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Reservoir evolution, downstream sediment transport, downstream channel change, and synthesis of geomorphic responses of Fall Creek and Middle Fork Willamette River to water years 2012–18 streambed drawdowns at Fall Creek Lake, Oregon

Released May 17, 2024 15:00 EST

2024, Scientific Investigations Report 2023-5135

Mackenzie K. Keith, J. Rose Wallick, Liam N. Schenk, Laurel E. Stratton Garvin, Gabriel W. Gordon, Heather M. Bragg

Executive Summary

Chapter A. Introduction

Fall Creek Dam impounds Fall Creek Lake, a 10-kilometer-long reservoir in western Oregon and is operated by the U.S. Army Corps of Engineers (USACE) primarily for flood-risk management (or flood control) in late autumn through early spring months, as well as for water quality, irrigation, recreation, and habitat in late spring through early autumn. Since 2011 (water year [WY] 2012), Fall Creek Lake has been temporarily drawn down each year to facilitate downstream passage of juvenile spring Chinook salmon (Oncorhynchus tshawytscha) through the 55-meter (m) high dam. This annual dam operation is temporary, typically lasting about 1–2 weeks from WY 2012 through 2020 (drawdown operations in WY 2022–24 have increased to more than 6 weeks). Drawdown of the reservoir results in lake levels being lowered to the elevation near the historical, pre-dam streambed. The annual streambed drawdowns of WY 2012–18 have improved fish passage and led the USACE to formally adopt streambed drawdowns as part of annual operations at Fall Creek Dam. However, temporarily lowering the lake to streambed creates free-flowing conditions in the reservoir that result in the erosion and episodic export of predominantly sand and finer-grained sediments (less than 2 millimeters [mm]) to the lower gravel-bed reaches of Fall Creek and the Middle Fork Willamette River. The introduction of large volumes of sand and finer-grain sediment into the dam-regulated reaches downstream from Fall Creek Dam prompted questions about the geomorphic responses to annual streambed drawdowns within Fall Creek Lake and downstream reaches along Fall Creek and the Middle Fork Willamette River. The U.S. Geological Survey (USGS) in partnership with USACE initiated a comprehensive geomorphic and sediment transport investigation to assess the coupled processes of reservoir erosion, sediment evacuation from Fall Creek Lake, and patterns of sediment transport and deposition in reaches downstream from the Fall Creek Dam that have resulted from annual streambed drawdowns.

The purpose of this report is to systematically describe the processes of sediment erosion, transport, and deposition at Fall Creek Lake and geomorphic interactions between reaches upstream and downstream from Fall Creek Dam that relate to dam operations. Specifically, this report focuses on evaluating geomorphic responses to streambed drawdowns from WY 2012 through 2018 and placing drawdown-induced geomorphic responses within the broader context of physiographic and historical conditions and dam operations of Fall Creek and Middle Fork Willamette Rivers. Key objectives for this study were to characterize changes in reservoir morphology and substrate at Fall Creek Lake, describe the character and temporal pattern of sediment transport downstream from Fall Creek Dam, characterize geomorphic changes in channel reaches downstream from the Fall Creek Dam, and relate these data to the annual streambed drawdowns of WY 2012–18. This study uses multiple independent monitoring and measurement approaches to assess site, reach, and river-scale geomorphic responses to drawdowns to inform dam and reservoir management. Patterns and processes of reservoir evolution were assessed with geomorphic mapping and volumetric analyses of topography through comparison of multiple digital surface models (DSMs). Just downstream from Fall Creek Dam, analyses of sediment export from the reservoir focused on suspended sediment but also incorporated bedload analyses to assess sediment sizes. Geomorphic assessments downstream from the dam used reach-scale and site-scale approaches to document changes in channel morphology and substrate, including site measurements of sand and finer-grained sediment deposition and in-channel bed-material, volumetric change analyses from comparison of digital elevation models (DEMs), and repeat geomorphic mapping. Findings from this study inform river management and dam operations by providing an understanding of (1) coupled upstream-downstream geomorphic responses to the Fall Creek Lake streambed drawdowns, (2) geomorphic responses of Fall Creek Lake streambed drawdowns in comparison to drawdowns at other large dams, (3) controls on reservoir erosion and downstream geomorphic responses, and (4) implications for future hydrogeomorphic changes that may result from continued drawdowns and monitoring activities to assess those changes.

Chapter B. Reservoir Morphology and Evolution Related to Dam Operations at Fall Creek Lake

To understand the volume and distribution of sediment accumulation in Fall Creek Lake since dam closure in 1965, decadal-scale sedimentation patterns (spanning approximately 1965–2016) are evaluated using a combination of storage curve analyses and geomorphic mapping. Short-term (drawdown event-scale) patterns of erosion, sedimentation, and sediment export downstream are evaluated using a combination of geomorphic mapping and change detection analyses that quantify the distribution and total volume of sediment erosion and deposition within Fall Creek Lake.

Geomorphic mapping of reservoir topography and analyses of historical datasets reveals four categories of landforms and sediment processes within Fall Creek Lake related to lake level operations:

  • lacustrine sedimentation expressed in the reservoir floor,
  • fluvial erosion and deposition within historical stream channels during streambed drawdowns,
  • channel-like features created by erosion within the reservoir floor during streambed drawdowns, and
  • erosion on reservoir hillslopes.

Where the reservoir floor is mapped for this study as pelagic (deep water), deposition up to 3 meters (m) thick by lacustrine processes and burial of pre-dam topography with deposits thinning toward the edges of the valley floor and upstream areas of reservoir are observed. Despite over 50 years of sediment accumulation since dam construction, the main stream channels of Fall and Winberry Creeks (or reservoir thalwegs) through the reservoir are well defined, though their distinct morphology is likely influenced by a long history of recurring historical drawdowns to or near streambed since dam construction. Unregulated streamflow and sediment transport through the reservoir primarily are confined to these channels during the streambed drawdown periods. Erosional channel-like features created by drawdowns are carved through underlying, unconsolidated reservoir floor sediments and are most prominent in the lower reservoir below minimum conservation pool (the low pool elevation during winter flood season); sediment generated from the formation of these drawdown channels is more likely to be transported through and out of the reservoir than sediment deposits along the reservoir hillslopes at the valley margins that are separated from main channels by areas of low-gradient reservoir floor. Morphologic changes in the lower reservoir topography between January 2012 and November 2016 indicate overall net erosion of about 129,500 cubic meters (m3). The most prominent geomorphic changes occurred along the main channels of Fall and Winberry Creeks near the Fall Creek Dam where incision, lateral migration, and slumping banks resulted in vertical and lateral adjustments to channel position, whereas most changes fell below the detectable limit on higher-elevation reservoir floor surfaces except where erosion occurred along features mapped as drawdown channels.

Chapter C. Sediment Delivery from Fall Creek Lake and Transport through Downstream Reaches

USGS implemented a sediment monitoring program in WY 2013–18 to evaluate the quantity and character of reservoir sediment exported from Fall Creek Lake during streambed drawdowns. Turbidity and suspended sediments were monitored annually autumn through spring to span the WY 2013–18 streambed drawdowns; however, unequal monitoring timeframes each year reduced the ability to compare results and factors affecting sediment export from the reservoir difficult between years. These data were originally measured to develop regressions and compute suspended-sediment loads (SSL). Bedload sediment monitoring from a cableway at the Fall Creek streamgage was completed in the autumn-winter of WY 2013 and 2017. The limited number of samples and presumed variability in sediment supply from the reservoir precluded construction of streamflow and bedload discharge relations to compute more than instantaneous bedload.

Sand and finer-grained silts and clays were transported from the reservoir in suspension, though some coarser grains (up to 32 mm) were also mobilized and transported downstream from the dam as bedload. Observations of increased sediment transport downstream from Fall Creek Dam coincided with lake levels approaching about 3 m (10 feet [ft] or elevation 690 ft) above the streambed regulating outlets. Suspended-sediment loads computed for the full monitoring periods WY 2013–18 at the Fall Creek streamgage, located 1.4 kilometers (km) downstream from Fall Creek Dam, range from 54,700 metric tons (t) in WY 2013 to 13,900 t in WY 2018. Although the total annual SSL varied from year to year, the overall seasonal patterns of suspended sediment transport throughout each year were similar during monitoring in WY 2013-18. Suspended-sediment loads were low prior to the drawdown, then increased rapidly as lake levels lowered and approached the streambed. In the weeks following the drawdown period, as pool levels were increased, SSL remained slightly elevated above pre-drawdown levels but generally declined through the following winter and spring except during streamflow-driven pulses of suspended-sediment transport. WY 2013 had the greatest total computed SSL for each streambed drawdown and partial-year monitoring period. SSL computed for the partial-year period have generally decreased since WY 2013 and have varied by about 6,800 t with the exception of WY 2014. WY 2014 SSL reflects anomalously low sediment export due to low streamflows and freezing conditions that stabilized reservoir floor deposits. Bedload measurements in the short 1.4-km reach between Fall Creek Dam and the Fall Creek streamgage showed an inverse correlation between bedload transport rates and discharge, which probably reflects diminishing supply of coarse-sized sediment. Sand was more abundant (60–100 percent) than gravel in bedload samples confirming sand and finer-grained sediment dominated sediment evacuated from the reservoir during streambed drawdowns at Fall Creek Lake.

Chapter D. Geomorphic Responses to Fall Creek Lake Streambed Drawdowns Downstream from Fall Creek Dam

In the days, weeks, and months following streambed drawdown operations at Fall Creek Dam through WY 2018, sites downstream from the dam displayed a variety of geomorphic responses to reservoir sediment delivery within the main channel and overbank areas. Evaluation of streambed elevations at two streamgages located 1.4 km downstream from the dam on Fall Creek and 16.3 km downstream from the dam on the Middle Fork Willamette River indicated the effects of drawdown sediment on bed elevations were modest and transient. Repeat particle size measurements (October 2015 and September 2016) at five sites along Fall Creek and the Middle Fork Willamette River showed similar grain-sized distributions that do not reveal substantial deposition of fine-grained sediment related to the WY 2016 streambed drawdown. Altogether, these findings indicate that transport capacity in the main, low-flow channels of Fall Creek and Middle Fork Willamette River during WY 2012–18 was sufficient to mobilize and evacuate reservoir sediments from streambed drawdowns or other bank material and tributary sources. However, other monitoring for this study indicate low-velocity zones in off-channel areas are prime locations for sand and finer-grain sediment deposition. Patterns of overbank sediment accumulation indicate that the magnitude and timing of overbank deposition on bars and low-elevation floodplain varies with proximity to the dam, geomorphic setting, streamflows, and other factors. Sand and finer-grained reservoir sediments carried as suspended-sediment load in the reaches downstream from Fall Creek Dam were deposited in overbank areas as observed with clay-horizon markers during WY 2016–17. Overbank deposition quantified with Geomorphic Change Detection (GCD) software evaluated landform-scale patterns of erosion and deposition using repeat light detection and ranging (lidar) surveys at two sites in the Upper Fall Creek reach and one site in the Jasper reach for 3 years (2012–15) and one site in the Clearwater reach for 6 years (2009–15). Deposition thickness and spatial patterns from the GCD analysis were variable; some sites had dispersed but measurable deposition while at others, deposition was highly localized and exceeded 1 m in depth. Patterns of overbank deposition illustrate interactions among bar morphology, local hydraulics, and suspended-sediment transport dynamics that can create patches of highly localized deposition. The measured deposition at the two Fall Creek GCD sites likely resulted from reservoir sediments released from Fall Creek Lake during streambed drawdowns in WY 2016 and 2017 because the limited sediment inputs from bank material (geomorphically laterally stable reach) or tributaries (no significant tributaries) provided few other sediment sources. On the Middle Fork Willamette River, observed patterns of overbank deposition could reflect sediment sourced from upstream tributaries, bank erosion, or Fall Creek Lake streambed drawdown operations.

Despite the introduction of several thousand tons of reservoir sediment delivered from the Fall Creek Lake streambed drawdowns to below-dam river corridors, reach-scale mapping of channel features downstream from Fall Creek Dam shows minimal evidence of changes in channel planform or landforms that can be attributed to a drawdowns in WY 2012–16. On Upper Fall Creek reach, widespread increases in gravel bars or other in-channel sediment did not result from the five streambed drawdowns. The main changes attributable to sediment releases from Fall Creek Lake were localized increases in vegetated bar area, particularly on channel margin areas where sand and finer-grain sediment was deposited and rapidly colonized by vegetation. The area of mapped secondary water features decreased between 2005 and 2016, but that may be due to lower discharges depicted in the 2016 aerial photographs and less mapped area of inundation. Primary changes along the Lower Fall Creek reach include a 6.4 percent decrease in area of secondary water features between 2011 and 2016, and a nearly twofold increase in the area of unvegetated bars. Immediately downstream from the Fall Creek confluence, there were negligible changes in the location and areas of vegetated bars and the main wetted channel between 2005 and 2016, and local increases in bar area cannot be attributed solely to deposition of reservoir sediments from Fall Creek Lake because (1) areas along the Middle Fork Willamette River just upstream from the Fall Creek confluence display similar type and magnitude of changes and (2) some of the increases at the confluence area pre-date the drawdowns. The cumulative effect of sediment releases from Fall Creek Lake streambed drawdowns from WY 2012 to 2016 on downstream channel planform and landforms are modest compared to the river-scale transformations and planform changes that occurred in the decades following dam construction.

Chapter E. Discussion of Geomorphic Responses of Fall Creek and Middle Fork Willamette River to Streambed Drawdowns at Fall Creek Lake

Multiple aspects of Fall Creek Dam infrastructure and operations exert first-order controls on the magnitudes of reservoir erosion that occur during the streambed drawdowns and ultimately determine the sediment delivery to downstream reaches. Key aspects of the dam and its operations that are most relevant to assessing geomorphic responses to streambed drawdowns include the (1) dam infrastructure, including configuration and size of regulating outlets and their proximity to the streambed which dictates the capacity and competence of the river to deliver sediment to downstream reaches and mode of sediment transport as suspended-sediment load or bedload; (2) frequency of historical drawdowns and long-term, year-round dam operations and lake level management, which partly dictate reservoir morphology and locations and magnitudes of readily erodible materials; (3) dam operations and hydroclimatic conditions during the streambed drawdown (including length of the drawdown and streamflows entering the reservoir), which directly control the timing, duration and magnitude of reservoir erosion and sediment evacuation; and (4) dam operations following the streambed drawdown operation that regulate streamflows (and thereby sediment transport conditions) downstream of Fall Creek Dam which primarily reflect interactions between hydroclimatic conditions and flood control operations.

Patterns of sediment erosion and evacuation observed in this study at Fall Creek Lake from WY 2012–18 suggest that reservoir erosion during annual streambed drawdowns may remain similar or decrease in future years assuming (1) annual streambed drawdown operations are implemented in similar manner as the WY 2012–18 drawdowns (in terms of duration, late autumn or early winter implementation, rate of pool-level lowering to reach streambed, and other factors), (2) streambed drawdowns coincide with similar conditions as were observed WY 2012–18 (similar sediment yield into reservoir, low reservoir inflows, limited precipitation, moderate air temperature), and (3) no major geomorphic changes in the main reservoir channels of Fall and Winberry Creeks occur (for example, channel avulsion). Under such conditions, it is hypothesized that the stream channel within the reservoir would achieve a quasi-equilibrium state with respect to annual influx and export of sediment and aided by the substantial amount of in-channel bedrock, will remain laterally stable without erosion across reservoir deposits.

Patterns of sediment transport measured at the Fall Creek streamgage downstream from Fall Creek Dam provide insight into the potential effects of future streambed drawdowns at Fall Creek Lake. Analyses of suspended sediment measured in WY 2013–18 show a major reduction in suspended-sediment loads between WY 2013 and later years, indicating streamflows transporting sediment through the reservoir to downstream reaches during streambed drawdowns have become supply limited. The 6-year suspended-sediment monitoring and sampling program is insufficient to make predictions about future sediment transport conditions because of uneven monitoring periods and varying controls on reservoir sediment erosion. It is likely that future suspended-sediment loads will be variable but similar to those observed in WY 2015–18 if operational, climatic, and geomorphological factors remain similar to those monitored WY 2015–18. Suspended-sediment loads downstream from Fall Creek Lake will likely remain highest when regulating outlets are fully open and Fall Creek is free flowing with the reservoir fully drained with little to no residual pool. Over time, it is possible that the suspended-sediment loads would reflect mobilization of reservoir sediment deposited in the previous year rather than erosion of sediment deposited years or decades earlier. Bedload is likely to remain a small fraction of the total sediment load evacuated from the reservoir and is relatively modest compared with pre-dam bedload transport rates because most coarse sediment remains trapped by the dam.

