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Three-dimensional velocity structure of crust and upper mantle in southwestern China and its tectonic implications

Using P and S arrival times from 4625 local and regional earthquakes recorded at 174 seismic stations and associated geophysical investigations, this paper presents a three‐dimensional crustal and upper mantle velocity structure of southwestern China (21°–34°N, 97°–105°E). Southwestern China lies in the transition zone between the uplifted Tibetan plateau to the west and the Yangtze continental platform to the east. In the upper crust a positive velocity anomaly exists in the Sichuan Basin, whereas a large‐scale negative velocity anomaly exists in the western Sichuan Plateau, consistent with the upper crustal structure under the southern Tibetan plateau. The boundary between these two anomaly zones is the Longmen Shan Fault. The negative velocity anomalies at 50‐km depth in the Tengchong volcanic area and the Panxi tectonic zone appear to be associated with temperature and composition variations in the upper mantle. The Red River Fault is the boundary between the positive and negative velocity anomalies at 50‐km depth. The overall features of the crustal and the upper mantle structures in southwestern China are a low average velocity, large crustal thickness variations, the existence of a high‐conductivity layer in the crust or/and upper mantle, and a high heat flow value. All these features are closely related to the collision between the Indian and the Asian plates.

Journal of Geophysical Research B: Solid Earth↗

Evaluation of long-term gas hydrate production testing locations on the Alaska North Slope

The results of short duration formation tests in northern Alaska and Canada have further documented the energy resource potential of gas hydrates and justified the need for long-term gas hydrate production testing. Additional data acquisition and long-term production testing could improve the understanding of the response of naturally-occurring gas hydrate to depressurization-induced or thermal-, chemical-, and/or mechanical-stimulated dissociation of gas hydrate into producible gas. The Eileen gas hydrate accumulation located in the Greater Prudhoe Bay area in northern Alaska has become a focal point for gas hydrate geologic and production studies. BP Exploration (Alaska) Incorporated and ConocoPhillips have each established research partnerships with U.S. Department of Energy to assess the production potential of gas hydrates in northern Alaska. A critical goal of these efforts is to identify the most suitable site for production testing. A total of seven potential locations in the Prudhoe Bay, Kuparuk, and Milne Point production units were identified and assessed relative to their suitability as a long-term gas hydrate production test site. The test site assessment criteria included the analysis of the geologic risk associated with encountering reservoirs for gas hydrate testing. The site selection process also dealt with the assessment of the operational/logistical risk associated with each of the potential test sites. From this review, a site in the Prudhoe Bay production unit was determined to be the best location for extended gas hydrate production testing. The work presented in this report identifies the key features of the potential test site in the Greater Prudhoe Bay area, and provides new information on the nature of gas hydrate occurrence and potential impact of production testing on existing infrastructure at the most favorable sites. These data were obtained from well log analysis, geological correlation and mapping, and numerical simulation.

Conference Paper↗

Frequency-dependent effects of rupture for the 2004 Parkfield mainshock, results from UPSAR

