aquifers along the southwestern part of Long Island, New York. Over pumping of groundwater in the early 20th century combined with freshwater-saltwater interfaces at the coastline created saltwater intrusion in the upper glacial, Jameco, Magothy, and Lloyd aquifers. Our research indicates extensive saltwater intrusion of the Lloyd aquifer along the southwestern coast of Long Island, N.Y. Several public-supply wells in the southern parts of Nassau, Queens, and Kings Counties have been adversely affected by saltwater intrusion causing several supply wells to be shut down and abandoned. In 2015–17, the U.S. Geological Survey collected time domain electromagnetic soundings at 12 locations and borehole electromagnetic induction conductivity logs at 9 outpost wells within the study area to delineate several saltwater intrusion wedges. Three separate wedges , (shallow, intermediate, and deep), of saltwater intrusion were delineated in the upper glacial, Jameco, and Magothy aquifer complex. In addition, reanalysis of geophysical logs collected in an open borehole of a test well in southern Queens County in 1989 revealed the Lloyd aquifer was nearly completely intruded by saltwater with an estimated chloride concentration of 15,000 milligrams per liter. This suggests the freshwater-saltwater interface was at the coastline and not miles offshore as theorized by previous studies.

New York↗

A traditional and a less-invasive robust design: choices in optimizing effort allocation for seabird population studies

For many animal populations, one or more life stages are not accessible to sampling, and therefore an unobservable state is created. For colonially-breeding populations, this unobservable state could represent the subset of adult breeders that have foregone breeding in a given year. This situation applies to many seabird populations, notably albatrosses, where skipped breeders are either absent from the colony, or are present but difficult to capture or correctly assign to breeding state. Kendall et al. have proposed design strategies for investigations of seabird demography where such temporary emigration occurs, suggesting the use of the robust design to permit the estimation of time-dependent parameters and to increase the precision of estimates from multi-state models. A traditional robust design, where animals are subject to capture multiple times in a sampling season, is feasible in many cases. However, due to concerns that multiple captures per season could cause undue disturbance to animals, Kendall et al. developed a less-invasive robust design (LIRD), where initial captures are followed by an assessment of the ratio of marked-to-unmarked birds in the population or sampled plot. This approach has recently been applied in the Northwestern Hawaiian Islands to populations of Laysan (Phoebastria immutabilis) and black-footed (P. nigripes) albatrosses. In this paper, we outline the LIRD and its application to seabird population studies. We then describe an approach to determining optimal allocation of sampling effort in which we consider a non-robust design option (nRD), and variations of both the traditional robust design (RD), and the LIRD. Variations we considered included the number of secondary sampling occasions for the RD and the amount of total effort allocated to the marked-to-unmarked ratio assessment for the LIRD. We used simulations, informed by early data from the Hawaiian study, to address optimal study design for our example cases. We found that the LIRD performed as well or nearly as well as certain variations of the RD in terms of root mean square error, especially when relatively little of the total effort was allocated to the assessment of the marked-to-unmarked ratio versus to initial captures. For the RD, we found no clear benefit of using 2, 4, or 6 secondary sampling occasions per year, though this result will depend on the relative effort costs of captures versus recaptures and on the length of the study. We also found that field-readable bands, which may be affixed to birds in addition to standard metal bands, will be beneficial in longer-term studies of albatrosses in the Northwestern Hawaiian Islands. Field-readable bands reduce the effort cost of recapturing individuals, and in the long-term this cost reduction can offset the additional effort expended in affixing the bands. Finally, our approach to determining optimal study design can be generally applied by researchers, with little seed data, to design their studies at the outset.