If sediment releases from Fall Creek Lake and ensuing streamflow conditions follow a similar pattern in the future as was assessed in this study spanning WY 2012–18, near-term geomorphic adjustments downstream of the dam are expected to be modest. Barring major operational, climatic, and geomorphological changes, local site-scale deposition on bars, overbank areas, or off-channel features that persists several months after the streambed drawdown will likely continue to be highly variable, ranging from negligible to several centimeters of deposition. At the landform-scale, low velocity areas nearest to Fall Creek Dam will likely continue to undergo rapid deposition immediately during and after a streambed drawdown event, similar to patterns observed for WY 2012–18. Some of the sediment entering these off-channel features and margin areas may be temporarily stored, then later remobilized and dispersed farther downstream. But if newly deposited sediment persists through the following spring, there is a greater likelihood that local vegetation will establish, reinforce deposited material, and trap sediment during later drawdowns. The reach-scale geomorphic changes may become more apparent if (1) streambed drawdowns continued for several decades, and geomorphic changes were measured at decadal scales or (2) the amount of sediment introduced to downstream reaches substantially increased and (or) sediment transport capacity decreased. The continued streamflow regulation of Fall Creek Dam after sediment releases provides an opportunity to strategically manage streamflows during and after the streambed drawdowns to minimize downstream sediment impacts and ensure other operational thresholds are satisfied.

This study provides a comprehensive foundation of datasets and geomorphic analyses to inform dam operations at Fall Creek Lake, monitor sediment transport downstream, and consider operational schemes for future drawdowns. The datasets from this study also provide baselines of sediment transport and geomorphic conditions to assess future changes in reservoir and downstream environments. Future monitoring could be tailored to address specific questions regarding the long-term geomorphic effects of streambed drawdowns on fluvial habitats, flood hazards, cultural resources, or downstream water quality. Future monitoring activities could focus on the relevant geomorphic processes and spatial domains within the three categories used for this study: (1) reservoir erosion and net sediment evacuation, (2) sediment delivery to downstream reaches, including magnitude and temporal pattern of sediment transport, and (3) geomorphic responses of downstream reaches to sediment delivery. Specifically, high priority future monitoring activities could include:

  • Repeat topographic or photographic surveys in the reservoir to characterize changes occurring within individual drawdowns, to quantify sediment export, to determine temporal changes in reservoir storage, and to identify locations of erosion and deposition.
  • Continuous, year-round turbidity monitoring supplemented with suspended-sediment measurements at a streamflow-gaging station immediately downstream from the dam to quantify sediment export.
  • Repeat geomorphic monitoring, mapping, or modeling in downstream reaches to track changes in channel and over bank features using a combination of site- and reach-scale monitoring approaches. This could support assessments of sediment deposition and ensuing vegetation encroachment on flood hazards and habitats and examine how sediment transport and depositional processes may be affected by different sediment supply, streamflow, or dam management scenarios.

Zebra and Quagga mussels in the United States—Dreissenid mussel research by the U.S. Geological Survey

Released May 17, 2024 11:00 EST

2024, Fact Sheet 2024-3009

Cayla R. Morningstar, Patrick M. Kočovský, Michael E. Colvin, Timothy D. Counihan, Wesley M. Daniel, Peter C. Esselman, Cathy A. Richter, Adam J. Sepulveda, Diane L. Waller

The U.S. Geological Survey (USGS) delivers high-quality data, technologies, and decision-support tools to help managers both reduce existing populations and control the spread of dreissenid mussels. The USGS researches ecology, biology, risk assessment, and early detection and rapid response methods; provides decision support; and develops and tests control measures.

Distribution and abundance of Southwestern Willow Flycatchers (Empidonax traillii extimus) on the Upper San Luis Rey River, San Diego County, California—2023 data summary

Released May 17, 2024 08:03 EST

2024, Data Report 1194

Scarlett L. Howell, Barbara E. Kus

Executive Summary

We surveyed for Southwestern Willow Flycatchers (Empidonax traillii extimus; flycatcher) along the upper San Luis Rey River near Lake Henshaw in Santa Ysabel, California, in 2023. Surveys were completed at four locations: three downstream from Lake Henshaw, where surveys previously occurred from 2015 to 2022 (Rey River Ranch [RRR], Cleveland National Forest [CNF], Vista Irrigation District [VID]), and one at VID Lake Henshaw (VLH) that has been surveyed annually since 2018. There were a minimum of 74 territorial flycatchers detected at 1 location (VLH), and 12 transient flycatchers of unknown subspecies detected at 2 locations (CNF and VLH). At VLH, we detected a minimum of 31 males, 40 females, and 3 flycatchers of unknown sex. In total, 51 territories were established, containing 40 pairs and 11 flycatchers of undetermined breeding status (8 males and 3 flycatchers of unknown sex). Of the 40 pairs, 9–11 pairs were monogamous (1 male and 1 female), and 29–31 pairs were polygynous (1 male paired with more than 1 female). For the first time since annual surveys began in 2015, no territorial flycatchers were detected downstream from Lake Henshaw. Brown-headed cowbirds (Molothrus ater; cowbird) were detected at all four survey locations. No banded flycatchers were detected during surveys.

Flycatchers used three habitat types in the survey area: (1) mixed willow riparian, (2) willow-cottonwood, and (3) oak-sycamore. Of the flycatcher locations, 86 percent were in habitat characterized as mixed willow riparian, and 95 percent were in habitat with greater than 95-percent native plant cover. Exotic vegetation was not prevalent in the survey area.

There were five nests incidentally located during surveys: one failed, one was seen with eggs on the last visit, and the outcome of the remaining three nests was unknown. One of these nests was parasitized by cowbirds, and a second nest was suspected to contain a cowbird nestling. Adult flycatchers in two territories were observed feeding cowbird fledglings. No juvenile flycatchers were detected during surveys.

U.S. Geological Survey data strategy 2023–33

Released May 15, 2024 12:45 EST

2024, Circular 1517

Vivian B. Hutchison, Thomas E. Burley, Kyle W. Blasch, Paul E. Exter, Gregory L. Gunther, Aaron J. Shipman, Courtney M. Kelley, Cheryl A. Morris

The U.S. Geological Survey (USGS) has long recognized the strategic importance and value of well-managed data assets as an integral component of scientific integrity and foundational to the advancement of scientific research, decision making, and public safety. The USGS investment in the science lifecycle, including collection of unbiased data assets, interpretation, peer review, interpretive publications, and data release, ultimately contributes to the transparency and availability of science. Foundational Government directives and laws, such as the Foundations for Evidence-Based Policymaking Act of 2018 (Public Law 115–435, 132 Stat. 5529) as well as Executive Order 13642, “Making Open and Machine Readable the New Default for Government Information,” provide a framework for addressing strategic data management. The USGS Data Strategy builds on that framework by outlining high-level goals and objectives that serve as a long-term, decadal guide toward achieving a broad, data-focused vision.

Benefits of the USGS Data Strategy are many. The USGS will contribute to open science by increasing efficiencies in the consistent management of valuable data assets; driving innovation that results in modernized capabilities to ensure data are analysis ready; increasing data skills across the Bureau to enhance workforce data literacy; broadening capacity to understand and address needs of stakeholders; and measuring progress in producing findable, accessible, interoperable, and reusable (FAIR) data products.

The major goals and objectives of the USGS Data Strategy promote maximizing the utility of USGS data based on stakeholder needs, promoting data innovation, coordinating common data practices, modernizing our USGS enterprise data architecture, and enhancing our data-centric culture. The goals and objectives in the strategy align with other Bureau strategic plans, guidance, and directives from the Department of the Interior and the Federal Government. This strategy is a key component to strengthen the Bureau’s data ecosystem to ensure a relevant, long-term capacity that supports internal needs and achieves its scientific mission in the most efficient and effective manner.

U.S. Geological Survey—Northern Prairie Wildlife Research Center 2021–23 research activity report

Released May 15, 2024 07:05 EST

2024, Circular 1512

Mark H. Sherfy, editor(s)

The mission of Northern Prairie Wildlife Research Center is to provide scientific information needed to conserve and manage the Nation’s natural capital for current and future generations, with an emphasis on migratory birds, Department of the Interior trust resources, and ecosystems of the Nation’s interior. This report provides an overview of the studies conducted at Northern Prairie during fiscal years 2021–23 in pursuit of this mission. Studies are organized under a framework developed by the U.S. Geological Survey Ecosystems Mission Area, identifying primary and secondary alignment with focal areas of research, and summarizing recent scientific products resulting from these studies. Partnerships with Federal, State, and non-Governmental organizations are essential to a robust program of applied ecological research, and we thank our many collaborators and colleagues whose contributions made this work possible.

Grand challenges in anticipating and responding to critical materials supply risks

Released May 15, 2024 06:37 EST

2024, Joule (8) 1208-1233

Anthony Ku, Elisa Alonso, Rod Eggert, Thomas Graedel, Komal Habib, Alessa Hool, Toru Muta, Dieuwertje Schrijvers, Luic Tercero, Tatiana Vakhitova, Constanze Veeh

Critical materials are resources that are vulnerable to supply disruptions, where those disruptions can have significant adverse impacts on society. In the coming years, materials supply risks associated with the energy transition and geopolitics are likely to intensify and new risks are expected to emerge. This perspective identifies three “Grand Challenges” that represent frontier areas for critical materials research and highlights some promising new directions for each area: (1) extending visibility downstream to value-added materials beyond elemental forms; (2) quantifying the risks associated with market dynamics; and (3) developing tools to inform policy interventions. Emerging digital capabilities have the potential to play a significant role addressing long-standing limitations in data quality and access to unlock progress on these challenges. Progress in these areas can equip decision-makers across industry, government, and finance with tools to understand the complexity and uncertainty introduced by these real-world challenges.

Evaporation from the interior of Lake Okeechobee—A large freshwater lake in Florida, 2013–16

Released May 14, 2024 14:30 EST

2024, Scientific Investigations Report 2024-5040

W. Barclay Shoemaker, Qinglong Wu

In 2012, a platform at the approximate center of Lake Okeechobee in central Florida was instrumented to continuously measure evaporation with the Bowen-ratio energy-budget method as part of a long-term partnership between the South Florida Water Management District and the U.S. Geological Survey. The primary goal for the study was to quantify daily rates of open-water evaporation. A secondary goal was to assess differences in evaporation rates among alternate methods and determine if instrumentation and operational expenses associated with the Bowen-ratio method could be reduced.

Mean annual evaporation from Lake Okeechobee for 2013–16 was about 1,825 millimeters per year. Annual evaporation from 2013 to 2016 was 1,760, 1,840, 1,810, and 1,890 millimeters per year, respectively. These evaporation rates are among the highest rates observed in Florida based on scientifically vetted methods such as evaporation pans, lysimeters, eddy-covariance, or Bowen-ratio methods. The high evaporation rates are largely a result of frequent clear-sky conditions over the interior of Lake Okeechobee, which allows solar radiation to reach the water surface and drive open-water evaporation. Cloud formation over the interior of Lake Okeechobee is suppressed because of a relatively large heat capacity for water that buffers convective fluxes of air that form clouds while rising and cooling.

Estimated evaporation rates obtained using five alternative methods were compared to measured Bowen-ratio energy-budget daily, monthly, and annual evaporation: the Penman, Priestly-Taylor, Mass-Transfer, Simple, and Turc equations. All five methods performed relatively well (within 10 percent of the Bowen ratio annual totals). The Penman, Priestley-Taylor, and Mass-Transfer methods captured relatively large evaporation rates that occurred in the winter due to cold fronts, because these methods account for large wind speeds and vapor pressure deficits associated with the regional cold fronts. For operational implementation, the Simple, Mass-Transfer, or Turc methods are likely preferable because of their simplicity, limited data requirements, and improved accuracy for computing monthly and annual evaporation totals. The Turc equation computed monthly evaporation within 8 percent of the Bowen-ratio method, while requiring only air temperature and solar radiation data. The Simple equation achieved similar accuracy while requiring only solar radiation data.

Status and understanding of groundwater quality in the Mojave Basin Domestic-Supply Aquifer study unit, 2018—California GAMA Priority Basin Project

Released May 14, 2024 14:02 EST

2024, Scientific Investigations Report 2024-5019

Krishangi D. Groover, Miranda S. Fram, Zeno F. Levy

Groundwater quality in the western part of the Mojave Desert in San Bernardino County, California, was investigated in 2018 as part of the California State Water Resources Control Board Groundwater Ambient Monitoring and Assessment Program Priority Basin Project. The Mojave Basin Domestic-Supply Aquifer study unit (MOBS) region was divided into two study areas—floodplain and regional—to assess differences between the two major aquifers used for drinking water supply in the area. This assessment characterized the quality of ambient groundwater and not the quality of treated drinking water.

The study included three components: (1) a status assessment, which characterized the quality of groundwater resources used for domestic drinking-water supply in the floodplain and regional study areas; (2) a brief understanding assessment, which evaluated factors that could potentially affect the quality of groundwater used by domestic wells in the region; and (3) a comparative assessment between the groundwater resources used by domestic wells and public-supply wells in the two study areas. The domestic-well assessment was based on data collected by the U.S. Geological Survey from 48 domestic wells in January–May 2018. The public-supply assessment was based on data for samples from 322 public-supply wells in 2008–18, either collected by the U.S. Geological Survey or compiled from the California State Water Resources Control Boards Division of Drinking Water publicly available database.

Concentrations of water-quality constituents in ambient groundwater were compared to regulatory and non-regulatory benchmarks typically used by the State of California and Federal agencies as health-based or aesthetic standards for public drinking water. Relative concentrations, defined as the measured concentration divided by the benchmark concentration, were classified as high (greater than 1.0), moderate (greater than 0.5 for inorganic constituents or 0.1 for organic and special-interest constituents, and not high), or low (concentrations lower than moderate). The floodplain and regional study areas were divided into 15 and 35 grid cells, respectively, and grid-based methods were used to compute the areal proportions of the two study areas with high, moderate, or low relative concentrations of individual constituents and classes of constituents.

For the domestic-supply assessment, one or more inorganic constituents with health-based benchmarks were detected at high relative concentrations in 58 percent of the regional study area and 13 percent of the floodplain study area. The inorganic constituents with health-based benchmarks detected at high relative concentrations in the regional study area were arsenic, chromium and hexavalent chromium, fluoride, adjusted gross alpha particle activity, uranium, molybdenum, strontium, and nitrate; only arsenic was detected at high relative concentrations in the floodplain study area. One or more inorganic constituents with secondary maximum contaminant level benchmarks were detected at high concentrations in 15 and 6.7 percent of the regional and floodplain study areas, respectively. The constituents detected at high relative concentrations in the regional study area were total dissolved solids, chloride, sulfate, and iron; only total dissolved solids and sulfate were detected at high relative concentrations in the floodplain study area.

Organic constituents were not detected at moderate or high relative concentrations in either the regional or floodplain study areas. Volatile organic compounds were detected at low relative concentrations in 21 and 27 percent of the regional and floodplain study areas, respectively, and pesticides were detected at low relative concentrations in 9.1 and 20 percent of the regional and floodplain study areas, respectively. The only individual organic constituent detected in more than 10 percent of either study area was the trihalomethane trichloromethane. Total coliform bacteria were detected in 15 and 27 percent of the grid wells in the regional and floodplain study areas, respectively.

The greater prevalence of high relative concentrations of many inorganic constituents in the regional study area compared to the floodplain area likely indicates the greater diversity of geologic material at depth in aquifer material and generally finer-grained alluvium compared to the floodplain study area combined with generally older groundwater that has had more contact time with aquifer materials. In general, trace element concentrations (1) increased with increasing groundwater age, (2) increased with distance from recharge sources in the mountains, and (3) increased with closer proximity to some types of geological units. In general, groundwater from domestic wells in the floodplain study area is young, with most samples containing a component of modern groundwater based on tritium and unadjusted carbon-14 activities, whereas groundwater from domestic wells in the regional study area generally is old, with most samples having unadjusted carbon-14 ages of 5,000–40,000 years.