The frequency-dependent effects of rupture propagation of the Parkfield, California earthquake (Sept. 28, 2004, M6) to the northwest along the San Andreas fault can be seen in acceleration records at UPSAR (USGS Parkfield Seismic Array) in at least two ways. First, we can see the effects of directivity in the acceleration traces at UPSAR, which is about 11.5 km from the epicenter. Directivity or the seismic equivalent of a Doppler shift has been documented in many cases by comparing short duration, high-amplitude pulses (P or S) in the forward direction with longer duration body waves in the backward direction. In this case we detect a change from a relatively large amplitude, coherent, high-frequency signal at the start of rupture to a low-amplitude, low-coherent, low-frequency signal at about the time the rupture front transfers from the forward azimuth to the back azimuth at about 34-36 s (time is UTC and are the seconds after day 272 and 17 hours and 15 minutes. S arrival is just after 30s) for rays leaving the fault and propagating to UPSAR. The frequency change is obvious in the band about 5 to 30 Hz, which is significantly above the corner frequency of the earthquake (about 0.11Hz). From kinematic source models, the duration of faulting is about 9.2 s and the change in frequency is during faulting as the rupture extends to the northwest. Understanding the systematic change in frequency and amplitude of seismic waves in relation to the propagation of the rupture front is important for predicting strong ground motion. Second, we can filter the acceleration records from the array to determine if the low frequency energy emerges from the same part of the fault as the high frequency signal (e.g. has the same back azimuth and apparent velocity at UPSAR) an important clue to the dynamics of rupture. Analysis of sources of strong motion (characterized by relatively high frequencies) compared to kinematic slip models (relatively low frequency) for the March 11, 2011 Tohoku earthquake as well as Maule (Feb. 27, 2010) and Chi-Chi (Sept. 20, 1999) earthquakes show that high- and low-frequency sources do not have the same locations on the fault. In this paper we filter the accelerograms from UPSAR for the 2004 mainshock in various passbands and then re-compute the cross correlations to determine the vector slowness of the incoming waves. At Parkfield, it appears that for seismic waves with frequencies above 1 Hz there is no discernible frequency-dependent difference in source position (up to 8 Hz) based on estimates of back azimuth and apparent velocity. However at lower frequencies, sources appear to be from shallower depths and trail the high frequencies as the rupture proceeds down the fault. This result is greater than one standard deviation of an estimate of error, based on a new method of estimating error that is a measure of how broad the peak in correlation is and an estimate of the variance of the correlation values. These observations can be understood in terms of a rupture front that is more energetic and coherent near the front of rupture (radiating higher frequencies) and less coherent and less energetic (radiating in a lower frequency band) behind the initial rupture front. This result is a qualitative assessment of changes in azimuth and apparent velocity with frequency and time and does not include corrections to find the source location on the fault.

California↗

Detection, emission estimation and risk prediction of forest fires in China using satellite sensors and simulation models in the past three decades-An overview

Forest fires have major impact on ecosystems and greatly impact the amount of greenhouse gases and aerosols in the atmosphere. This paper presents an overview in the forest fire detection, emission estimation, and fire risk prediction in China using satellite imagery, climate data, and various simulation models over the past three decades. Since the 1980s, remotely-sensed data acquired by many satellites, such as NOAA/AVHRR, FY-series, MODIS, CBERS, and ENVISAT, have been widely utilized for detecting forest fire hot spots and burned areas in China. Some developed algorithms have been utilized for detecting the forest fire hot spots at a sub-pixel level. With respect to modeling the forest burning emission, a remote sensing data-driven Net Primary productivity (NPP) estimation model was developed for estimating forest biomass and fuel. In order to improve the forest fire risk modeling in China, real-time meteorological data, such as surface temperature, relative humidity, wind speed and direction,have been used as the model input for improving prediction of forest fire occurrence and its behavior. Shortwave infrared (SWIR) and near infrared (NIR) channels of satellite sensors have been employed for detecting live fuel moisture content (FMC), and the Normalized Difference Water Index (NDWI) was used for evaluating the forest vegetation condition and its moisture status.

International Journal of Environmental Research an↗

Ultraviolet and visible remote sensing of volcanic gases

As magma rises in volcanic systems, volatile species exsolve from the silicate melt and are emitted as gases into the atmosphere. Measuring the magnitude and composition of gas emissions from volcanoes provides insights into processes occurring deep within the Earth and helps constrain the impact of volcanic degassing on atmospheric chemistry. Optical remote sensing techniques allow volcanic gas emissions to be characterized without the need to access hazardous areas near active volcanic vents. This paper reviews the state of the art in ultraviolet and visible volcanic gas remote sensing from the ground, air, and space. Special attention is given to discussing the physics of atmospheric radiative transfer on which these techniques are based. The functionality and limitations of different remote sensing instruments are examined, making clear that the ideal choice of instrumentation will depend on the volcanic system to which it is applied and the sought measurement parameters. Common algorithms for determining trace gas column densities, gas burdens, and volcanic emission rates from measurements of spectral radiance are outlined and compared, showing how some algorithms attempt to model the physics of the measurement while others maximize sensitivity. Several examples demonstrate how remote sensing measurements continue to advance our understanding of volcanic systems and their impact on the atmosphere. Finally, a few promising directions of inquiry are suggested that could lead to improvements in remote sensing instrumentation and analysis techniques. By combining spectroscopic and imaging techniques, improving our understanding of atmospheric radiative transfer, expanding the suite of target gases, and increasing the coverage and frequency of observations, we stand to significantly improve our ability to detect and quantify volcanic gas emissions and gain new insights into important Earth-system processes.