Book chapter↗

Arctic Refuge coastal plain terrestrial wildlife research summaries

In 1980, when the U.S. Congress enacted the Alaska National Interest Lands Conservation Act (ANILCA), it also mandated a study of the coastal plain of the Arctic National Wildlife Refuge. Section 1002 of ANILCA stated that a comprehensive inventory of fish and wildlife resources would be conducted on 1.5 million acres of the Arctic Refuge coastal plain (1002 Area). Potential petroleum reserves in the 1002 Area were also to be evaluated from surface geological studies and seismic exploration surveys. Results of these studies and recommendations for future management of the Arctic Refuge coastal plain were to be prepared in a report to Congress. In 1987, the Department of the Interior published the Arctic National Wildlife Refuge, Alaska, Coastal Plain Resource Assessment - Report and Recommendations to the Congress of the United States and Final Environmental Impact Statement. This report to Congress identified the potential for oil and gas production (updated* most recently by the U.S. Geological Survey in 2001), described the biological resources, and evaluated the potential adverse effects to fish and wildlife resources. The 1987 report analyzed the potential environmental consequences of five management alternatives for the coastal plain, ranging from wilderness designation to opening the entire area to lease for oil and gas developement. The report's summary recommended opening the 1002 Area to an orderly oil and gas leasing program, but cautioned that adverse effects to some wildlife populations were possible. Congress did not act on this recommendation nor any other alternative for the 1002 Area, and scientists continued studies of key wildlife species and habitats on the coastal plain of the Arctic Refuge and surrounding areas. This report contains updated summaries of those scientific investigations of caribou, muskoxen, predators (grizzly bears, wolves, golden eagles), polar bears, snow geese, and their wildlife habitats. Contributions to this report were made by scientists affiliated with the U.S. Geological Survey; U.S. Fish and Wildlife Service; Alaska Department of Fish and Game; University of Alaska-Fairbanks; Canadian Wildlife Service; Yukon Department of Renewable Resources; and the Northwest Territories Department of Resources, Wildlife, and Economic Development. Sections of the report presenting new information on caribou and forage plants were peer-reviewed by three independent, non-affiliated scientists. The remaining sections summarize previously published peer-reviewed scientific papers and were reviewed by a single independent scientist. The U.S. Geological Survey and the U.S. Fish and Wildlife Service collaborated in the publication of this report.

Alaska, Northwest Territories, Yukon Territory↗

Constraints on the stress state of the San Andreas fault with analysis based on core and cuttings from SAFOD drilling phases 1 and 2

Analysis of field data has led different investigators to conclude that the San Andreas Fault (SAF) has either anomalously low frictional sliding strength ( μ < 0.2) or strength consistent with standard laboratory tests ( μ > 0.6). Arguments for the apparent weakness of the SAF generally hinge on conceptual models involving intrinsically weak gouge or elevated pore pressure within the fault zone. Some models assert that weak gouge and/or high pore pressure exist under static conditions while others consider strength loss or fluid pressure increase due to rapid coseismic fault slip. The present paper is composed of three parts. First, we develop generalized equations, based on and consistent with the Rice (1992) fault zone model to relate stress orientation and magnitude to depth‐dependent coefficient of friction and pore pressure. Second, we present temperature‐ and pressure‐dependent friction measurements from wet illite‐rich fault gouge extracted from San Andreas Fault Observatory at Depth (SAFOD) phase 1 core samples and from weak minerals associated with the San Andreas Fault. Third, we reevaluate the state of stress on the San Andreas Fault in light of new constraints imposed by SAFOD borehole data. Pure talc ( μ ≈0.1) had the lowest strength considered and was sufficiently weak to satisfy weak fault heat flow and stress orientation constraints with hydrostatic pore pressure. Other fault gouges showed a systematic increase in strength with increasing temperature and pressure. In this case, heat flow and stress orientation constraints would require elevated pore pressure and, in some cases, fault zone pore pressure in excess of vertical stress.

California↗

Blackbrush ( Coleogyne ramosissima Torr. ): State of our knowledge and future challenges

Covering 130,000 square miles and a wide range of elevations from desert to alpine in Arizona, Utah, Colorado, and New Mexico, the Colorado Plateau has long fascinated researchers. The Colorado Plateau VI provides readers with a plethora of updates and insights into land conservation and management questions currently surrounding the region. The Colorado Plateau VI’s contributors show how new technologies for monitoring, spatial analysis, restoration, and collaboration improve our understanding, management, and conservation of outcomes at the appropriate landscape scale for the Colorado Plateau. The volume’s chapters fall into five major themes: monitoring as a key tool for addressing management challenges, restoration approaches to improving ecosystem condition and function, collaboration and organizational innovations to achieve conservation and management objectives, landscape-scale approaches to understanding, and managing key species and ecological communities. Focusing on the integration of science into resource management issues over the Colorado Plateau, this volume includes contributions from dozens of leading scholars of the region. The Colorado Plateau VI proves a valuable resource to all interested in the conservation management, natural history, and cultural biological resources of the Colorado Plateau.