Public-supply wells in MOBS generally were deeper than domestic wells and presumably are in contact with older, more weathered alluvium that may have more mobile trace elements, such as arsenic or uranium. However, only 26 percent of the public-supply regional study area had high relative concentrations of inorganic constituents, compared to 58 percent for the domestic regional study area. The percentages of the public-supply and domestic floodplain study areas with high relative concentrations of inorganic constituents were 11 and 13 percent, respectively. The ages of groundwater used by public-supply and domestic wells in each study area were similar, which was not expected given the greater depth of the public-supply wells. Three potential factors may contribute to these results: (1) greater spatial footprint of domestic well network, which may result in domestic wells pumping groundwater from fractured bedrock or mineralized areas not used by public-supply wells; (2) greater pumping rates in public-supply wells, resulting in more water being withdrawn from coarse-grained, heterogeneous alluvium than finer-grained layers, which may have higher concentrations of (or more mobile) inorganic constituents; and (3) a greater degree of well management with public-supply wells, which may include pausing use of or decommissioning wells if treating or blending water is not feasible to lower constituent concentrations.

Translocation in a fragmented river provides demographic benefits for imperiled fishes

Released May 14, 2024 08:47 EST

2024, Ecosphere (15)

Casey A. Pennock, Brian Daniel Healy, Matthew R. Bogaard, Mark C. McKinstry, Keith B. Gido, C. Nathan Cathcart, Brian Hines

Fragmentation isolates individuals and restricts access to valuable habitat with severe consequences for populations, such as reduced gene flow, disruption of recolonization dynamics, reduced resiliency to disturbance, and changes in aquatic community structure. Translocations to mitigate the effects of fragmentation and habitat loss are common, but few are rigorously evaluated, particularly for fishes. Over six years, we translocated 1215 individuals of four species of imperiled fish isolated below a barrier on the San Juan River, Utah, USA, that restricts access to upstream habitat. We used re-encounter data (both passive integrated transponder tag and telemetry detections and physical recaptures) collected between 2016 and 2023, to inform a spatially explicit multistate mark–recapture model that estimated survival and transition probabilities of translocated and non-translocated individuals, both below and above the barrier. Individuals of all four species moved large (>200 km) distances upstream following translocation, with the maximum upstream encounter distance varying by species. Results from the multistate mark–recapture model suggested translocated fish survived at a higher rate compared with non-translocated fish below the barrier for three of the four species. Above the barrier, translocated individuals survived at similar rates as non-translocated fish for bluehead sucker (Catostomus discobolus) and flannelmouth sucker (Catostomus latipinnis), while survival rates of translocated endangered Colorado pikeminnow (Ptychocheilus lucius; mean, 95% CI: 0.75, 0.55–0.88) and endangered razorback sucker (Xyrauchen texanus; 0.86, 0.75–0.92) were higher relative to non-translocated individuals (Colorado pikeminnow: 0.52, 0.51–0.54; razorback sucker: 0.75, 0.74–0.75). Transition probabilities from above the barrier to below the barrier were generally low for three of the four species (all upper 95% CI ≤ 0.23), but they were substantially higher for razorback sucker. Our results suggest translocation to mitigate fragmentation and habitat loss can have demographic benefits for large-river fish species by allowing movements necessary to complete their life history in heterogeneous riverscapes. Further, given the costs or delays in providing engineered fish passage structures or in achieving dam removal, we suggest translocations may provide an alternative conservation strategy in fragmented river systems.

Joint Agency Commercial Imagery Evaluation (JACIE) best practices for remote sensing system evaluation and reporting

Released May 13, 2024 15:10 EST

2024, Open-File Report 2024-1023

Simon J. Cantrell, Jon B. Christopherson

Executive Summary

The Joint Agency Commercial Imagery Evaluation (JACIE) partnership consists of six agencies representing the U.S. Government’s commitment to promoting the use of high-quality remotely sensed data to meet scientific and other Federal needs. These agencies are large consumers of remotely sensed data and bring extensive experience in the assessment and use of these data. The six agencies are as follows: National Aeronautics and Space Administration, National Geospatial-Intelligence Agency, National Oceanic and Atmospheric Administration, U.S. Department of Agriculture, U.S. Geological Survey, and National Reconnaissance Office.

JACIE was formed in 2001 to assess the quality of data from the nascent commercial high-resolution satellite industry. Since then, JACIE has expanded its purview to include data at various resolutions, including commercial and civil.

The processes and techniques used by the JACIE agencies to assess data quality have been compiled within this report to share them across the agencies and with others who want to assess remotely sensed imagery data or understand how data are assessed and reported by JACIE.

Monitoring and assessment of urban stormwater best management practices at selected Chicago public schools in Chicago, Illinois, from September 1, 2016, to July 1, 2017

Released May 13, 2024 09:19 EST

2024, Scientific Investigations Report 2024-5036

Clinton R. Bailey, Carolyn M. Soderstrom, James J. Duncker

The Space to Grow program helps transform aging and neglected schoolyards of Chicago Public Schools into outdoor community spaces with the goal of promoting health and learning while addressing neighborhood flooding issues. Virgil I. Grissom Elementary School and Donald L. Morrill Math and Science School were selected in 2014 for schoolyard upgrades and the installation of various green infrastructure (GI) improvements. The U.S. Geological Survey installed sensors to measure precipitation, groundwater levels, and stormwater runoff volumes from September 1, 2016, to July 1, 2017.

At Virgil I. Grissom Elementary School, about 933,000 gallons of water fell on the schoolyard during the monitoring period. No discharge was recorded coming from the GI sewer lines, but backflow indicated water was flowing from the sewer line draining the impervious running track into the combined manhole structure and backwards into the GI retention basins (as designed). This design allowed for a 100-percent capture rate. Native soil at Virgil I. Grissom Elementary School also was conducive to rapid infiltration. Soil borings at Virgil I. Grissom Elementary School indicated about 10.5 feet (ft) of fine sand overlying silty clay to a depth of at least 16 ft. At Donald L. Morrill Math and Science School, about 1,120,000 gallons of water fell on the schoolyard during the monitoring period. About 72.5 precent of this water was discharged into the sewer system, and the other 27.5 percent was captured by the GI. Unlike Virgil I. Grissom Elementary School, the soil profile at Donald L. Morrill Math and Science School consisted of about 5 ft of clay loam overlying stiff blue clay to a depth of at least 12 ft. The sewer line coming from the GI under the football field was at the bottom of the reservoir. This design seemed to allow water to flow out of the line before being absorbed by the retention basin.

Impacts of artificial rearing on cisco Coregonus artedi morphology, including pugheadedness

Released May 13, 2024 07:24 EST

2024, Canadian Journal of Zoology

Andrew Edgar Honsey, Katie Victoria Anweiler, David Bunnell, Cory Brant, Georgia Wende Hoffman, Brian O'Malley, Kevin Keeler, Chris Olds, Jeremy Kraus, Yu-Chun Kao, Wendylee Stott

Cisco (Coregonus artedi Lesueur, 1818) in the Laurentian Great Lakes declined throughout the 19th and 20th centuries. Managers are attempting to restore Great Lakes cisco and other coregonines using multiple approaches, including stocking. A potential obstacle to these efforts is that artificially reared coregonines can display deformities and morphological differences compared to wild fish, but the impacts of artificial rearing on cisco morphology are not well understood. We compared morphologies of wild cisco to their artificially reared offspring, including one family that was exposed to three rearing temperature treatments. We found that artificially reared cisco had smaller eyes, shallower bodies, fewer gill rakers, and longer paired fins than their wild parents. We also found that artificially reared cisco were pugheaded, and this result held for another cisco population and rearing facility. Across the temperature treatments we tested, rearing temperatures did not impact the degree of pugheadedness or other morphological differences. Our results have important implications for coregonine restoration efforts. Future work should evaluate whether morphological differences that arise through artificial rearing affect cisco fitness in the wild.

Anaerobic biodegradation of perfluorooctane sulfonate (PFOS) and microbial community composition in soil amended with a dechlorinating culture and chlorinated solvents

Released May 10, 2024 07:04 EST

2024, Science of the Total Environment (932)

Michelle Lorah, Ke He, Lee Blaney, Denise M. Akob, Cassandra Rashan Harris, Andrea K. Tokranov, Zachary Ryan Hopkins, Brian Shedd

Perfluorooctane sulfonate (PFOS), one of the most frequently detected per- and polyfluoroalkyl substances (PFAS) occurring in soil, surface water, and groundwater near sites contaminated with aqueous film-forming foam (AFFF), has proven to be recalcitrant to many destructive remedies, including chemical oxidation. We investigated the potential to utilize microbially mediated reduction (bioreduction) to degrade PFOS and other PFAS through addition of a known dehalogenating culture, WBC-2, to soil obtained from an AFFF-contaminated site. A substantial decrease in total mass of PFOS (soil and water) was observed in microcosms amended with WBC-2 and chlorinated volatile organic compound (cVOC) co-contaminants — 46.4 ± 11.0 % removal of PFOS over the 45-day experiment. In contrast, perfluorooctanoate (PFOA) and 6:2 fluorotelomer sulfonate (6:2 FTS) concentrations did not decrease in the same microcosms. The low or non-detectable concentrations of potential metabolites in full PFAS analyses, including after application of the total oxidizable precursor assay, indicated that defluorination occurred to non-fluorinated compounds or ultrashort-chain PFAS. Nevertheless, additional research on the metabolites and degradation pathways is needed. Population abundances of known dehalorespirers did not change with PFOS removal during the experiment, making their association with PFOS removal unclear. An increased abundance of sulfate reducers in the genus Desulfosporosinus (Firmicutes) and Sulfurospirillum (Campilobacterota) was observed with PFOS removal, most likely linked to initiation of biodegradation by desulfonation. These results have important implications for development of in situ bioremediation methods for PFAS and advancing knowledge of natural attenuation processes.


Local environmental conditions structured discrete fish assemblages in Arctic lagoons

Released May 10, 2024 06:20 EST

2024, Polar Biology

Sarah M. Laske, Vanessa R. von Biela, Ashley E. Stanek, Kenneth H. Dunton

Rapid changes in sea ice extent and changes in freshwater inputs from land are rapidly changing the nature of Arctic estuarine ecosystems. In the Beaufort Sea, these nearshore habitats are known for their high productivity and mix of marine resident and diadromous fishes that have great subsistence value for Indigenous communities. There is, however, a lack of information on the spatial variation among Arctic nearshore fish communities as related to environmental drivers. In summers of 2017–2019, we sampled fishes in four estuarine ecosystems to assess community composition and relate fish abundance to temperature, salinity, and wind conditions. We found fish communities were heterogeneous over larger spatial extents with rivers forming fresh estuarine plumes that supported diadromous species (e.g., broad whitefish Coregonus nasus), while lagoons with reduced freshwater input and higher salinities were associated with marine species (e.g., saffron cod Eleginus gracilis). West–East directional winds accounted for up to 66% of the community variation, indicating importance of the wind-driven balance between fresh and marine water masses. Salinity and temperature accounted for up to 54% and 37% of the variation among lagoon communities, respectively. Recent sea ice declines provide more opportunity for wind to influence oceanographic conditions and biological communities. Current subsistence practices, future commercial fishing opportunities, and on-going oil and gas activities benefit from a better understanding of current fish community distributions. This work provides important data on fish spatial distributions and community composition, providing a basis for fish community response to changing climatic conditions and anthropogenic use.

How low is too low? Partnering with stakeholders and managers to define ecologically based low-flow thresholds in a perennial temperate river

Released May 09, 2024 06:55 EST

2024, River Research and Applications

Laura Rack, Mary Freeman, Ben N. Emanuel, Laura S. Craig, Stephen W. Golladay, Carol Yang, Seth J. Wenger

Managing aquatic ecosystems for people and nature can be improved by collaboration among scientists, managers, decision-makers, and other stakeholders. Many collaborative and interdisciplinary approaches have been developed to address the management of freshwater ecosystems; however, there are still barriers to overcome. We worked as part of a regional stakeholder group comprising municipal water utility operators, conservation organizations, academic partners, and other stakeholders to understand the effects of low-flow and drought on ecological functions of the upper Flint River, Georgia (USA), a free-flowing river important for municipal water supply, recreation, and native biota. We used published literature and locally targeted studies to identify quantitative flow targets that could be used to inform water management and drought planning. Drawing from principles of Translational Ecology, we relied on an iterative process to develop information needs for the group and maintained communication and engagement throughout data collection, analysis, and synthesis. We identified three quantitative flow benchmarks to evaluate the ecological impacts of drought in the river. The results were valuable to both the water utilities represented in the working group and State regional water planning, which is used to guide water management strategies and permitting for the basin. We identified principles that were important for the successful engagement in the working group and helped to overcome the challenge of working across sectors and without direct authority guiding the implementation of our work. Interdisciplinary work and creative solutions are crucial to plan for and adapt to greater pressure on our water resources.

Automated Cropland Fallow Algorithm (ACFA) for the Northern Great Plains of USA

Released May 09, 2024 06:46 EST

2024, International Journal of Digital Earth (17)

Adam Oliphant, Prasad Thenkabail, Pardhasaradhi Teluguntla, Itiya Aneece, Daniel Foley, Richard L. McCormick

Cropland fallowing is choosing not to plant a crop during a season when a crop is normally planted. It is an important component of many crop rotations and can improve soil moisture and health. Knowing which fields are fallow is critical to assess crop productivity and crop water productivity, needed for food security assessments. The annual spatial extent of cropland fallows is poorly understood within the United States (U.S.). The U.S. Department of Agriculture Cropland Data Layer does provide cropland fallow areas; however, at a significantly lower confidence than their cropland classes. This study developed a methodology to map cropland fallows within the Northern Great Plains region of the U.S. using an easily implementable decision tree algorithm leveraging training and validation data from wet (2019), normal (2015), and dry (2017) precipitation years to account for climatic variability. The decision trees automated cropland fallow algorithm (ACFA) was coded on a cloud platform utilizing remotely sensed, time-series data from the years 2010–2019 to separate cropland fallows from other land cover/land use classes. Overall accuracies varied between 96%-98%. Producer’s and user’s accuracies of cropland fallow class varied between 70-87%.

Dryland soil recovery after disturbance across soil and climate gradients of the Colorado Plateau

Released May 09, 2024 06:27 EST

2024, Science of the Total Environment (932)

Kathryn Delores Eckhoff, Sasha C. Reed, John B. Bradford, Nikita C. Daly, Keven Griffen, Robin H. Reibold, Randi Lupardus, Seth M. Munson, Aarin Sengsirirak, Miguel L. Villarreal, Michael C. Duniway

Drylands impacted by energy development often require costly reclamation activities to reconstruct damaged soils and vegetation, yet little is known about the effectiveness of reclamation practices in promoting recovery of soil quality due to a lack of long-term and cross-site studies. Here, we examined paired on-pad and adjacent undisturbed off-pad soil properties over a 22-year chronosequence of 91 reclaimed oil or gas well pads across soil and climate gradients of the Colorado Plateau in the southwestern United States. Our goals were to estimate the time required for soil properties to reach undisturbed conditions, examine the multivariate nature of soil quality following reclamation, and identify environmental factors that affect reclamation outcomes. Soil samples, collected in 2020 and 2021, were analyzed for biogeochemical pools (total nitrogen, and total organic and inorganic carbon), chemical characteristics (salinity, sodicity, pH), and texture. Predicted time to recovery across all sites was 29 years for biogeochemical soil properties, 31 years for soil chemical properties, and 6 years for soil texture. Ordination of soil properties revealed differences between on- and off-pad soils, while site aridity explained variability in on-pad recovery. The predicted time to total soil recovery (distance between on- and off-pad in ordination space) was 96 years, which was longer than any individual soil property. No site reached total recovery, indicating that individual soil properties alone may not fully indicate recovery in soil quality as soil recovery does not equal the sum of its parts. Site aridity was the largest predictor of reclamation outcomes, but the effects differed depending on soil type. Taken together, results suggest the recovery of soil quality - which reflects soil fertility, carbon sequestration potential, and other ecosystem functions - was influenced primarily by site setting, with soil type and aridity major mediators of on-pad carbon, salinity, and total soil recovery following reclamation.