Journal of Volcanology and Geothermal Research↗

Geomorphology, acoustic backscatter, and processes in Santa Monica Bay from multibeam mapping

Santa Monica Bay was mapped in 1996 using a high-resolution multibeam system, providing the first substantial update of the submarine geomorphology since the initial compilation by Shepard and Emery [(1941) Geol. Soc. Amer. Spec. Paper 31]. The multibeam mapping generated not only high-resolution bathymetry, but also coregistered, calibrated acoustic backscatter at 95 kHz. The geomorphology has been subdivided into six provinces; shelf, marginal plateau, submarine canyon, basin slope, apron, and basin. The dimensions, gradients, and backscatter characteristics of each province is described and related to a combination of tectonics, climate, sea level, and sediment supply. Fluctuations of eustatic sea level have had a profound effect on the area; by periodically eroding the surface of Santa Monica plateau, extending the mouth of the Los Angeles River to various locations along the shelf break, and by connecting submarine canyons to rivers. A wetter glacial climate undoubtedly generated more sediment to the rivers that then transported the increased sediment load to the low-stand coastline and canyon heads. The trends of Santa Monica Canyon and several bathymetric highs suggest a complex tectonic stress field that has controlled the various segments. There is no geomorphic evidence to suggest Redondo Canyon is fault controlled. The San Pedro fault can be extended more than 30 km to the northwest by the alignment of a series of bathymetric highs and abrupt changes in direction of channel thalwegs.

California↗

Broadband characteristics of earthquakes recorded during a dome-building eruption at Mount St. Helens, Washington, between October 2004 and May 2005

From October 2004 to May 2005, the Center for Earthquake Research and Information of the University of Memphis operated two to six broadband seismometers within 5 to 20 km of Mount St. Helens to help monitor recent seismic and volcanic activity. Approximately 57,000 earthquakes identified during the 7-month deployment had a normal magnitude distribution with a mean magnitude of 1.78 and a standard deviation of 0.24 magnitude units. Both the mode and range of earthquake magnitude and the rate of activity varied during the deployment. We examined the time domain and spectral characteristics of two classes of events seen during dome building. These include volcano-tectonic earthquakes and lower-frequency events. Lower-frequency events are further classified into hybrid earthquakes, low-frequency earthquakes, and long-duration volcanic tremor. Hybrid and low-frequency earthquakes showed a continuum of characteristics that varied systematically with time. A progressive loss of high-frequency seismic energy occurred in earthquakes as magma approached and eventually reached the surface. The spectral shape of large and small earthquakes occurring within days of each other did not vary with magnitude. Volcanic tremor events and lower-frequency earthquakes displayed consistent spectral peaks, although higher frequencies were more favorably excited during tremor than earthquakes.

Washington↗

USGS Alaska Tissue Archival Projects: An update on FY02 activities

The banking of environmental specimens under cryogenic conditions for future retrospective analysis has been recognized for many years as an important part of environmental monitoring programs. Since 1987, the Alaska Marine Mammal Tissue Archival Project (AMMTAP) has been collecting tissue samples from marine mammals for archival in the National Biomonitoring Specimen Bank (NBSB) at the National Institute of Standards and Technology (NIST) in Gaithersburg, Maryland, USA. The USGS, Alaska Biological Science Center (ABSC), the NOAA Fisheries, Office of Protected Resources (NMFS), and the NIST conduct this partnership project, which began under the Mineral Management Service (MMS) Outer Continental Shelf Environmental Assessment Program. MMS remains the primary client agency for the AMMTAP providing programmatic guidance and review. The purpose of the project is to collect tissue samples from Alaska marine mammals and to store these specimens under the best conditions so that they can be analyzed for environmental contaminants and other constituents. A substantial part of the sample collection is from Arctic species and, since most of the animals sampled are from Alaska Native subsistence harvests, the project relies on cooperation and collaboration with several Alaska Native organizations and local governmental agencies. Although a substantial amount of recent research has been conducted on contaminants in Alaskan marine mammals, few data exists on colonial seabirds nesting in Alaska. Like marine mammals, seabirds are an important group of upper trophic level marine organisms with a potential for accumulating lipophilic contaminants and are identified by MMS as species of interest for monitoring activities. More than 95% of the seabirds breeding in the continental United States nest at colonies in the Bering and Chukchi seas and Gulf of Alaska (see USFWS 1992). Realizing the value of colonial seabirds in environmental monitoring and the lack of recent data from Alaskan seabird colonies, the U.S. Fish and Wildlife Service Alaska Maritime National Wildlife Refuge (USFWS-AMNWR), the U.S. Geological Survey Biological Resources Division (USGS-BRD), and the National Institute of Standards and Technology (NIST) initiated the Seabird Tissue Archival and Monitoring Project (STAMP) in 1998. The project was designed as a 100-year-long program to monitor long-term trends in environmental quality by collecting eggs at nesting colonies using standardized protocols, banking the egg contents under conditions that ensure chemical stability during long-term (decadal) storage, and analyzing subsamples of the stored material to establish baseline levels for persistent bioaccumulative contaminants (e.g., chlorinated pesticides, PCBs, mercury).