Arizona, Colorado, New Mexico, Utah↗

Performance mapping and weighting for the evapotranspiration models of the OpenET ensemble

Evapotranspiration (ET) accounts for the majority of water available from precipitation in the terrestrial water cycle, and improvements to the accuracy, resolution, and coverage of ET data can enhance hydrologic models and assessments. The OpenET collaboration of six remotely sensed ET modeling teams has demonstrated that an ensemble approach to ET estimation generally provides improved accuracy relative to individual ensemble members. The performance of individual models has been shown to vary by land cover type and climate zone, but a thorough study of the variables that influence model performance differences has not yet been conducted. In this paper, we model the performance of OpenET models relative to flux tower data as a function of variables such as land cover type and precipitation. These performance models are used to map estimated OpenET model performance across the conterminous United States. We develop relative weights based on these modeled performance metrics and show that a performance-weighted ensemble improves accuracy relative to the current OpenET ensemble method to varying degrees. The monthly mean absolute error of the weighted ensemble is reduced relative to the current method by 8% in agricultural settings, by 23% in shrublands and mixed forests, and by 5% in grasslands and evergreen forests. We produce weight maps that can be used to generate performance-weighted ensemble values for OpenET data. The results can be used to inform model selection and provide insight about the controls on model performance that could lead to model refinement.

Water Resources Research↗

Low-altitude aerial color digital photographic survey of the San Andreas Fault

Ever since 1858, when Gaspard-Félix Tournachon (pen name Félix Nadar) took the first aerial photograph (Professional Aerial Photographers Association 2009), the scientific value and popular appeal of such pictures have been widely recognized. Indeed, Nadar patented the idea of using aerial photographs in mapmaking and surveying. Since then, aerial imagery has flourished, eventually making the leap to space and to wavelengths outside the visible range. Yet until recently, the availability of such surveys has been limited to technical organizations with significant resources. Geolocation required extensive time and equipment, and distribution was costly and slow. While these situations still plague older surveys, modern digital photography and lidar systems acquire well-calibrated and easily shared imagery, although expensive, platform-specific software is sometimes still needed to manage and analyze the data. With current consumer-level electronics (cameras and computers) and broadband internet access, acquisition and distribution of large imaging data sets are now possible for virtually anyone. In this paper we demonstrate a simple, low-cost means of obtaining useful aerial imagery by reporting two new, high-resolution, low-cost, color digital photographic surveys of selected portions of the San Andreas fault in California. All pictures are in standard jpeg format. The first set of imagery covers a 92-km-long section of the fault in Kern and San Luis Obispo counties and includes the entire Carrizo Plain. The second covers the region from Lake of the Woods to Cajon Pass in Kern, Los Angeles, and San Bernardino counties (151 km) and includes Lone Pine Canyon soon after the ground was largely denuded by the Sheep Fire of October 2009. The first survey produced a total of 1,454 oblique digital photographs (4,288 x 2,848 pixels, average 6 Mb each) and the second produced 3,762 nadir images from an elevation of approximately 150 m above ground level (AGL) on the southeast leg and 300 m AGL on the northwest leg. Spatial resolution (pixel size or ground sample distance) is a few centimeters. Time and geographic coordinates of the aircraft were automatically written into the exchangeable image file format (EXIF) data within each jpeg photograph. A few hours after acquisition and validation, the photographs were uploaded to a publicly accessible Web page. The goal was to obtain quick-turnaround, low-cost, high-resolution, overlapping, and contiguous imagery for use in planning field operations, and to provide imagery for a wide variety of land use and educational studies. This work was carried out in support of ongoing geological research on the San Andreas fault, but the technique is widely applicable beyond geology.

California↗

Design of a sediment-monitoring gaging network on ephemeral tributaries of the Colorado River in Glen, Marble, and Grand Canyons, Arizona