Influence of four veterinary antibiotics on constructed treatment wetland nitrogen transformation

Released May 08, 2024 08:43 EST

2024, Toxics (12)

Matthew V. Russell, Tiffany L. Messer, Deborah A. Repert, Richard L. Smith, Shannon Bartelt-Hunt, Daniel D. Snow, Ariel Reed

The use of wetlands as a treatment approach for nitrogen in runoff is a common practice in agroecosystems. However, nitrate is not the sole constituent present in agricultural runoff and other biologically active contaminants have the potential to affect nitrate removal efficiency. In this study, the impacts of the combined effects of four common veterinary antibiotics (chlortetracycline, sulfamethazine, lincomycin, monensin) on nitrate-N treatment efficiency in saturated sediments and wetlands were evaluated in a coupled microcosm/mesocosm scale experiment. Veterinary antibiotics were hypothesized to significantly impact nitrogen speciation (e.g., nitrate and ammonium) and nitrogen uptake and transformation processes (e.g., plant uptake and denitrification) within the wetland ecosystems. To test this hypothesis, the coupled study had three objectives: 1. assess veterinary antibiotic impact on nitrogen cycle processes in wetland sediments using microcosm incubations, 2. measure nitrate-N reduction in water of floating treatment wetland systems over time following the introduction of veterinary antibiotic residues, and 3. identify the fate of veterinary antibiotics in floating treatment wetlands using mesocosms. Microcosms containing added mixtures of the veterinary antibiotics had little to no effect at lower concentrations but stimulated denitrification potential rates at higher concentrations. Based on observed changes in the nitrogen loss in the microcosm experiments, floating treatment wetland mesocosms were enriched with 1000 μg L−1 of the antibiotic mixture. Rates of nitrate-N loss observed in mesocosms with the veterinary antibiotic enrichment were consistent with the microcosm experiments in that denitrification was not inhibited, even at the high dosage. In the mesocosm experiments, average nitrate-N removal rates were not found to be impacted by the veterinary antibiotics. Further, veterinary antibiotics were primarily found in the roots of the floating treatment wetland biomass, accumulating approximately 190 mg m−2 of the antibiotic mixture. These findings provide new insight into the impact that veterinary antibiotic mixtures may have on nutrient management strategies for large-scale agricultural operations and the potential for veterinary antibiotic removal in these wetlands.

Ion exchange processes for CO2 mineralization using industrial waste streams: Pilot plant demonstration and life cycle assessment

Released May 08, 2024 06:50 EST

2024, Chemistry Select (9)

Steven Bustillos, Mario Christofides, Bonnie McDevitt, Madalyn S. Blondes, Ryan J. McAleer, Aaron M. Jubb, Bu Wang, Gaurav Sant, Dante Simonetti

An attractive technique for removing CO2 from the environment is sequestration within stable carbonate solids (e. g., calcite). However, continuous addition of alkalinity is required to achieve favorable conditions for carbonate precipitation (pH>8) from aqueous streams containing dissolved CO2 (pH<4.5) and Ca2+ ions. In this study, a pH-swing process using ion exchange was demonstrated to process 300 L of produced water brine per day for CO2 mineralization. Proton titration capacities were quantified for aqueous streams in equilibrium with gas streams at various concentrations of CO2 (pCO2=0.03–0.20 atm) and at various flow rates (0.5–2.0 L min−1). Energy intensities for the process were determined to be between 30 and 65 kWh per tonne of CO2 sequestered depending on the composition of the brine stream. A life cycle assessment was performed to analyze the net carbon emissions of the technology which indicated a net CO2 reduction for pCO2≥0.12 atm (−0.06–−0.39 kg CO2e per kg precipitated CaCO3) utilizing calcium-rich brines. The results from this study indicate the ion exchange process can be used as a scalable method to provide alkalinity necessary for the capture and storage of CO2 in Ca-rich waste streams.

Report of the River Master of the Delaware River for the period December 1, 2014–November 30, 2015

Released May 07, 2024 10:25 EST

2024, Open-File Report 2024-1010

Kendra L. Russell, William J. Andrews, Vincent J. DiFrenna, J. Michael Norris, Robert R. Mason, Jr.

Executive Summary

A Decree of the Supreme Court of the United States, entered June 7, 1954 (New Jersey v. New York, 347 U.S. 995), established the position of Delaware River Master within the U.S. Geological Survey. In addition, the Decree authorizes the diversion of water from the Delaware River Basin and requires compensating releases from specific reservoirs owned by New York City be made under the supervision and direction of the River Master. The Decree stipulates that the River Master provide reports to the Court, not less frequently than annually. This report is the 62nd annual report of the River Master of the Delaware River. This report covers the 2015 River Master report year, which is the period from December 1, 2014, to November 30, 2015.

During the report year, precipitation in the upper Delaware River Basin was 42.22 inches or 95 percent of the long-term average. The combined storage remained above 80 percent of the combined capacity until August 2015. The lowest combined storage of the report year was 57 percent of the total combined capacity on December 1, 2014. Delaware River Master operations during the year were conducted as stipulated by the Decree and the Flexible Flow Management Program.

Diversions from the Delaware River Basin by New York City and New Jersey fully complied with the Decree. The reservoir releases were made as directed by the River Master at rates designed to meet the flow objective for the Delaware River at Montague, New Jersey, on 72 days during the report year. Interim Excess Release Quantity and conservation releases, designed to relieve thermal stress and protect the fishery and aquatic habitat in the tailwaters of the reservoirs, were also made during the report year.

Water quality in the Delaware River estuary between the streamgages at Trenton, New Jersey, and Reedy Island Jetty, Delaware, was monitored at several locations. Data on water temperature, specific conductance, dissolved oxygen, and pH were collected continuously by electronic instruments at four sites.

Land-use interactions, Oil-Field infrastructure, and natural processes control hydrocarbon and arsenic concentrations in groundwater, Poso Creek Oil Field, California, USA

Released May 07, 2024 07:12 EST

2024, Applied Geochemistry (168)

Peter B. McMahon, Matthew K. Landon, Michael J. Stephens, Kimberly A. Taylor, Michael Wright, Angela Hansen, Tamara E. C. Kraus, Isabelle M. Cozzarelli, David H. Shimabukuro, Theron A. Sowers, Justin T. Kulongoski, Andrew Hunt, Ruta Karolyte, Darren J. Hillegonds, Chris J. Ballentine

Like many hydrocarbon production areas in the U.S., the Poso Creek Oil Field in California includes and is adjacent to other land uses (agricultural and other developed lands) that affect the hydrology and geochemistry of the aquifer overlying and adjacent to oil development. We hypothesize that the distributions of hydrocarbons and arsenic in groundwater in such areas will be controlled by complex interactions between mixed land uses, oil-field infrastructure, and natural processes. In 2020–2021, samples of groundwater and surface water were collected and analyzed for a large suite of inorganic and organic chemicals and isotope and gas tracers to test this hypothesis. Those data are supplemented with ancillary data on historical geochemistry, hydrology, geology, and oil-field infrastructure. Hydrocarbons in groundwater (e.g., methane through pentane gases and benzene) are associated with natural processes (e.g., fault offsets or transition in sediment depositional environment) and oil-field infrastructure (e.g., fluid-migration pathways associated with uncemented annulus in oil wells or unlined pits). Arsenic concentrations >10 μg per liter (μg/L; maximum concentration 12.9 μg/L) are associated with natural processes in old, high-pH groundwater, and more recent recharge of water from natural and/or engineered recharge processes. Along the southwest margin of the oil field, pumping for drinking-water and irrigation supplies in combination with engineered groundwater recharge produce a depression in groundwater elevations where groundwater with elevated sulfate concentrations from agricultural areas and groundwater with hydrocarbons from the oil field mix to produce a zone of sulfate reduction that removes hydrocarbons and arsenic from groundwater but produces elevated sulfide (S2-) concentrations (maximum concentration 29 mg per liter, mg/L). In this study, multiple approaches were required to resolve the overlapping effects of land uses, oil-field infrastructure, and natural processes on the distributions of hydrocarbons and arsenic in groundwater. The combined use of geographic, historical, physical, chemical, isotopic, and other information to constrain processes could be a useful approach for studies in other hydrocarbon-production areas. This is particularly important where land uses affect aquifer hydrology to an extent that causes mixing of groundwaters with different chemical compositions.

Assessment and characterization of ephemeral stream channel stability and mechanisms affecting erosion in Grand Valley, western Colorado, 2018–21

Released May 06, 2024 13:30 EST

2024, Scientific Investigations Report 2023-5145

Joel William Homan

The Grand Valley in western Colorado is in the semiarid Southwest United States. The north side of the Grand Valley has many ungaged ephemeral streams, which are of particular interest because (1) the underlying bedrock geology, Late Cretaceous Mancos Shale, is a sedimentary rock deposit identified as a major salinity contributor to the Colorado River and (2) despite infrequent streamflows of short duration, monsoon-derived floods in these ephemeral streams can carry substantial amounts of sediment downstream, affecting upstream and downstream banks and channel cross sections. The study area is of interest, because salinity, or the total dissolved solids concentration, in the Colorado River causes an estimated $300 million to $400 million per year in economic damages in the United States, and it is estimated 62 percent of the Upper Colorado River Basin’s total dissolved solid loads originate from geologic sources. In an effort to minimize salt contributions to the Colorado River from public lands administered by the Bureau of Land Management, a comprehensive salinity control approach is typically used to reduce nonpoint sources of salinity through land management techniques and practices.

In 2018, the U.S. Geological Survey, in cooperation with the Bureau of Land Management, began an assessment of ephemeral streams located on the north side of the Grand Valley, western Colorado, to characterize stream channel stability and identify mechanisms affecting erosion. The U.S. Geological Survey developed a method for automatically extracting channel cross-section geometry from existing remotely sensed terrain models. Based on estimated flood stage and surrogate streamflows, hydraulic characteristics were calculated. Furthermore, the channel geometries and hydraulic characteristics were used to estimate channel stability using a statistical model.

Cross-section stabilities were determined from a stream channel stability assessment for a subset of 1,406 visited (field observed) locations out of 13,415 cross sections, which were delineated from remotely sensed terrain models. The application of Manning’s resistance equation in combination with multiple logistic regression models demonstrated channel stability can be estimated with a 0.845 goodness of fit for a validation dataset when using a combination of drainage area, width-to-depth ratio, sinuosity, and shear stress as the explanatory variables. Stream channel stability was extrapolated for 13,415 unvisited (not field observed) cross sections using the multiple logistic regression model and defined explanatory variables. Mapping of the ephemeral streams and their associated stabilities may be used by the Bureau of Land Management to prioritize areas for remediation or changes in management strategies to reduce sediment and salinity loading to the Colorado River.

The study found channel stability within the ephemeral streams to be spatially variable, longitudinally discontinuous, and dictated by changes in channel bed slope. The stable ephemeral streams were relatively wide and shallow and often had smaller drainage areas with less potential for producing shear stresses capable of overcoming channel adhesion. A change in channel bed slope can provide the means necessary to generate shear stresses appropriate to initiate erosion and a subsequent stability transition to incising channels. Channel widening happens when either or both banks of an incising channel reach a critical height for mass wasting, or when channel curvature causes higher sidewall stress. Regardless, widening channels can promote increases in sinuosity and subsequently reduce steep channel bed slopes. Consequently, stable and widening channels can have comparable bed slopes, making channel bed slope a poor explanatory variable to predict channel stability overall, despite its function to initiate channel instability.

The results were based on a surrogate 0.10 annual exceedance probability (AEP; return period equal to the 10-year flood) interval streamflow, although it was recognized fluctuations in streamflow would also affect channel stability. Past and current changes within the study area affect streamflow; therefore, mechanisms affecting erosion include land use disturbances, soil compaction, loss of vegetation cover, drought, less frequent and more extreme precipitation, and fires—which all intensify the potential runoff and erosion within the study area.


Landscape fragmentation overturns classical metapopulation thinking

Released May 06, 2024 07:07 EST

2024, PNAS (121)

Yun Tao, Alan Hastings, Kevin D. Lafferty, Ilkka Hanski, Otso Ovaskainen

Habitat loss and isolation caused by landscape fragmentation represent a growing threat to global biodiversity. Existing theory suggests that the process will lead to a decline in metapopulation viability. However, since most metapopulation models are restricted to simple networks of discrete habitat patches, the effects of real landscape fragmentation, particularly in stochastic environments, are not well understood. To close this major gap in ecological theory, we developed a spatially explicit, individual-based model applicable to realistic landscape structures, bridging metapopulation ecology and landscape ecology. This model reproduced classical metapopulation dynamics under conventional model assumptions, but on fragmented landscapes, it uncovered general dynamics that are in stark contradiction to the prevailing views in the ecological and conservation literature. Notably, fragmentation can give rise to a series of dualities: a) positive and negative responses to environmental noise, b) relative slowdown and acceleration in density decline, and c) synchronization and desynchronization of local population dynamics. Furthermore, counter to common intuition, species that interact locally (“residents”) were often more resilient to fragmentation than long-ranging “migrants.” This set of findings signals a need to fundamentally reconsider our approach to ecosystem management in a noisy and fragmented world.

Assessing locations susceptible to shallow landslide initiation during prolonged intense rainfall in the Lares, Utuado, and Naranjito municipalities of Puerto Rico

Released May 06, 2024 06:59 EST

2024, Natural Hazards and Earth System Sciences (24) 1579-1605

Rex L. Baum, Dianne L. Brien, Mark E. Reid, William Schulz, Matthew J. Tello

Hurricane Maria induced about 70 000 landslides throughout Puerto Rico, USA, including thousands each in three municipalities situated in Puerto Rico's rugged Cordillera Central range. By combining a nonlinear soil-depth model, presumed wettest-case pore pressures, and quasi-three-dimensional (3D) slope-stability analysis, we developed a landslide susceptibility map that has very good performance and continuous susceptibility zones having smooth, buffered boundaries. Our landslide susceptibility map enables assessment of potential ground-failure locations and their use as landslide sources in a companion assessment of inundation and debris-flow runout. The quasi-3D factor of safety, F3, showed strong inverse correlation to landslide density (high density at low F3). Area under the curve (AUC) of true positive rate (TPR) versus false positive rate (FPR) indicated success of F3 in identifying head-scarp points (AUC = 0.84) and source-area polygons (0.85  AUC  0.88). The susceptibility zones enclose specific percentages of observed landslides. Thus, zone boundaries use successive F3 levels for increasing TPR of landslide head-scarp points, with zones bounded by F3 at TPR = 0.75, very high; F3 at TPR = 0.90, high; and the remainder moderate to low. The very high susceptibility zone, with 118 landslides km−2, covered 23 % of the three municipalities. The high zone (51 landslides km−2) covered another 10 %.

Streamflow depletion caused by groundwater pumping: Fundamental research priorities for management-relevant science

Released May 06, 2024 06:53 EST

2024, Water Resource Research (60)

Samuel Zipper, Andrea E. Brookfield, Hoori Ajami, Jessica R. Ayers, Chris Beightel, Michael N. Fienen, Tom Gleeson, John C. Hammond, Mary C Hill, Anthony D Kendall, Benjamin Kerr, Dana A. Lapides, Misty Porter, S. Parimalarenganayaki, Melissa Rohde, Chloe Wardropper

Reductions in streamflow caused by groundwater pumping, known as “streamflow depletion,” link the hydrologic process of stream-aquifer interactions to human modifications of the water cycle. Isolating the impacts of groundwater pumping on streamflow is challenging because other climate and human activities concurrently impact streamflow, making it difficult to separate individual drivers of hydrologic change. In addition, there can be lags between when pumping occurs and when streamflow is affected. However, accurate quantification of streamflow depletion is critical to integrated groundwater and surface water management decision making. Here, we highlight research priorities to help advance fundamental hydrologic science and better serve the decision-making process. Key priorities include (a) linking streamflow depletion to decision-relevant outcomes such as ecosystem function and water users to align with partner needs; (b) enhancing partner trust and applicability of streamflow depletion methods through benchmarking and coupled model development; and (c) improving links between streamflow depletion quantification and decision-making processes. Catalyzing research efforts around the common goal of enhancing our streamflow depletion decision-support capabilities will require disciplinary advances within the water science community and a commitment to transdisciplinary collaboration with diverse water-connected disciplines, professions, governments, organizations, and communities.