Conference Paper↗

Threats to desert tortoise populations: a critical review of the literature

Decision in resource management are generally based on a combination of sociopolitical, economic, and environmental factors, and may be biased by personal values. These three components often contradict each other resulting in controversy. Controversies can usually be reduced when solid scientific evidence is used to support or refute a decision. However, it is important to recognize that data often do little to alter antagonists' positions when differences in values are the bases if the dispute. But, supporting data can make the decision more defensible, both legally and ethically, especially if the data supporting all opposing viewpoints are included in the decision-making process. Resource management decisions must be made using the best scientific information currently available. However, scientific data vary in two important measures of quality: reliability and validity. The reliability of the data is a measure of the degree to which the observations or conclusion can be repeated. Validity of the data is a measure of the degree to which the observation or conclusion reflects what actually occurs in nature. How the data are collected strongly affects the reliability of validity of ecological conclusions that can be made. Research data potentially relevant to management come from different sources, and the source often provides clues to the reliability and, to a certain extent, validity of data. Understanding the quality of data being used to make management decisions helps to separate the philosophical or value-based aspects of arguments from the objective ones, thus helping to clarify the decisions and judgments that need to be made. The West Mojave Plan is a multispecies, bioregional plan for the management of natural resources within a 9.4 million-acre area of the Mojave Desert in California. The plan addresses the legal requirements for the recovery of the desert tortoise ( Gopherus agazzizii ), a threatened species, but also covers an additional approximately 80 species of plants and animals assigned special status by the Bureau of Land Management, U. S. Fish and Wildlife Service, and California Department of Fish and Game. Within the planning area, 28 separate jurisdictions (counties, cities, towns, military installations, etc.) seek programmatic prescriptions that will facilitate streamlined environmental review, result in expedited authorization for development projects, and protect listed and unlisted species into the foreseeable future to avoid or minimize conflicts between proposed development and species' conservation and recovery. All of the scientific data available concerning the biology and management of these approximately 80 species and their habitats must be evaluated to develop a scientifically credible plan. This document provides an overview and evaluation of the knowledge of the major threats to the persistence and recovery of desert tortoise populations. I was specifically asked to evaluate the scientific veracity of the data and reports available. I summarize the data presently available with particular focus on the West Mojave Desert, evaluate the scientific integrity of the data. and identify major gaps in the available knowledge. I do not attempt to provide in-depth details on each study or threat; for more details I encourage the reader to consult the individual papers or reports city throughout this report (many of which are available at most university libraries and at the West Mojave Plan office in Riverside, California). I also do not attempt to characterize or evaluate the past or present management actions, except where they have direct bearing on evaluation of threats, nor do I attempt, for the most part, to acquire, generate, or evaluate new or existing, but uninterpreted data.