Management of sediment in rivers downstream from dams requires knowledge of both the sediment supply and downstream sediment transport. In some dam-regulated rivers, the amount of sediment supplied by easily measured major tributaries may overwhelm the amount of sediment supplied by the more difficult to measure lesser tributaries. In this first class of rivers, managers need only know the amount of sediment supplied by these major tributaries. However, in other regulated rivers, the cumulative amount of sediment supplied by the lesser tributaries may approach the total supplied by the major tributaries. The Colorado River downstream from Glen Canyon has been hypothesized to be one such river. If this is correct, then management of sediment in the Colorado River in the part of Glen Canyon National Recreation Area downstream from the dam and in Grand Canyon National Park may require knowledge of the sediment supply from all tributaries. Although two major tributaries, the Paria and Little Colorado Rivers, are well documented as the largest two suppliers of sediment to the Colorado River downstream from Glen Canyon Dam, the contributions of sediment supplied by the ephemeral lesser tributaries of the Colorado River in the lowermost Glen Canyon, and Marble and Grand Canyons are much less constrained. Previous studies have estimated amounts of sediment supplied by these tributaries ranging from very little to almost as much as the amount supplied by the Paria River. Because none of these previous studies relied on direct measurement of sediment transport in any of the ephemeral tributaries in Glen, Marble, or Grand Canyons, there may be significant errors in the magnitudes of sediment supplies estimated during these studies. To reduce the uncertainty in the sediment supply by better constraining the sediment yield of the ephemeral lesser tributaries, the U.S. Geological Survey Grand Canyon Monitoring and Research Center established eight sediment-monitoring gaging stations beginning in 2000 on the larger of the previously ungaged tributaries of the Colorado River downstream from Glen Canyon Dam. The sediment-monitoring gaging stations consist of a downward-looking stage sensor and passive suspended-sediment samplers. Two stations are equipped with automatic pump samplers to collect suspended-sediment samples during flood events. Directly measuring discharge and collecting suspended-sediment samples in these remote ephemeral streams during significant sediment-transporting events is nearly impossible; most significant run-off events are short-duration events (lasting minutes to hours) associated with summer thunderstorms. As the remote locations and short duration of these floods make it prohibitively expensive, if not impossible, to directly measure the discharge of water or collect traditional depth-integrated suspended-sediment samples, a method of calculating sediment loads was developed that includes documentation of stream stages by field instrumentation, modeling of discharges associated with these stages, and automatic suspended-sediment measurements. The approach developed is as follows (1) survey and model flood high-water marks using a two-dimensional hydrodynamic model, (2) create a stage-discharge relation for each site by combining the modeled flood flows with the measured stage record, (3) calculate the discharge record for each site using the stage-discharge relation and the measured stage record, and (4) calculate the instantaneous and cumulative sediment loads using the discharge record and suspended-sediment concentrations measured from samples collected with passive US U-59 samplers and ISCO TM pump samplers. This paper presents the design of the gaging network and briefly describes the methods used to calculate discharge and sediment loads. The design and methods herein can easily be used at other remote locations where discharge and sediment loads are required.

Arizona↗

Multispectral thermal infrared mapping of sulfur dioxide plumes: A case study from the East Rift Zone of Kilauea Volcano, Hawaii

The synoptic perspective and rapid mode of data acquisition provided by remote sensing are well suited for the study of volcanic SO 2 plumes. In this paper we describe a plume-mapping procedure that is based on image data acquired with NASA's airborne thermal infrared multispectral scanner (TIMS) and apply the procedure to TIMS data collected over the East Rift Zone of Kilauea Volcano, Hawaii, on September 30, 1988. These image data covered the Pu‘u ‘O ‘o and Kupaianaha vents and a skylight in the lava tube that was draining the Kupaianaha lava pond. Our estimate of the SO 2 emission rate from Pu‘u ‘O ‘o (17–20 kg s −1 ) is roughly twice the average of estimates derived from correlation spectrometer (COSPEC) measurements collected 10 days prior to the TIMS overflight (10 kg s −1 ). The agreement between the TIMS and COSPEC results improves when we compare SO 2 burden estimates, which are relatively independent of wind speed. We demonstrate the feasibility of mapping Pu‘u ‘O ‘o - scale SO 2 plumes from space in anticipation of the 1998 launch of the advanced spaceborne thermal emission and reflectance radiometer (ASTER).

Journal of Geophysical Research B: Solid Earth↗

Physical properties of repressurized samples recovered during the 2006 National Gas Hydrate Program expedition offshore India

As part of an international cooperative research program, the U.S. Geological Survey (USGS) and researchers from the National Gas Hydrate Program (NGHP) of India are studying the physical properties of sediment recovered during the NGHP-01 cruise conducted offshore India during 2006. Here we report on index property, acoustic velocity, and triaxial shear test results for samples recovered from the Krishna-Godavari Basin. In addition, we discuss the effects of sample storage temperature, handling, and change in structure of fine-grained sediment. Although complex, sub-vertical planar gas-hydrate structures were observed in the silty clay to clayey silt samples prior to entering the Gas Hydrate And Sediment Test Laboratory Instrument (GHASTLI), the samples yielded little gas post test. This suggests most, if not all, gas hydrate dissociated during sample transfer. Mechanical properties of hydrate-bearing marine sediment are best measured by avoiding sample depressurization. By contrast, mechanical properties of hydrate-free sediments, that are shipped and stored at atmospheric pressure can be approximated by consolidating core material to the original in situ effective stress.