Linking dissolved organic matter composition to landscape properties in wetlands across the United States of America

Released May 03, 2024 07:12 EST

2024, Global Biogeochemical Cycles (38)

Martin R. Kurek, Kimberly Wickland, Natalie A. Nichols, Amy M. McKenna, Steven M. Anderson, Mark M. Dornblaser, Nikaan Koupaie-Abyazani, Brett A. Poulin, Sheel Bansal, Jason B. Fellman, Gregory K. Druschel, Emily S. Bernhardt, Robert G.M. Spencer

Wetlands are integral to the global carbon cycle, serving as both a source and a sink for organic carbon. Their potential for carbon storage will likely change in the coming decades in response to higher temperatures and variable precipitation patterns. We characterized the dissolved organic carbon (DOC) and dissolved organic matter (DOM) composition from 12 different wetland sites across the USA spanning gradients in climate, landcover, sampling depth, and hydroperiod for comparison to DOM in other inland waters. Using absorption spectroscopy, parallel factor analysis modeling, and ultra-high resolution mass spectroscopy, we identified differences in DOM sourcing and processing by geographic site. Wetland DOM composition was driven primarily by differences in landcover where forested sites contained greater aromatic and oxygenated DOM content compared to grassland/herbaceous sites which were more aliphatic and enriched in N and S molecular formulae. Furthermore, surface and porewater DOM was also influenced by properties such as soil type, organic matter content, and precipitation. Surface water DOM was relatively enriched in oxygenated higher molecular weight formulae representing HUPHigh O/C compounds than porewaters, whose DOM composition suggests abiotic sulfurization from dissolved inorganic sulfide. Finally, we identified a group of persistent molecular formulae (3,489) present across all sites and sampling depths (i.e., the signature of wetland DOM) that are likely important for riverine-to-coastal DOM transport. As anthropogenic disturbances continue to impact temperate wetlands, this study highlights drivers of DOM composition fundamental for understanding how wetland organic carbon will change, and thus its role in biogeochemical cycling.

Stony coral tissue loss disease indirectly alters reef communities

Released May 03, 2024 07:10 EST

2024, Science Advances (10)

Sara D. Swaminathan, Kevin D. Lafferty, Nicole S. Knight, Andrew H. Altieri

Many Caribbean coral reefs are near collapse due to various threats. An emerging threat, stony coral tissue loss disease (SCTLD), is spreading across the Western Atlantic and Caribbean. Data from the U.S. Virgin Islands reveal how SCTLD spread has reduced the abundance of susceptible coral and crustose coralline algae and increased cyanobacteria, fire coral, and macroalgae. A Caribbean-wide structural equation model demonstrates versatility in reef fish and associations with rugosity independent of live coral. Model projections suggest that some reef fishes will decline due to SCTLD, with the largest changes on reefs that lose the most susceptible corals and rugosity. Mapping these projected declines in space indicates how the indirect effects of SCTLD range from undetectable to devastating.

Fluviomorphic trajectories for dryland ephemeral stream channels following extreme flash floods

Released May 03, 2024 06:24 EST

2024, Earth Surface Processes and Landforms

Eliisa Lotsari, Kyle House, Petteri Alho, Victor R. Baker

Ephemeral alluvial streams pose globally significant flood hazards to human habitation in drylands, but sparse data for these regions limit understanding of the character and impacts of extreme flooding. In this study, we document decadal changes in dryland ephemeral channel patterns at two sites in the lower Colorado River Basin (southwestern United States) that were ravaged by extraordinary flash floods in the 1970s: Bronco Creek, Arizona (1971), and Eldorado Canyon, Nevada (1974). We refer to these two floods as ‘fluviomorphic erasure events’, because they produced blank slates for the channels that were gradually moulded by more frequent but much smaller flood events. We studied georectified aerial photos that span ~60 years at each site to show that both study sites recovered to their pre-flood condition after ~25 years. We employ channel network metrics: stream-link area (SLA), geometric braiding index and junction-node density. Each metric decreased during the short-duration extreme flood erasure events. Subsequently, a fluviomorphic trajectory at a decadal tempo returned the channels to pre-flood values. The SLA decreased at rates of 3.6%–4.1% per year in the decade following the floods. The extreme flood events decreased the pre-flood geometric braiding index at the two sites by 56%–68%, and it took 15–24 years for this index to recover to pre-flood values. In contrast, it took 30–35 years for the channels to recover to a uniform pre-flood channel form, as indicated by the spatial distribution of bars and junction nodes. Our results document baseline examples of ephemeral stream channel evolution trajectories, as future climatic change will likely accelerate increases in the magnitudes and frequencies of extreme floods and geomorphic erasure events.

Deep-water first occurrences of Ediacara biota prior to the Shuram carbon isotope excursion in the Wernecke Mountains, Yukon, Canada

Released May 03, 2024 06:21 EST

2024, Geobiology (22)

Thomas H. Boag, James F. Busch, Jared T. Gooley, Justin Strauss, Erik A Sperling

Ediacara-type macrofossils appear as early as ~575 Ma in deep-water facies of the Drook Formation of the Avalon Peninsula, Newfoundland, and the Nadaleen Formation of Yukon and Northwest Territories, Canada. Our ability to assess whether a deep-water origination of the Ediacara biota is a genuine reflection of evolutionary succession, an artifact of an incomplete stratigraphic record, or a bathymetrically controlled biotope is limited by a lack of geochronological constraints and detailed shelf-to-slope transects of Ediacaran continental margins. The Ediacaran Rackla Group of the Wernecke Mountains, NW Canada, represents an ideal shelf-to-slope depositional system to understand the spatiotemporal and environmental context of Ediacara-type organisms' stratigraphic occurrence. New sedimentological and paleontological data presented herein from the Wernecke Mountains establish a stratigraphic framework relating shelfal strata in the Goz/Corn Creek area to lower slope deposits in the Nadaleen River area. We report new discoveries of numerous Aspidella hold-fast discs, indicative of frondose Ediacara organisms, from deep-water slope deposits of the Nadaleen Formation stratigraphically below the Shuram carbon isotope excursion (CIE) in the Nadaleen River area. Such fossils are notably absent in coeval shallow-water strata in the Goz/Corn Creek region despite appropriate facies for potential preservation. The presence of pre-Shuram CIE Ediacara-type fossils occurring only in deep-water facies within a basin that has equivalent well-preserved shallow-water facies provides the first stratigraphic paleobiological support for a deep-water origination of the Ediacara biota. In contrast, new occurrences of Ediacara-type fossils (including juvenile fronds, Beltanelliformis, Aspidella, annulated tubes, and multiple ichnotaxa) are found above the Shuram CIE in both deep- and shallow-water deposits of the Blueflower Formation. Given existing age constraints on the Shuram CIE, it appears that Ediacaran organisms may have originated in the deeper ocean and lived there for up to ~15 million years before migrating into shelfal environments in the terminal Ediacaran. This indicates unique ecophysiological constraints likely shaped the initial habitat preference and later environmental expansion of the Ediacara biota.

Integrated science for the study of microplastics in the environment—A strategic science vision for the U.S. Geological Survey

Released May 02, 2024 12:00 EST

2024, Circular 1521

Deborah D. Iwanowicz, Austin K. Baldwin, Larry B. Barber, Vicki S. Blazer, Steven R. Corsi, Joseph W. Duris, Shawn C. Fisher, Michael Focazio, Sarah E. Janssen, Jeramy R. Jasmann, Dana W. Kolpin, Johanna M. Kraus, Rachael F. Lane, Mari E. Lee, Kristen B. McSwain, Timothy D. Oden, Timothy J. Reilly, Andrew R. Spanjer

Executive Summary

Evidence of the widespread occurrence of microplastics throughout our environment and exposure to humans and other organisms over the past decade has led to questions about the possibility of health hazards and mitigation of exposures. This document discusses nanoplastics as well as microplastics (referred to solely as microplastics); the microplastics have a range from 1 micrometer to 5 millimeters (1 μm–5 mm) in length, whereas the nanoplastics are less than 1 μm in length (sidebar ES1).

A myriad of environmental exposure pathways with microplastics to humans and wildlife, including ingestion, inhalation, and bodily absorption, are likely to exist. A growing body of evidence has documented bioaccumulation of microplastics in tissues and organs of humans and wildlife, benthic community effects, and potential nutritional and reproductive effects in some wildlife species. Understanding if or when environmental exposures pose a health risk is complicated by the diversity of microplastic sizes, morphologies, polymer types, and chemicals added during manufacturing or sorbed from the environment; ongoing challenges in analytical methods used to detect, quantify, and characterize microplastics and associated chemicals in our ecosystems; and the fact that ecotoxicological studies regarding microplastics are still in their infancy. Therefore, the study of environmental exposures and potential related health hazards of microplastics to the public and wildlife is a One Health (sidebar ES2) research topic that necessitates integrated science approaches.

A better understanding of the sources, pathways, fate, and biological effects of microplastics has become a priority of the Federal Government, State governments, Tribes, stakeholders, and the public. Examples of Federal and State microplasticfocused legislation and programs to prioritize microplastic research and reduction include the Federal Microbead-Free Waters Act of 2015, California Senate Bills 1422 and 1263 (2018), the U.S. Environmental Protection Agency (EPA) Trash Free Waters Program, the National Institute of Standards and Technology’s Microplastic and Nanoplastic Metrology project, and Minnesota’s microplastic project. With its unique expertise and capabilities, the U.S. Geological Survey (USGS) is well positioned to help fill some of the most important microplastic science gaps.

This strategic science vision document for microplastics identifies current (2023) microplastic science gaps and prioritizes research relevant to the mission, expertise, and capabilities of the USGS. It is intended for USGS scientists and stakeholders to use as a starting point for planning, prioritizing, and designing collaborative environmental microplastic science. Many of the microplastic science gaps and priorities are scalable, from local to national, and thus, can be made commensurate with available funding and evolving analytical and field tools, laboratory capacity, and stakeholder needs. Current (2023) or future research by academia and other Federal or State agencies, and Tribes may be aimed at some of the same microplastic science gaps identified in this document. Therefore, this document can be used as an information resource to maximize strengths and capabilities and minimize redundancy in communication and collaboration.

A new era of genetic diversity conservation through novel tools and accessible data

Released May 02, 2024 06:54 EST

2024, Frontiers in Ecology and the Environment (22)

Margaret Hunter, Jessica M. da Silva, Alicia Mastretta-Yanes, Sean M. Hoban

As the foundation of biodiversity, genetic diversity is necessary for species to adapt to ecological changes, such as impacts from disease, invasive species, and climate change. Genetic diversity also supports ecosystem resilience and societal innovations. Unfortunately, declines in genetic diversity have been frequently observed in populations of wild and domestic species. Yet the field of population genetics is often neglected in national and global environmental policy and has been underutilized in biodiversity monitoring and conservation action.

Lead poisoning of raptors: State of the science and cross-discipline mitigation options for a global problem

Released May 02, 2024 06:50 EST

2024, Biological Conservation

Todd E. Katzner, Deborah J. Pain, Michael McTee, Leland Brown, Sandra Cuadros, Mark Pokras, Vince Slabe., Rick Watson, Guillermo Wiemeyer, Bryan Bedrosian, Jordan O Hampton, Chris N. Parish, James M. Pay, Keisuke Saito, John Schulz

Lead poisoning is an important global conservation problem for many species of wildlife, especially raptors. Despite the increasing number of individual studies and regional reviews of lead poisoning of raptors, it has been over a decade since this information has been compiled into a comprehensive global review. Here, we summarize the state of knowledge of lead poisoning of raptors, we review developments in manufacturing of non-lead ammunition, the use of which can reduce the most pervasive source of lead these birds encounter, and we compile data on voluntary and regulatory mitigation options and their associated sociological context. We support our literature review with case studies of mitigation actions, largely provided by the conservation practitioners who study or manage these efforts. Our review illustrates the growing awareness and understanding of lead exposure of raptors, and it shows that the science underpinning this understanding has expanded considerably in recent years. We also show that the political and social appetite for managing lead ammunition appears to vary substantially across administrative regions, countries, and continents. Improved understanding of the drivers of this variation could support more effective mitigation of lead exposure of wildlife. This review also shows that mitigation strategies are likely to be most effective when they are outcome driven, consider behavioural theory, local cultures, and environmental conditions, effectively monitor participation, compliance, and levels of raptor exposure, and support both environmental and human health.

Abundance of Long-billed Curlews on military lands in the Columbia Basin

Released May 01, 2024 08:44 EST

2024, Avian Conservation and Ecology (19)

Sharon Poessel, Elise Elliott-Smith, Sean M. Murphy, Susan M Haig, Adam E. Duerr, Todd E. Katzner

Long-billed Curlews (Numenius americanus) are declining throughout North America, and the loss of grassland breeding habitat is one of the primary threats to the species. Intermountain West, in particular, has been identified as the most important region in North America for breeding curlews. Nevertheless, the density and abundance of Long-billed Curlews in this region is not well understood. Lands managed for military training can provide habitat for wildlife species of conservation concern, and increasingly these lands are becoming relevant to sustaining biodiversity. We conducted point count surveys of Long-billed Curlews on Department of Defense lands in the Columbia Basin near Boardman, Oregon, USA during two consecutive breeding seasons. We used multinomial-Poisson mixture models to estimate detection probability and density of curlews and to investigate environmental correlates of those metrics. Mean detection probability at a distance of 400 m was 0.45 and 0.61 in 2015 and 2016, respectively. In 2015, the clarity of skies increased detection probability, but in 2016, none of the variables we measured influenced detection probability. Mean predicted density was 3.3 (95% confidence interval: 2.4–4.7) and 1.8 (1.2–2.7) curlews/km² in 2015 and 2016, respectively. In both years, curlew density was higher in lower-elevation or topographically smoother areas. Estimated abundance of curlews in the study area was 639 (456–912) and 350 (237–520) birds in 2015 and 2016, respectively. The number of curlews appeared to fluctuate across the two years of our study, a demographic trend that may have been influenced by a wildfire in our study area in June 2015. The results of our study indicate that federal grasslands, including areas where military operations are conducted, can provide conservation benefit to breeding Long-billed Curlews.

Using open-science workflow tools to produce SCEC CyberShake physics-based probabilistic seismic hazard models

Released May 01, 2024 06:47 EST

2024, Frontiers Earth Science Journal (2)

Scott Callaghan, Phillip J. Maechling, Fabio Silva, Mei-Hui Su, Kevin R. Milner, Robert Graves, Kim Olsen, Yifeng Cui, Karan Vahi, Albert Kottke, Christine A Goulet, Ewa Deelman, Tom Jordan, Yehuda Ben-Zion

The Statewide (formerly Southern) California Earthquake Center (SCEC) conducts multidisciplinary earthquake system science research that aims to develop predictive models of earthquake processes, and to produce accurate seismic hazard information that can improve societal preparedness and resiliency to earthquake hazards. As part of this program, SCEC has developed the CyberShake platform, which calculates physics-based probabilistic seismic hazard analysis (PSHA) models for regions with high-quality seismic velocity and fault models. The CyberShake platform implements a sophisticated computational workflow that includes over 15 individual codes written by 6 developers. These codes are heterogeneous, ranging from short-running high-throughput serial CPU codes to large, long-running, parallel GPU codes. Additionally, CyberShake simulation campaigns are computationally extensive, typically producing tens of terabytes of meaningful scientific data and metadata over several months of around-the-clock execution on leadership-class supercomputers. To meet the needs of the CyberShake platform, we have developed an extreme-scale workflow stack, including the Pegasus Workflow Management System, HTCondor, Globus, and custom tools. We present this workflow software stack and identify how the CyberShake platform and supporting tools enable us to meet a variety of challenges that come with large-scale simulations, such as automated remote job submission, data management, and verification and validation. This platform enabled us to perform our most recent simulation campaign, CyberShake Study 22.12, from December 2022 to April 2023. During this time, our workflow tools executed approximately 32,000 jobs, and used up to 73% of the Summit system at Oak Ridge Leadership Computing Facility. Our workflow tools managed about 2.5 PB of total temporary and output data, and automatically staged 19 million output files totaling 74 TB back to archival storage on the University of Southern California's Center for Advanced Research Computing systems, including file-based relational data and large binary files to efficiently store millions of simulated seismograms. CyberShake extreme-scale workflows have generated simulation-based probabilistic seismic hazard models that are being used by seismological, engineering, and governmental communities.