California↗

Preliminary geophysical characterization of two oil production sites, Osage County, Oklahoma - Osage Skiatook Petroleum Environmental Research Project

Ground electromagnetic and dc resistivity geophysical surveys were used to interpret the subsurface distribution of salinized soil, water, and bedrock at two sites (A and B) and to characterize the larger scale hydrologic setting. Measurements were made on grids of about 1000 square meters using a very shallow penetrating (less than 10 m) electromagnetic (EM) geophysical system (EM31). At site A, high subsurface conductivities (more than 100 millisiemens per meter) found below disposal ponds extended down the local hydrologic gradient to below the normal level of near by Lake Skiatook. At site B, areas of highest subsurface electrical conductivity were offset about 10 m from the center of salt scars. The area of high subsurface electrical conductivity extends in the subsurface below the normal level of Skiatook Lake. DC resistivity soundings were made in and around the two sites in order to characterize deeper (30-60 m) electrical properties of the subsurface lithology and ground water. These soundings indicate that the tight shale that dominates the local lithology is moderately electrically conductive (5 milliseimems per meter). DC soundings done in several areas at the Skiatook Lake shoreline indicate an electrically conductive (less than 10 millisiemens per meter) zone exists below the shore even away from the oil production sites. This conductive zone may indicate a mixing between fresh lake water and local ground water that has high dissolved solids. Borehole geophysical logs at site B and laboratory rock property measurements are currently being used to refine interpretation of ground geophysical measurements.

Oklahoma↗

Importance of the Mississippi River Basin for investigating agricultural–chemical contamination of the hydrologic cycle

This special issue is devoted to recent and ongoing research relating to the fate and transport of agricultural chemicals in the Mississippi River Basin by the US Geological Survey Toxic Substances Hydrology (Toxics) Program. The Mississippi River Basin drains approximately 3 200 000 km 2 representing 41% of the United States. This is the largest river in the United States and the third largest in the world. The Mississippi River discharges an average of 19 920 m 3 /s of water into the Gulf of Mexico. The river is an extensively used resource, supplying drinking water to 70 cities in the United States. The Mississippi River Basin has undergone dramatic land use and cultural changes over the last 150 years. Approximately 70 million people now live within the basin, representing approximately 27% of the nation's population. This basin has also become one of the most productive agricultural regions in the world in terms of both crops and livestock grown. Approximately 65% of the nation's harvested cropland is grown in this basin, with more than 100 000 metric tons (t) of pesticides and approximately 6 500 000 t of commercial nitrogen fertilizers applied to cropland within the basin annually. The drainage of more than 20 000 000 ha within the basin has been enhanced by means of tile lines and ditches to lower the water table to make the cropland more productive. While removing the water from the soil as intended, this practice also leads to more rapid transport of contaminants to the river, and ultimately the Gulf of Mexico. Furthermore, the extensive chemical use in the Mississippi River Basin has led to the transport of pesticides and nitrate into the region’s streams, aquifers, and atmosphere. An estimated 1 000 000 t of nitrate-N is transported from the Mississippi River Basin into the Gulf of Mexico annually. The peak annual load of herbicides to the Gulf of Mexico has been documented at 1920 t. The fundamental goal of the papers presented in this volume is to provide a scientific basis for decisions necessary to promote sound and efficient agricultural practices and protect the quality of the nation's water resources.

Science of the Total Environment↗

Social vulnerability and water insecurity in the western US: A systematic review of framings, indicators, and uncertainty

Water insecurity poses a complex challenge for the western United States. Large populations are exposed and susceptible to physical and social factors that can leave them with precarious access to sufficient water supplies. Consideration of social issues by water managers can help ensure equitable supply. However, how social factors affect water insecurity conditions remains unclear. This paper reviews literature on how social vulnerability influences water insecurity in the western United States. Through a meta-analysis, indicators measuring how dimensions of social vulnerability influence water insecurity were classified and hierarchical clustering was used to characterize the relationships among these vulnerability dimensions for the largest water-users—the agricultural and municipal sectors. The study then assessed uncertainty associated with social vulnerability dimensions and their indicators. There is greatest evidence for the influence of demographic characteristics, socioeconomic status, and exposure. Indicators of these determinants were mainly significant and exacerbated conditions of water insecurity. Evidence for indicators of social dependence and special needs populations was limited, although studies assessing these factors showed significant agreement on their influence on water insecurity. Conceptual framings of social vulnerability and water security determined which indicators were measured, whereas studies of the water-use sectors focused on differing associations of social vulnerability. These findings indicate the importance of recognizing the different contexts posed by water-use sectors and diverse conceptual framings. Further, some determinants such as living conditions remain important but underexplored drivers of a community's experience of water insecurity. Understanding the uncertainty associated with these measures has implications to equitable decision making.