Conference Paper↗

Geomorphometric analysis of the Summit and Ridge classes of the Geographic Names Information System

This research aims to conduct a geosemantic comparison of landforms classified in the Summit and Ridge feature classes in the Geographic Names Information System (GNIS). The comparison is based on a 2D shape analysis of manually delineated polygons produced by USGS staff to correspond to 33,304 Summit and 8,006 Ridge features. Five shape measures were chosen for this specific geomorphometry-based analysis. Univariate and bivariate statistics are first calculated to compare the two feature classes. This is followed by unsupervised learning with k-means cluster analysis to identify two major geomorphometric clusters corresponding to Summit and Ridge features. Although this supports sufficient internal homogeneity to have stable Summit and Ridge feature classes, more than 7,500 (18%) special features were also identified, which were assigned by k-means to the cluster not corresponding to their given GNIS class. These features remain to be analyzed further to decide if GNIS features should be reclassified based on geomorphometric analysis of available polygonal representations.

Conference Paper↗

Chemical attributes of some clouds amid a forest ecosystem's trees

Simultaneous physical and chemical characteristics of clouds amid and above the trees of a montane forest, located about 3.3 km southwest of Mt. Mitchell, NC, were collected between 13 and 22 June 1993. This paper summarizes the chemical characteristics of the cloud droplets amid the trees. The ionic composition and pH of the analyzed amid-canopy cloud water samples are generally consistent with those of previous above-canopy cloud water samples obtained at this site. Magnesium, sodium, and calcium are highly correlated to each other amid the canopy as compared to above the canopy. Above-canopy and amid-canopy cloud-only episodes, with concurrent event-averaged cloud water pH values at or below 3.1, generally contain more magnesium, sodium, and calcium in the amid-canopy cloud water samples compared to concurrent above-canopy cloud water samples. The observed chemical differences between the amid-canopy cloud and the above-canopy cloud suggest an unhealthier environment for the tree canopy when the cloud water traversing this site has a pH value at or below 3.1. The predominant ion deposition fluxes were calculated to provide preliminary data for studies designed to explicitly quantify how the chemical composition of cloud water affects tree health.

Atmospheric Research↗

A comparison of measures of riverbed form for evaluating distributions of benthic fishes

A method to quantitatively characterize the bed forms of a large river and a preliminary test of the relationship between bed-form characteristics and catch per unit area of benthic fishes is presented. We used analog paper recordings of bathymetric data from the Missouri River and fish data collected from 1996 to 1998 at both the segment (???101-102-km) and macrohabitat (???10-1-100-km) spatial scales. Bed-form traces were transformed to digital data with image analysis software. The slope, mean residual, and SD of the residuals of the regression of depth versus distance along the bottom, as well as mean depth, were estimated for each trace. These four metrics were compared with sinuosity, fractal dimension, critical scale, and maximum mean angle for the same traces. Mean depth and sinuosity differed among segments and macrohabitats. Fractal-based measures of the relative depth of bottom troughs (critical scale) and smoothness (maximum mean angle) differed among segments. Statistics-based measures of the relative depth of bottom troughs (mean residual) and smoothness (SD of the residuals) differed among macrohabitats. Sites with shovelnose sturgeon Scaphirhynchus platorynchus were shallower and smoother than sites without shovelnose sturgeon. When compared with sites without sicklefin chub Macrhybopsis meeki, sites with sicklefin chub were shallower, had shallower troughs, and sloped more out of the flow of the river. Sites with sturgeon chub M. gelida were shallower, had shallower troughs, and were smoother than sites without sturgeon chub. Sites with and without channel catfish Ictalurus punctatus did not differ for any bed-form variables measured. Nonzero shovelnose sturgeon density increased with depth, whereas nonzero sturgeon chub density decreased with depth. Indices of bed-form structure demonstrated potential for describing the distribution and abundance of Missouri River benthic fishes. The observed fish patterns, though limited, provide valuable direction for future research into the habitat preferences of these fishes.

North American Journal of Fisheries Management↗