Living with wildfire in Santa Fe: 2021 Data Report

Released May 01, 2024 06:43 EST

2024, Report

James Meldrum, Julia Goolsby, Colleen Donovan, Porfirio Chavarria, Hannah Brenkert-Smith, Patricia A. Champ, Christopher M. Barth, Carolyn Wagner, Chiara Forrester

The City of Santa Fe is well known for arts, food, and architecture, but it also faces significant risk of wildfire. In 2020, the City of Santa Fe partnered with the Wildfire Research (WiRē) team with the goal of better understanding the needs of residents within the study area and their level of support for wildfire risk mitigation programs. The resulting project centers on two types of property-level data: rapid wildfire risk assessment data and household survey data. We followed the WiRē Rapid Wildfire Risk Assessment (WiRē RA) protocol, which measures parcel-level risk as the sum of a set of 13 attributes related to access to the property, background fuels and topography, vegetation near the home, and building materials. This report summarizes the results of the study. Overall, the study indicated a community that was engaged in preparing for wildfire yet had more that could be done to reduce its risk. Common architectural styles led to generally hardened structures, and respondents reported many risk reduction activities, yet most properties were found to have significant vulnerabilities related to limited defensible space and combustible materials near and attached to dwellings. Although many survey respondents did not perceive these same vulnerabilities on their own properties, survey results nonetheless demonstrated widespread interest for programs intended to reduce wildfire risk at the landscape, community, and individual parcel scales.

Investigating past earthquakes with coral microatolls

Released May 01, 2024 06:43 EST

2024, Past Global Changes (PAGES) Magazine (32) 22-23

Belle E. Philibosian

Intertidal corals (microatolls) preserve evidence of past uplift or subsidence with annual precision. Microatoll records are particularly useful along subduction zones, and can reveal past earthquake ruptures at a level of detail that is ordinarily limited to the instrumental era.


Accounting for the fraction of carcasses outside the searched area in the estimation of bird and bat fatalities at wind energy facilities

Released April 30, 2024 16:58 EST

2024, Techniques and Methods 7-A3

Daniel Dalthorp, Manuela Huso, Mark Dalthorp, Jeffrey Mintz

Accurate estimation of bird and bat mortality at wind energy facilities requires accounting for carcasses that lie outside the search plots because they lie beyond the search radius or in areas within the search radius that remain unsearched due to sub-optimal search conditions such as thick vegetation, rough or dangerous ground, water, or restricted access to the land. However, carcass density is not constant around a turbine and the fraction of carcasses within the unsearched area can vary greatly depending on where the area lies relative to the turbine. The density-weighted proportion approach takes into account the changing density of carcasses around turbines to estimate the fraction of carcasses lying in unsearched areas (dwp). It involves tallying the carcasses found in concentric rings centered at the turbine, fitting a curve to the carcass densities in the rings, and dividing the integral of the curve over the area searched by the integral over the total area. Accounting for unsearched area presents special difficulties such as extrapolation beyond the search radius, spatial prediction, and model selection, which are frequently ignored or under-appreciated, potentially resulting in substantial estimation errors.

A powerful new R software package (dwp) is available to perform the calculations, given the distances at which carcasses were found from turbines and a map of the searched area used to discern the fraction of the ground searched at each distance. If all ground within a given search radius has been searched, the map is simply the search radius. For more complicated search plots, other kinds of maps may be used: R polygons for plots that can be readily delineated into searched and not-searched areas (for example, searches restricted to access roads and turbine pads), GIS shape files for complicated search patterns (for example, non-uniform vegetation or ground texture resulting in spatially varying search conditions), or raster files for complicated search patterns coupled with carcass spatial distribution that depends on both distance and direction from turbines.

This study discusses estimation and interpretation of dwp in the context of several realistic examples; provides guidance for use of the dwp software for doing the analyses; and addresses questions of extrapolation, spatial prediction, and model selection.

Adult green sturgeon (Acipenser medirostris) movements in the Sacramento–San Joaquin River Delta, California, December 2020–January 2023

Released April 30, 2024 15:13 EST

2024, Open-File Report 2024-1025

Amy C. Hansen, Summer M. Burdick, Ryan P. Johnson, Robert D. Chase, Michael J. Thomas

The U.S. Army Corps of Engineers American River Watershed Common Features project (ACRF) seeks to reduce flood risk for the City of Sacramento, California, and surrounding areas. The project includes levee-remediation measures to address seepage, stability, erosion, and height concerns as well as the widening of the Sacramento Weir and Bypass. The project reach is in the lower extent of the Sacramento River migration corridor for the federally threatened southern Distinct Population Segment of North American green sturgeon (Acipenser medirostris). To establish baseline migratory behavior, we examined adult green sturgeon transit through the project area prior to construction. Biologists from the U.S. Army Corps of Engineers collected and tagged 55 adult green sturgeon with acoustic and passive integrated transponders, near Hamilton City, California, at river kilometer 332 of the Sacramento River each fall from 2020 to 2022. To evaluate fish movements, we deployed five acoustic detection sites at river kilometers 101, 90, 76, and 21 on the Sacramento River and in Tule Canal near the Sacramento Bypass at river kilometer 101 of the Sacramento River. The acoustic receivers detected nearly all tagged fish moving downstream through the ARCF study area during the same water year (October 1–September 30) in which they were tagged. Three fish released in October of 2020 arrived at the ARCF study area more than 362 days later in October 2021. The timing of tagged fish movements was associated with increases in river flow and not hour of day. Adult green sturgeon moved downstream from January to August when streamflows exceeded 15,000 cubic feet per second. During water year 2023 and the critically dry water year 2022, fish moved with the first peaks in flow occurring from mid-October to early January. Fish tagged in the critically dry water year 2021 entered the ARCF study area over an extended period from January to October, when flows remained around 10,000 cubic feet per second all year. Fish moved quickly between sites within the ARCF study area and generally spent less than 1 hour at each detection site.

Late-Quaternary surface displacements on accretionary wedge splay faults in the Cascadia Subduction Zone: Implications for megathrust rupture

Released April 30, 2024 09:11 EST

2024, Seismica (2)

Anna Ledeczi, Madeleine Lucas, Harold Tobin, Janet Watt, Nathaniel C. Miller

Because splay faults branch at a steep dip angle from the plate-boundary décollement in an accretionary wedge, their coseismic displacement can potentially result in larger tsunamis with distinct characteristics compared to megathrust-only fault ruptures, posing an enhanced hazard to coastal communities. Elsewhere, there is evidence of coseismic slip on splay faults during many of the largest subduction zone earthquakes, but our understanding of potentially active splay faults and their hazards at the Cascadia subduction zone remains limited. To identify the most recently active splay faults at Cascadia, we conduct stratigraphic and structural interpretations of near-surface deformation in the outer accretionary wedge for the ~400 km along-strike length of the landward vergence zone. We analyze recently acquired high-frequency sparker seismic data and crustal-scale multi-channel seismic data to examine the record of deformation in shallow slope basins and the upper ~1 km of the surrounding accreted sediments and to investigate linkages to deeper décollement structure. We present a new fault map for widest, most completely locked portion of Cascadia from 45 to 48°N latitude, which documents the distribution of faults that show clear evidence of recent late Quaternary activity. We find widespread evidence for active splay faulting up to 30 km landward of the deformation front, in what we define as the active domain, and diminished fault activity landward outside of this zone. The abundance of surface-deforming splay faults in the active outer wedge domain suggests Cascadia megathrust events may commonly host distributed shallow rupture on multiple splay faults located within 30 km of the deformation front.

NEWTS1.0: Numerical model of coastal Erosion by Waves and Transgressive Scarps

Released April 30, 2024 08:41 EST

2024, Geoscientific Model Development (17) 3433-3445

Rose Elizabeth Palermo, J. Taylor Perron, Jason M. Soderblom, Samuel P. D. Birch, Alexander G. Hayes, Andrew D. Ashton

Models of rocky-coast erosion help us understand the physical phenomena that control coastal morphology and evolution, infer the processes shaping coasts in remote environments, and evaluate risk from natural hazards and future climate change. Existing models, however, are highly complex, are computationally expensive, and depend on many input parameters; this limits our ability to explore planform erosion of rocky coasts over long timescales (thousands to millions of years) and over a range of conditions. In this paper, we present a simplified cellular model of coastline evolution in closed basins through uniform erosion and wave-driven erosion. Uniform erosion is modeled as a constant rate of retreat. Wave erosion is modeled as a function of fetch, the distance over which the wind blows to generate waves, and the angle between the incident wave and the shoreline. This reduced-complexity model can be used to evaluate how a detachment-limited coastal landscape reflects climate, sea-level history, material properties, and the relative influence of different erosional processes.

Simulation of hydrodynamics and water temperature in a 21-mile reach of the upper Illinois River, Illinois, 2020–22

Released April 30, 2024 07:15 EST

2024, Scientific Investigations Report 2024-5025

Michael R. Ament, David C. Heimann

This report describes the development of a CE-QUAL-W2 river hydrodynamics and temperature model of a 21-mile reach of the Illinois River including a 3-mile reach of a major tributary, the Fox River. Model outputs consist of streamflow, water velocity, water-surface elevation, and water-temperature time series that can be used to simulate summer conditions in years with and without extensive development of harmful algal blooms (HABs). These analyses may provide a better understanding of some complex factors contributing to HAB development along the Illinois River. Such an understanding may provide more accurate HAB timing and location predictions and may help determine potential mitigating activities to prevent or limit the size and duration of HABs.

Using the observed and simulated hydrodynamic conditions in the Illinois River study reach, it was possible to compare and contrast streamflow, velocity, and temperature conditions in years with varying HAB distributions. Occurrences of extensive HABs were documented in the study reach in June 2020 and June 2021, but only a small HAB restricted to the Marseilles Lock and Dam pool occurred in the summer of 2022. The objective then was to find similarities in site conditions between 2020 and 2021 that may contrast with the conditions in 2022. Among the 3 years included in the study, the variability in simulated water temperature exceeded variability in observed streamflow and simulated velocities. The longest period of water temperatures greater than 27 degrees Celsius (°C) in the selected locations in June of the three analysis years was in the second half of June 2022, yet no study-area wide HAB was documented in 2022. Simulations indicated that after warm water temperatures were established in the reach in June 2022, a cooling period broke up the warming period. This period of cooling was greater in magnitude and duration downstream from the location of a localized HAB perhaps limiting the spread of the bloom.

Residence times differed substantially in segments representing different channel features; values ranged from 0.28 to 15.9 (days per 500 meters of channel) between the main stem and backwater areas, respectively. Variation in average June residence times was also greater among different channel features than among different years in the study period. The HABs in 2020 and 2021 at Starved Rock Dam were documented when water temperatures were about 26 °C. River backwater areas at some locations did attain these temperatures 2 to 3 days before the conditions in the main stem. Residence times in the backwater areas, however, generally exceeded 9 days, thus limiting the exchange of water carrying algal biomass into the main channel.

Hydrodynamic model calibration involved adjusting model parameters until observed and simulated daily water-surface elevations, daily streamflows, discrete velocities, and channel areas were similar. Temperature calibration was done with near-surface continuous time-series data and discrete vertical profile temperatures. Observed and simulated water temperatures generally were within 1 °C at all monitoring locations.

Are researchers citing their data? A case study from the U.S. Geological Survey

Released April 30, 2024 06:41 EST

2024, Data Science Journal (23)

Grace C. Donovan, Madison Langseth

Data citation promotes accessibility and discoverability of data through measures carried out by researchers, publishers, repositories, and the scientific community. This paper examines how a data citation workflow has been implemented by the U.S. Geological Survey (USGS) by evaluating publication and data linkages. Two different methods were used to identify data citations: examining publication structural metadata and examining the full text of the publication. A growing number of USGS researchers are complying with publisher data sharing policies aimed to capture data citation information in a standardized way within associated publications. However, inconsistencies in how data citation information is documented in publications has limited the accessibility and discoverability of the data. This paper demonstrates how organizational evaluations of publication and data linkages can be used to identify obstacles in advancing data citation efforts and improve data citation workflows.

Hiding in plain sight: Federally protected Ringed Map Turtles (Graptemys oculifera) found in a new river system

Released April 30, 2024 06:10 EST

2024, Herpetological Conservation and Biology (19) 96-105

Brad Glorioso, Will Selman, Brian R. Kreiser, Aidan Ford

Understanding the geographical range of a species is essential to successful conservation and management, but their ranges are not always fully known. Ringed Map Turtles (Graptemys oculifera) have been federally listed as a Threatened species since 1986, and they have long been considered endemic to the Pearl River system of central Mississippi and southeastern Louisiana, USA. Based on a 2021 citizen scientist observation, a new G. oculifera population was discovered in the Bogue Falaya, a river system that is west of and isolated from the Pearl River system. Genetic analyses of 23 individuals from the Bogue Falaya demonstrate their genetic distinctiveness relative to sites in the Pearl River, suggesting it is a natural rather than introduced population. Therefore, G. oculifera should no longer be considered endemic to the Pearl River system, and this Bogue Falaya population of G. oculifera may warrant the designation of a distinct population segment under the U.S. Endangered Species Act. A thorough assessment of the distribution, abundance, and conservation threats to the Bogue Falaya population of G. oculifera as well as surveys of surrounding systems could help to inform future management actions. This discovery of a long-time federally protected species in the city limits of Covington, Louisiana, documents how citizen scientists can advance scientific knowledge.

Challenges creating monarch butterfly management strategies for electric power companies in the United States

Released April 29, 2024 09:15 EST

2024, Frontiers in Ecology and Evolution (12)

Jessica Fox, Kasey Allen, James E. Diffendorfer, Laura Lukens, Wayne E. Thogmartin, Christian Newman

Returning monarch butterflies (Danaus plexippus) to sustainable levels of abundance will require an array of contributors to protect and restore habitat over broad areas. Due to the diversity and scale of land managed by electric power companies across the monarch range, plus an additional 32 million hectares needed for new solar arrays by 2050 to meet renewable energy goals, the industry may have potential to contribute to monarch conservation. However, it is challenging to clearly understand an individual company’s potential for monarch conservation because of the scale and distribution of their specific land assets (ranging from 4,800 to 240,000 hectares in this study alone), the complexity of monarch science, and the lack of a science-based approach for evaluating large land assets for monarch habitat. With monarchs potentially being protected under the United States Endangered Species Act in the future and thereby limiting land management approaches, there is interest from electric power companies to understand how their lands relate to monarchs. In collaboration with companies, we developed a GIS-based model to identify company landholdings that contain high-quality monarch habitat and applied the model to specific landholdings of eight power companies in the United States. We then facilitated discussions with company teams to balance conservation goals, corporate risk, and social opinion. This paper describes non-confidential results for developing a national GIS-based monarch habitat model and applying it to electric power companies who are considering monarch conservation while simultaneously transitioning to a new clean energy future. The model and applied experience may be useful for other organizations working across large landscapes to manage monarchs.

Global mercury concentrations in biota: Their use as a basis for a global biomonitoring framework

Released April 29, 2024 08:28 EST

2024, Ecotoxicology

David C. Evers, Josh T. Ackerman, Staffan Åkerblom, Dominique Bally, Niladri Basu, Kevin Bishop, Nathalie Bodin, Hans Fredrik Veitberg Braaten, Mark Burton, Paco Bustamante, Celia Y. Chen, John Chételat, Linroy Christian, Rune Dietz, Paul Drevnick, Collin Eagles-Smith, Luis Fernandez, Neil Hammerschlag, Mireille Harmelin-Vivien, Agustin Harte, Eva Kruemmel, Jose Lailson-Brito, Gabriella Medina, Cesar Rodriguez, Iain Stenhouse, Elsie M. Sunderland, Akinori Takeuchi, Timothy Tear, Claudia Vega, Simon Wilson, Pianpian Wu

An important provision of the Minamata Convention on Mercury is to monitor and evaluate the effectiveness of the adopted measures and its implementation. Here, we describe for the first time currently available biotic mercury (Hg) data on a global scale to improve the understanding of global efforts to reduce the impact of Hg pollution on people and the environment. Data from the peer-reviewed literature were compiled in the Global Biotic Mercury Synthesis (GBMS) database (>550,000 data points). These data provide a foundation for establishing a biomonitoring framework needed to track Hg concentrations in biota globally. We describe Hg exposure in the taxa identified by the Minamata Convention: fish, sea turtles, birds, and marine mammals. Based on the GBMS database, Hg concentrations are presented at relevant geographic scales for continents and oceanic basins. We identify some effective regional templates for monitoring methylmercury (MeHg) availability in the environment, but overall illustrate that there is a general lack of regional biomonitoring initiatives around the world, especially in Africa, Australia, Indo-Pacific, Middle East, and South Atlantic and Pacific Oceans. Temporal trend data for Hg in biota are generally limited. Ecologically sensitive sites (where biota have above average MeHg tissue concentrations) have been identified throughout the world. Efforts to model and quantify ecosystem sensitivity locally, regionally, and globally could help establish effective and efficient biomonitoring programs. We present a framework for a global Hg biomonitoring network that includes a three-step continental and oceanic approach to integrate existing biomonitoring efforts and prioritize filling regional data gaps linked with key Hg sources. We describe a standardized approach that builds on an evidence-based evaluation to assess the Minamata Convention’s progress to reduce the impact of global Hg pollution on people and the environment.