Water Resources Research↗

Performance of map symbol and label design with format and display resolution options through scale for the national map

Symbol and label design for U.S. topographic mapping using data from The National Map has been progressing, partly in support of research by Buttenfield and Stanislawski on hydrographic generalization, and is sponsored by CEGIS, the USGS Center of Excellence for Geospatial Information Science. The work also seeks to make the best use of GIS for map design that requires no hand-work to make custom adjustments for readable displays. Users of electronic topographic map products may use U.S. topographic maps in multiple media, so the robustness of the designs will be tested across varied landscape regimes and through scale. Maps from hydrographic subbasins in Missouri, West Virginia, Florida-Georgia, Colorado, Utah, Texas, and urban areas of Saint Louis, and Atlanta are evaluated at six scales from 1:24,000 to 1:1,000,000. Map segments for the evaluation are selected to cover a wide sampling of symbol combinations and labeling challenges. Maps are examined on-screen in ArcGIS (MXD) and as a PDF export on-screen. Onscreen views are examined at 96 ppi, common for Windows desktop computer screens, and 130 ppi, representing the higher resolution that laptop computer screens offer. The goal of the work is to systematically refine the map symbols and labels so the resulting map performs well in all of these forms through all scales.

Conference Paper↗

Assessing gas leakage potential into coal mines from shale gas well failures: Inference from field determination of strata permeability responses to longwall-induced deformations

This paper summarizes the changes in permeability at three boreholes located above an abutment pillar at a longwall coal mine in southwestern Pennsylvania. The motivation of this study was to better characterize the potential interaction between shale gas wells and the mine environment, through measurement of permeability changes in the coal mine overburden caused by mining-induced deformations. Measuring permeability changes around boreholes affected by longwall mining is an effective method to indicate changes in the fracture network above longwall abutment pillars and estimate the capacity for gas flow from shale gas wells to the mine environment. This study measured permeability through falling-head slug tests at different longwall face positions during the mining of two longwall panels on either side of the test abutment pillar where the test boreholes were located. Three test boreholes were drilled to different depths above the active mining level, and they had screened intervals to evaluate the response of different stratigraphic zones to mining-induced stresses. The results showed that the permeability around the slotted intervals of each borehole increased pre-mining to post-mining, and the permeability increased from mining of the first longwall panel to mining of the second one, adjacent to the pillar.

Natural Resources Research↗

Source and progression of a submarine landslide and tsunami: The 1964 Great Alaska earthquake at Valdez

Like many subduction zone earthquakes, the deadliest aspects of the 1964 M = 9.2 Alaska earthquake were the tsunamis it caused. The worst of these were generated by local submarine landslides induced by the earthquake. These caused high runups, engulfing several coastal towns in Prince William Sound. In this paper, we study one of these cases in detail, the Port Valdez submarine landslide and tsunami. We combine eyewitness reports, preserved film, and careful posttsunami surveys with new geophysical data to inform numerical models for landslide tsunami generation. We review the series of events as recorded at Valdez old town and then determine the corresponding subsurface events that led to the tsunami. We build digital elevation models of part of the pretsunami and posttsunami fjord‐head delta. Comparing them reveals a ~1500 m long region that receded 150 m to the east, which we interpret as the primary delta landslide source. Multibeam imagery and high‐resolution seismic reflection data identify a ~400 m wide chute with hummocky deposits at its terminus, which may define the primary slide path. Using these elements we run hydrodynamic models of the landslide‐driven tsunamis that match observations of current direction, maximum inundation, and wave height at Valdez old town. We speculate that failure conditions at the delta front may have been influenced by manmade changes in drainage patterns as well as the fast retreat of Valdez and other glaciers during the past century.

Alaska↗

Littoral Assessment of Mine Burial Signatures (LAMBS) buried land mine/background spectral signature analyses

The objective of the Office of Naval Research (ONR) Rapid Overt Reconnaissance (ROR) program and the Airborne Littoral Reconnaissance Technologies (ALRT) project's LAMBS effort is to determine if electro-optical spectral discriminants exist that are useful for the detection of land mines in littoral regions. Statistically significant buried mine overburden and background signature data were collected over a wide spectral range (0.35 to 14 ??m) to identify robust spectral features that might serve as discriminants for new airborne sensor concepts. LAMBS has expanded previously collected databases to littoral areas - primarily dry and wet sandy soils - where tidal, surf, and wind conditions can severely modify spectral signatures. At AeroSense 2003, we reported completion of three buried mine collections at an inland bay, Atlantic and Gulf of Mexico beach sites.1 We now report LAMBS spectral database analyses results using metrics which characterize the detection performance of general types of spectral detection algorithms. These metrics include mean contrast, spectral signal-to-clutter, covariance, information content, and spectral matched filter analyses. Detection performance of the buried land mines was analyzed with regard to burial age, background type, and environmental conditions. These analyses considered features observed due to particle size differences, surface roughness, surface moisture, and compositional differences.

Conference Paper↗

Assessment of calcium status in Maine forests: Review and future projection

Forest harvesting and acidic deposition can cause substantial decreases in the calcium (Ca) inventory of forest soils if such losses are not replenished through mineral weathering, atmospheric deposition, or fertilization. The net balance between losses and gains defines the forest Ca status. Site-specific studies have measured Ca pools and fluxes in Maine forests, but no synthesis has been published. In this paper, I review the literature on forest Ca and assess the current status and potential future trends. Forest soils in Maine are currently at lesser risk of Ca depletion compared with many forest soils in the central and southeastern United States, because levels of acidic deposition and rates of Ca accumulation in trees are lower in Maine. The rate of Ca accumulation in trees is reduced in Maine as a result of lower growth rates and a higher proportion of conifer trees that require less Ca than hardwoods. However, field-scale biogeochemical studies in Maine and New Hampshire, and regional estimates of harvest removals and soil inventories coupled with low weathering estimates, indicate that Ca depletion is a realistic concern in Maine. The synthesis of site-specific and regional data for Maine in conjunction with the depletion measured directly in surrounding areas indicates that the Ca status of many forest soils in Maine is likely declining. Ca status could decrease further in the future if forest growth rates increase in response to climate trends and recovery from insect-induced mortality and excessive harvesting in recent years. Proposed climate change induced reductions in spruce and fir and increases in hardwoods would also increase the risk of Ca depletion. ?? 2005 NRC.

Canadian Journal of Forest Research↗

Imaging spectroscopy: Earth and planetary remote sensing with the USGS Tetracorder and expert systems

Imaging spectroscopy is a tool that can be used to spectrally identify and spatially map materials based on their specific chemical bonds. Spectroscopic analysis requires significantly more sophistication than has been employed in conventional broadband remote sensing analysis. We describe a new system that is effective at material identification and mapping: a set of algorithms within an expert system decision‐making framework that we call Tetracorder. The expertise in the system has been derived from scientific knowledge of spectral identification. The expert system rules are implemented in a decision tree where multiple algorithms are applied to spectral analysis, additional expert rules and algorithms can be applied based on initial results, and more decisions are made until spectral analysis is complete. Because certain spectral features are indicative of specific chemical bonds in materials, the system can accurately identify and map those materials. In this paper we describe the framework of the decision making process used for spectral identification, describe specific spectral feature analysis algorithms, and give examples of what analyses and types of maps are possible with imaging spectroscopy data. We also present the expert system rules that describe which diagnostic spectral features are used in the decision making process for a set of spectra of minerals and other common materials. We demonstrate the applications of Tetracorder to identify and map surface minerals, to detect sources of acid rock drainage, and to map vegetation species, ice, melting snow, water, and water pollution, all with one set of expert system rules. Mineral mapping can aid in geologic mapping and fault detection and can provide a better understanding of weathering, mineralization, hydrothermal alteration, and other geologic processes. Environmental site assessment, such as mapping source areas of acid mine drainage, has resulted in the acceleration of site cleanup, saving millions of dollars and years in cleanup time. Imaging spectroscopy data and Tetracorder analysis can be used to study both terrestrial and planetary science problems. Imaging spectroscopy can be used to probe planetary systems, including their atmospheres, oceans, and land surfaces.

Journal of Geophysical Research E: Planets↗