Evaluating an improved systems approach to wetland crediting: Consideration of wetland ecosystem services

Released April 29, 2024 07:11 EST

2024, Report

Pamela Mason, Gregory B. Noe, Alicia Berlin, Denise Clearwater, Sally Claggett, Dave Goerman, Brooke J. Landry, Alison Santoro

The Chesapeake Bay Agreement (CBA) has numerous direct goals for improving habitat, living resources, and water quality, conserving lands, engaging communities and addressing a changing climate. To date, the progress toward the wetlands outcome (creation/ restoration of 85,000 acres and enhancement of 150,000 acres) has been very slow and the outcome is projected to be off course for 2025. Two specific confounding issues arise in efforts to achieve the Bay wetlands goal: 1) the idea that restoration is driven, and incentivized and accounted for, in order to meet the TMDL’s water quality (WQ) benefits, leaving habitat benefits undervalued; and 2) there is often tension between competing restoration priorities and financial resources among different Best Management Practice (BMP) types that include wetlands, such as wetland restoration/creation/rehabilitation, stream restoration, and the creation or restoration of forest buffers.

The collaborative workshop “Evaluating an Improved Systems Approach to Wetland Crediting: Consideration of Wetland Ecosystem Services” was held March 22-23, 2022 to explore the wetland accounting system and provide insight on improved approaches to promote wetland projects toward the wetlands outcome. Four sessions were organized around topics of 1) Accounting, 2) Landscape Systems Approach, 3) Wetlands Projects and Co-Benefits, and 4) Management Implications and Recommendation Development with 21 presentations, Q and A and facilitated discussions.

Acknowledgement of the limitations of the current management framework to achieve significant gains in wetland area supports the conclusion that absent significant adaptive management of wetlands efforts, any outcome for net wetlands gains beyond 2025 will be similarly confounded. Workshop findings included suggestions for how to approach restoration projects at a systems level (e.g., creek, shoreline reach, watershed) in order to maximize synergies for multiple ecological outcomes and ecosystem services. Recommendations for improvement on existing efforts, as well as new processes, tools and partnerships are suggested from the workshop’s analysis of the state of the science as considerations to increase implementation of wetlands projects.

Snow avalanches are a primary climate-linked driver of mountain ungulate populations

Released April 29, 2024 07:01 EST

2024, Nature Communications Biology (7)

Kevin White, Eran Hood, Gabriel Wolken, Erich Peitzsch, Yves Bühler, Katreen Wikstrom Jones, Chris Darimont

Snow is a major, climate-sensitive feature of the Earth’s surface and catalyst of fundamentally important ecosystem processes. Understanding how snow influences sentinel species in rapidly changing mountain ecosystems is particularly critical. Whereas effects of snow on food availability, energy expenditure, and predation are well documented, we report how avalanches exert major impacts on an ecologically significant mountain ungulate - the coastal Alaskan mountain goat (Oreamnos americanus). Using long-term GPS data and field observations across four populations (421 individuals over 17 years), we show that avalanches caused 23−65% of all mortality, depending on area. Deaths varied seasonally and were directly linked to spatial movement patterns and avalanche terrain use. Population-level avalanche mortality, 61% of which comprised reproductively important prime-aged individuals, averaged 8% annually and exceeded 22% when avalanche conditions were severe. Our findings reveal a widespread but previously undescribed pathway by which snow can elicit major population-level impacts and shape demographic characteristics of slow-growing populations of mountain-adapted animals.

Black carp Mylopharyngodon piceus (Richardson, 1846) mouth gape and size preference of a bivalve prey

Released April 29, 2024 06:58 EST

2024, Journal of Applied Ichthyology (2024)

Patrick Kroboth, Benjamin H. Stahlschmidt, Duane Chapman

Black carp Mylopharyngodon piceus (Richardson, 1846) have been widely used as biological control of snails in aquaculture and were imported to the United States in the 1970s and 1980s for this purpose. Prior research emphasizes the species’ propensity to control gastropods, but since subsequent escape and establishment of black carp in portions of the Mississippi River Basin, concerns now focus on the numerous endangered and endemic bivalve species upon which black carp may predate. Black carp mouth gape may limit predation on larger bivalves, but bite force is also a factor. We used regression of fish length to mouth gape of wild-caught black carp and compared these results to tank forage size preference trials with bivalve prey Corbicula fluminea clams. Wild-caught black carp ranged from 429 to 1580 mm total length, a size range larger than measured in previous studies. Regression of fish length and mouth gape indicated greater variability among sizes, as expected from wild versus cultured populations. Clam consumption was size-dependent. Black carp commonly engulfed but did not consume the largest clams in tank feeding trials. Shell width was a better predictor of successful consumption than length or height. Predation was restricted at sizes less than the mouth gape of test black carp as observed by individuals engulfing but failing to consume prey. This result indicates that either bite force or the pharyngeal apparatus gape (i.e., the distance between the pharyngeal teeth and keratinous pad) limited successful crushing of engulfed shells. Bivalve predation by black carp is limited by both a fish’s ability to engulf prey and the ability to fracture the shell of larger prey items that cannot be broken or swallowed whole. The results of this research may be used to assess potential prey sizes of wild black carp and anticipated effects of predation on bivalve communities.

A multi-marker assessment of sewage contamination in streams using human-associated indicator bacteria, human-specific viruses, and pharmaceuticals

Released April 29, 2024 06:55 EST

2024, Science of the Total Environment (930)

Peter L. Lenaker, Matthew A. Pronschinske, Steven R. Corsi, Joel P. Stokdyk, Hayley Olds, Deborah K. Dila, Sandra L. McLellan

Human sewage contaminates waterways, delivering excess nutrients, pathogens, chemicals, and other toxic contaminants. Contaminants and various sewage indicators are measured to monitor and assess water quality, but these analytes vary in their representation of sewage contamination and the inferences about water quality they support. We measured the occurrence and concentration of multiple microbiological (n = 21) and chemical (n = 106) markers at two urban stream locations in Milwaukee, Wisconsin, USA over two years. Five-day composite water samples (n = 98) were collected biweekly, and sewage influent samples (n = 25) were collected monthly at a Milwaukee, WI water reclamation facility. We found the vast majority of markers were not sensitive enough to detect sewage contamination. To compare analytes for monitoring applications, five consistently detected human sewage indicators were used to evaluate temporal patterns of sewage contamination, including microbiological (pepper mild mottle virus, human Bacteroides, human Lachnospiraceae) and chemical (acetaminophen, metformin) markers. The proportion of human sewage in each stream was estimated using the mean influent concentration from the water reclamation facility and the mean concentration of all stream samples for each sewage indicator marker. Estimates of instream sewage pollution varied by marker, differing by up to two orders of magnitude, but four of the five sewage markers characterized Underwood Creek (mean proportions of human sewage ranged 0.0025 % - 0.075 %) as less polluted than Menomonee River (proportions ranged 0.013 % - 0.14 %) by an order of magnitude more. Chemical markers correlated with each other and yielded higher estimates of sewage pollution than microbial markers, which exhibited greater temporal variability. Transport, attenuation, and degradation processes can influence chemical and microbial markers differently and cause variation in human sewage estimates. Given the range of potential human and ecological health effects of human sewage contamination, robust characterization of sewage contamination that uses multiple lines of evidence supports monitoring and research applications.

Evaluation of debris-flow building damage forecasts

Released April 29, 2024 06:50 EST

2024, Natural Hazards and Earth System Sciences (24) 1459-1483

Katherine R. Barnhart, Christopher R. Miller, Francis K. Rengers, Jason W. Kean

Reliable forecasts of building damage due to debris flows may provide situational awareness and guide land and emergency management decisions. Application of debris-flow runout models to generate such forecasts requires combining hazard intensity predictions with fragility functions that link hazard intensity with building damage. In this study, we evaluated the performance of building damage forecasts for the 9 January 2018 Montecito postfire debris-flow runout event, in which over 500 buildings were damaged. We constructed forecasts using either peak debris-flow depth or momentum flux as the hazard intensity measure and applied each approach using three debris-flow runout models (RAMMS, FLO-2D, and D-Claw). Generated forecasts were based on averaging multiple simulations that sampled a range of debris-flow volume and mobility, reflecting typical sources and magnitude of pre-event uncertainty. We found that only forecasts made with momentum flux and the D-Claw model could correctly predict the observed number of damaged buildings and the spatial patterns of building damage. However, the best forecast only predicted 50 % of the observed damaged buildings correctly and had coherent spatial patterns of incorrectly predicted building damage (i.e., false positives and false negatives). These results indicate that forecasts made at the building level reliably reflect the spatial pattern of damage but do not support interpretation at the individual building level. We found the event size strongly influences the number of damaged buildings and the spatial pattern of debris-flow depth and velocity. Consequently, future research on the link between precipitation and the volume of sediment mobilized may have the greatest effect on reducing uncertainty in building damage forecasts. Finally, because we found that both depth and velocity are needed to predict building damage, comparing debris-flow models against spatially distributed observations of building damage is a more stringent test for model fidelity than comparison against the extent of debris-flow runout.

Flooding-induced failure of an invasive Burmese Python nest in southern Florida

Released April 29, 2024 06:47 EST

2024, Reptiles and Amphibians (31)

Mark Robert Sandfoss, Lisa Marie McBride, Gretchen Erika Anderson, Amanda Marie Kissel, Matthew McCollister, Christina M. Romagosa, Amy A. Yackel Adams

It is important to understand the factors affecting the reproductive success of an invasive species to estimate population size and develop management plans. There remains much we do not understand about the reproductive biology of invasive Burmese Pythons in both their native and invasive range. Oviposition site selection is an important factor in determining reproductive success as nesting is a vulnerable period in the life of reptiles. Flooding can be particularly influential for nesting outcomes and success of developing embryos in habitats that experience periods of heavy rainfall or seasonal flooding. It is not clear how seasonal flooding may impact oviposition site selection by females or hatchling survival of Burmese Pythons in Florida. On 10 May 2023, a radio-transmitted female python oviposited in a hollow log and during incubation all eggs were completely submerged for variable amounts of time. All eggs were collected (n = 78) and dissected to confirm fertilization and assess the stage of embryo development. Two eggs were found to be infertile, while the remaining fertile eggs contained embryos that died at various stages of development. The observed failure of this python nest was a direct result of oviposition site selection by the female. The frequency at which females lay eggs in suboptimal locations in southern Florida is currently unknown. This maladaptive behavior would suggest Burmese Pythons have fitness levels below theoretical optima.

Methylmercury effects on birds: A review, meta-analysis, and development of toxicity reference values for injury assessment based on tissue residues and diet

Released April 29, 2024 06:45 EST

2024, Environmental Toxicology and Chemistry

Josh T. Ackerman, Sarah H. Peterson, Mark P. Herzog, Julie L. Yee

Birds are used as bioindicators of environmental mercury (Hg) contamination, and toxicity reference values are needed for injury assessments. We conducted a comprehensive review, summarized data from 168 studies, performed a series of Bayesian hierarchical meta-analyses, and developed new toxicity reference values for the effects of methylmercury (MeHg) on birds using a benchmark dose analysis framework. Lethal and sublethal effects of MeHg on birds were categorized into nine biologically relevant endpoint categories and three age classes. Effective Hg concentrations where there was a 10% reduction (EC10) in the production of juvenile offspring (0.55 µg/g wet wt adult blood-equivalent Hg concentrations, 80% credible interval: [0.33, 0.85]), histology endpoints (0.49 [0.15, 0.96] and 0.61 [0.09, 2.48]), and biochemical markers (0.77 [<0.25, 2.12] and 0.57 [0.35, 0.92]) were substantially lower than those for survival (2.97 [2.10, 4.73] and 5.24 [3.30, 9.55]) and behavior (6.23 [1.84, >13.42] and 3.11 [2.10, 4.64]) of juveniles and adults, respectively. Within the egg age class, survival was the most sensitive endpoint (EC10 = 2.02 µg/g wet wt adult blood-equivalent Hg concentrations [1.39, 2.94] or 1.17 µg/g fresh wet wt egg-equivalent Hg concentrations [0.80, 1.70]). Body morphology was not particularly sensitive to Hg. We developed toxicity reference values using a combined survival and reproduction endpoints category for juveniles, because juveniles were more sensitive to Hg toxicity than eggs or adults. Adult blood-equivalent Hg concentrations (µg/g wet wt) and egg-equivalent Hg concentrations (µg/g fresh wet wt) caused low injury to birds (EC1) at 0.09 [0.04, 0.17] and 0.04 [0.01, 0.08], moderate injury (EC5) at 0.6 [0.37, 0.84] and 0.3 [0.17, 0.44], high injury (EC10) at 1.3 [0.94, 1.89] and 0.7 [0.49, 1.02], and severe injury (EC20) at 3.2 [2.24, 4.78] and 1.8 [1.28, 2.79], respectively. Maternal dietary Hg (µg/g dry wt) caused low injury to juveniles at 0.16 [0.05, 0.38], moderate injury at 0.6 [0.29, 1.03], high injury at 1.1 [0.63, 1.87], and severe injury at 2.4 [1.42, 4.13]. We found few substantial differences in Hg toxicity among avian taxonomic orders, including for controlled laboratory studies that injected Hg into eggs. Our results can be used to quantify injury to birds caused by Hg pollution. 

Influence of rrganic matter thermal maturity on rare earth element distribution: A study of Middle Devonian black shales from the Appalachian Basin, USA

Released April 28, 2024 09:47 EST

2024, Energies (17)

Shailee Bhattacharya, Shikha Sharma, Vikas Agrawal, Michael C. Dix, Giovanni Zanoni, Justin E. Birdwell, Albert S. Wylie Jr., Tom Wagner

This study focuses on understanding the association of rare earth elements (REE; lanthanides + yttrium + scandium) with organic matter from the Middle Devonian black shales of the Appalachian Basin. Developing a better understanding of the role of organic matter (OM) and thermal maturity in REE partitioning may help improve current geochemical models of REE enrichment in a wide range of black shales. We studied relationships between whole rock REE content and total organic carbon (TOC) and compared the correlations with a suite of global oil shales that contain TOC as high as 60 wt.%. The sequential leaching of the Appalachian shale samples was conducted to evaluate the REE content associated with carbonates, Fe–Mn oxyhydroxides, sulfides, and organics. Finally, the residue from the leaching experiment was analyzed to assess the mineralogical changes and REE extraction efficiency. Our results show that heavier REE (HREE) have a positive correlation with TOC in our Appalachian core samples. However, data from the global oil shales display an opposite trend. We propose that although TOC controls REE enrichment, thermal maturation likely plays a critical role in HREE partitioning into refractory organic phases, such as pyrobitumen. The REE inventory from a core in the Appalachian Basin shows that (1) the total REE ranges between 180 and 270 ppm and the OM-rich samples tend to contain more REE than the calcareous shales; (2) there is a relatively higher abundance of middle REE (MREE) to HREE than lighter REE (LREE); (3) there is a disproportionate increase in Y and Tb with TOC likely due to the rocks being over-mature; and (4) the REE extraction demonstrates that although the OM has higher HREE concentration, the organic leachates contain more LREE, suggesting it is more challenging to extract HREE from OM than using traditional leaching techniques.

Special Contributing Area Loading Program user’s manual

Released April 26, 2024 11:23 EST

2024, Open-File Report 2024-1021

Henry F. Doyle, Marian M. Domanski

The Special Contributing Area Loading Program (SCALP) is a hydrologic routing program that simulates reservoir routing through a linear-reservoir-in-series method. The Java version of SCALP was developed to replicate and replace the functionality of an older version of the program written in Fortran. SCALP models flow through three reservoirs in series using an input runoff depth time series and information describing the hydrologic characteristics and sanitary flow for one or more land areas within a basin, supplied by the user. Each basin is herein referred to as a “Special Contributing Area” (SCA); the SCAs are a central concept in SCALP. Although flow through each SCA is routed separately, the user may simulate multiple SCAs in a batch simulation. The outputs of SCALP include information about flows through and overflows from the three reservoirs in the series.

Automatic identification and quantification of volcanic hotspots in Alaska using HotLINK: The hotspot learning and identification network

Released April 26, 2024 06:55 EST

2024, Frontiers in Earth Science (12)

Pablo Saunders-Shultz, Taryn Lopez, Hannah R. Dietterich, Tarsilo Girona

An increase in volcanic thermal emissions can indicate subsurface and surface processes that precede, or coincide with, volcanic eruptions. Space-borne infrared sensors can detect hotspots—defined here as localized volcanic thermal emissions—in near-real-time. However, automatic hotspot detection systems are needed to efficiently analyze the large quantities of data produced. While hotspots have been automatically detected for over 20 years with simple thresholding algorithms, new computer vision technologies, such as convolutional neural networks (CNNs), can enable improved detection capabilities. Here we introduce HotLINK: the Hotspot Learning and Identification Network, a CNN trained to detect hotspots with a dataset of −3,800 satellite-based, Visible Infrared Imaging Radiometer Suite (VIIRS) images from Mount Veniaminof and Mount Cleveland volcanoes, Alaska. We find that our model achieves an accuracy of 96% (F1-score 0.92) when evaluated on −1,700 unseen images from the same volcanoes, and 95% (F1-score 0.67) when evaluated on −3,000 images from six additional Alaska volcanoes (Augustine Volcano, Bogoslof Island, Okmok Caldera, Pavlof Volcano, Redoubt Volcano, Shishaldin Volcano). In comparison with an existing threshold-based hotspot detection algorithm, MIROVA (Coppola et al., Geological Society, London, Special Publications, 2016, 426, 181–205), our model detects 22% more hotspots and produces 12% fewer false positives. Additional testing on −700 labeled Moderate Resolution Imaging Spectroradiometer (MODIS) images from Mount Veniaminof demonstrates that our model is applicable to this sensor’s data as well, achieving an accuracy of 98% (F1-score 0.95). We apply HotLINK to 10 years of VIIRS data and 22 years of MODIS data for the eight aforementioned Alaska volcanoes and calculate the radiative power of detected hotspots. From these time series we find that HotLINK accurately characterizes background and eruptive periods, similar to MIROVA, but also detects more subtle warming signals, potentially related to volcanic unrest. We identify three advantages to our model over its predecessors: 1) the ability to detect more subtle volcanic hotspots and produce fewer false positives, especially in daytime images; 2) probabilistic predictions provide a measure of detection confidence; and 3) its transferability, i.e., the successful application to multiple sensors and multiple volcanoes without the need for threshold tuning, suggesting the potential for global application.

Post-fire reference densities for giant sequoia seedlings in a new era of high-severity wildfires

Released April 26, 2024 06:46 EST

2024, Forest Ecology and Management (562)

Nathan L. Stephenson, Anthony C. Caprio, David Nicolas Bertil Soderberg, Adrian Das, Eva Louisa Lopez, A. Park Williams

Many forests globally are experiencing increases in large, high-severity wildfires, often with increasingly inadequate post-fire tree regeneration. To identify areas that might need post-fire planting, forest managers have a growing need for seedling reference densities – the natural seedling densities expected to be adequate to regenerate a forest – to compare with observed post-fire seedling densities. The most useful reference densities will meet five criteria: they will (1) be specific to natural post-fire reproduction rather than planted seedlings (because planted seedlings can have substantially greater survival than natural seedlings, thus underestimating adequate natural reproduction), (2) apply to the first few years following fire (when management decisions and actions are most likely), (3) be specific to each of those post-fire years (because post-fire seedling densities can change rapidly with time since fire), (4) be associated with estimates of uncertainty, and (5) include consideration of novel environmental conditions during management applications (because most reference densities will be based on data collected under more environmentally benign conditions). The world’s most massive tree species, the giant sequoia (Sequoiadendron giganteum) of California’s Sierra Nevada, recently experienced historically unprecedented wildfires that killed an estimated 13–19% of mature sequoias across their native range. Seedlings germinating after these fires then experienced exceptional summer heat and the two most severe summer droughts of the 121-year historical record. To help inform management responses to these events, we used seedling censuses from past fires (mostly prescribed fires) to calculate sequoia seedling reference densities meeting the five criteria. The reference densities had three striking features, which are partly attributable to giant sequoia’s status as a pioneer species. First, despite being inherently conservative, the reference densities were quite high. For example, mean first-year reference density was 172,599 seedlings ha−1. Second, reference densities declined precipitously with time since fire: the mean fifth-year reference density was only 5% of the mean first-year density. Third, the reference densities were associated with relatively substantial uncertainty, a consequence of density variations among seedling plots; for example, the 95% credible interval for first-year reference density was 64,377 to 313,438 seedlings ha−1. Despite this uncertainty, a case-study sequoia grove that recently burned in a high-severity wildfire had second-year post-fire seedling densities that were significantly (and dramatically) lower than the corresponding second-year reference density, suggesting inadequate post-fire reproduction. Our results highlight the value of the five criteria for reference densities – criteria that, in current practice, are rarely all met.

Evaluation of metrics and thresholds for use in national-scale river harmful algal bloom assessments

Released April 26, 2024 06:42 EST

2024, Ecological Indicators (162)

Sarah M. Stackpoole, Jacob Aaron Zwart, Jennifer L. Graham, Judson Harvey, Noah Schmadel, Jennifer C. Murphy

The spatiotemporal distribution of harmful algal blooms (HABs) in rivers remains poorly understood, and there is an urgent need to develop a consistent set of metrics to better document HAB occurrences and forecast future events. Using data from seven sites in the Illinois River Basin, we computed metrics focused on HAB conditions related to excess algal growth and hypoxia. Daily mean chlorophyll and dissolved oxygen (DO) concentrations, gross primary productivity (GPP), and net ecosystem productivity (NEP) rates, focused on water quality status, identifying the timing of the transition from a clear-water to an algal dominated state. Early warning indicators (EWIs), the first-order autoregressive process (Ar1) and standard deviation (SD) of chlorophyll concentrations, focused on future events, forecasting blooms. Metrics were compared to either literature-derived or statistical-based thresholds and were normalized by total number of daily samples for an exceedance rate. Exceedances of a daily mean chlorophyll concentration averaged 50 % across all sites using a 10 µg L−1 threshold but increasing the threshold to 50 μg L−1 reduced the average exceedance rate to 5 %. The average exceedance rate for GPP (∼8 g O2 m2d−1 threshold) was 15 %, similar to the daily amplitude DO concentration (∼3 mg L−1 threshold), but the average for NEP (0 g O2 m2 d−1 threshold) was higher, at 28 %. The number of days with at least 1 continuous DO concentration below the threshold of 5, 3, or 2 mg L−1, had basin wide exceedance rates of 9 %, 3 %, and 2 %, respectively. Thresholds for EWIs, Ar1 and SD, were exceeded at 5 of the 7 sites with high chlorophyll concentrations and GPP rates. The correlation between proxies for algal biomass (chlorophyll concentration) and productivity (GPP) was strongest for sites in the middle region of the basin, with R2 values between 0.54 and 0.74. Although, cyanotoxin concentrations are the most commonly used metrics by states to define an inland water HAB, there is a paucity of publicly available data. The wider availability of chlorophyll and oxygen data combined with the results from this study suggest that biomass and productivity state and event-based metrics may be a promising way to assess and predict the vulnerability of rivers to some of the deleterious effects of HABs at broad spatial scales.

State of the data: Assessing the FAIRness of USGS data

Released April 26, 2024 06:42 EST

2024, Data Science Journal (23)

Vivian B. Hutchison, Tamar Norkin, Lisa Zolly, Leslie Hsu

In response to recent shifts towards open science that emphasize transparency, reproducibility, and access to research data, the US Geological Survey (USGS) conducted a study to assess the degree to which USGS data assets meet the FAIR data principles (Findable, Accessible, Interoperable, and Reusable). The USGS designed and applied a methodology for quantitative analysis of FAIR characteristics. A new rubric was derived from a crosswalk of existing FAIR evaluation frameworks and customized for the USGS. The rubric, consisting of 62 yes/no questions, was applied to 392 metadata records of USGS data products published between 1987 and 2022. Results were analyzed to show which FAIR characteristics were most and least present in the metadata and how these scores changed after the implementation of data policy requirements in 2016. Aggregated scores showed specific areas of strength and needed improvements. The greatest increases in FAIR scores over time were for elements that were required by new data policies, especially in the ‘Findable’ category. Based on the results, this paper presents strategies to further improve USGS alignment with FAIR. The suggested strategies are organized in four key areas: USGS data repository characteristics, training and communities of practice, data management policy considerations, and metadata standards, tools, and best practices.

Status of water quality in groundwater resources used for drinking-water supply in the southeastern San Joaquin Valley, 2013–15—California GAMA Priority Basin Project

Released April 25, 2024 13:17 EST

2024, Scientific Investigations Report 2024-5009

Karen R. Burow, Jennifer L. Shelton, Miranda S. Fram

The California Groundwater Ambient Monitoring and Assessment Program Priority Basin Project (GAMA-PBP) investigated water quality of groundwater resources used for drinking-water supplies in the Madera-Chowchilla, Kings, Kaweah, Tule, and Tulare Lake groundwater subbasins of the southeastern San Joaquin Valley during 2013–15. The study focused primarily on groundwater resources used for domestic-supply wells in the southeastern San Joaquin Valley (SESJV-D), which correspond mostly to shallower parts of aquifer systems, compared to the groundwater resources used for public-supply wells in the southeastern San Joaquin Valley (SESJV-P). The investigation had three components: (1) characterization of the status of water quality in the SESJV-D, (2) comparison between water quality in the SESJV-D and SESJV-P, and (3) identification of natural and anthropogenic factors that potentially could affect water quality in these resources.

The characterization of water quality in the SESJV-D was based on data collected from 198 domestic wells sampled during 2013–15 by the U.S. Geological Survey (USGS); characterization of water quality in the SESJV-P was based on data collected from 124 wells sampled by the USGS during 2005–18 and an additional 1,577 wells with publicly available data reported to the California State Water Resources Control Board Division of Drinking Water (SWRCB-DDW). Measured concentrations were compared to regulatory and non-regulatory drinking-water quality benchmarks. A grid-based method was used to estimate the areal proportions of each study area and the whole southeastern San Joaquin Valley with high (greater than benchmark concentration), moderate (greater than half of the benchmark for inorganic and one-tenth of the benchmark for organic), and low concentrations relative to those benchmarks.

Natural and anthropogenic factors that could affect groundwater quality for the SESJV-D were identified in the context of the hydrogeologic setting of the southeastern San Joaquin Valley. The considered factors represented hydrologic conditions and position in the groundwater flow system (well depth, lateral position, presence of hydric soils, percentage of coarse-grained sediment, and aridity index), land-use characteristics (percentages of agricultural, urban, and natural land use, percentage of orchard or vineyard land use, and densities of septic tanks and underground storage tanks near the wells), and geochemical conditions (groundwater age class, oxidation-reduction class, pH, and dissolved oxygen and bicarbonate concentrations). Factors are compared between SESJV-D and SESJV-P at the scale of the five study areas.

One or more inorganic constituents with U.S. Environmental Protection Agency (EPA) or California maximum contaminant levels (MCLs) were detected at high concentrations in 47 percent of the SESJV-D and in 32 percent of the SESJV-P. The inorganic constituents most commonly present at high concentrations in the SESJV-D were nitrate, uranium, and arsenic. Within the SESJV-D, the proportion of the study area with high concentrations of inorganic constituents ranged from 19 percent in Madera-Chowchilla to 60 percent in Kings and Tulare Lake. One or more inorganic constituents with California State Water Resources Control Board Division of Drinking Water secondary maximum contaminant levels (SMCL-CAs) were detected at high concentrations in 14 percent of the SESJV-D and in 19 percent of the SESJV-P. The constituents most commonly present at high concentrations were manganese, iron, and total dissolved solids (TDS). Although the proportion of SESJV-D and SESJV-P with high concentrations of TDS greater than the upper SMCL were similar at 4 percent, the proportion of the SESJV-D with moderate concentrations (between the recommended and upper SMCL-CA), 30 percent, was greater than the proportion of the SESJV-P with moderate concentrations, 12 percent.

One or more organic constituents with MCLs were present at high concentrations in 19 percent of the SESJV-D and in 12 percent of the SESJV-P. All the constituents detected at high concentrations in the SESJV-D were fumigants, primarily 1,2,3-trichloropropane (1,2,3-TCP) and 1,2-dibromo-3-chloropropane (DBCP). Fumigants also were the constituents most commonly detected at high concentrations in the SESJV-P, although high concentrations of solvents also were detected. The SESJV-D dataset included analysis of many organic constituents without MCL benchmarks and with detection levels far below drinking water benchmark concentrations; detections at these low concentrations can be used as tracers of anthropogenic influence on groundwater. Pesticides and degradates of pesticides were detected in 60 percent of the SESJV-D; the most frequently detected pesticides were the herbicides simazine, didealkylatrazine (CAAT, a degradate of simazine and atrazine), diuron, and bromacil.

Atmospheric river activity during the late Holocene exceeds modern range of variability in California

Released April 25, 2024 06:59 EST

2024, Nature Communications Earth and Environment (5)

Clarke Alexandra Knight, Lysanna Anderson, Liubov S. Presnetsova, Marie Rhondelle Champagne, David Wahl

Atmospheric rivers are associated with some of the largest flood-producing precipitation events in western North America, particularly California. Insight into past extreme precipitation can be reconstructed from sedimentary archives on millennial timescales. Here we document atmospheric river activity near Leonard Lake, California, over 3,200 years, using a key metric of atmospheric river intensity, that is silicon/aluminum enriched layers that are highly correlated with modern records of integrated vapor transport. The late twentieth century had the highest median integrated vapor transport since the onset of the Medieval Climate Anomaly, with integrated vapor transport increasing during the Little Ice Age. The reconstruction suggests California has experienced pluvial episodes that exceeded any in the meteorologic instrumental era, with the largest episodes occurring two and three millennia ago. These results provide critical data to help avoid underestimation of potential risks and aid future planning scenarios.

Flexible migration and habitat use strategies of an endangered waterbird during hydrological drought

Released April 25, 2024 06:44 EST

2024, Conservation Science and Practice

Aaron T. Pearse, Andrew J. Caven, David M. Baasch, Mark T. Bidwell, John A Conkin, David A. Brandt

Wildlife species confront threats from climate and land use change, exacerbating the influence of extreme climatic events on populations and biodiversity. Migratory waterbirds are especially vulnerable to hydrological drought via reduced availability of surface water habitats. We assessed how whooping cranes (Grus americana) modified habitat use and migration strategies during drought to evaluate their resilience to changing conditions and adaptive capacity. We categorized >8000 night-roost sites used by 146 cranes from 2010 to 2022 and examined relative use during non-drought, moderate drought, and extreme drought conditions. We found cultivated and uncultivated palustrine and lacustrine wetlands were generally used less during droughts than non-drought conditions. Conversely, impounded palustrine and lacustrine systems and rivers served more frequently as drought refugia (i.e., used more during drought than non-drought conditions). Night roosts occurred primarily on private lands (86% overall); public land use decreased with latitude and increased with drought severity, with greatest use (56%) occurring during severe autumn drought in the southern Great Plains. Quantifying use of identified critical habitats in the United States indicated that Cheyenne Bottoms State Waterfowl Management Area and Quivira National Wildlife Refuge were used less during drought, and the Central Platte River and Salt Plains National Wildlife Refuge received similar use during drought compared to non-drought conditions. Our findings provide insights into compensatory use of habitats, where impounded surface water may function in a complementary fashion with natural wetlands. Collectively, these and other types of wetlands distributed across the migration corridor provided a reliable network of habitat available across the Great Plains. A diversity of wetlands available during variable environmental conditions would be useful in supporting continued recovery of whooping cranes and likely have benefits for a wide array of migratory birds.

Ecological inferences on invasive carp survival using hydrodynamics and egg drift models

Released April 25, 2024 06:02 EST

2024, Scientific Reports (14)

Ruichen Xu, Duane Chapman, Caroline M. Elliott, Bruce Call, Robert B. Jacobson, Binbin Yang

Bighead carp (Hypophthalmichthys nobilis), silver carp (H. molitrix), black carp (Mylopharyngodon piceus), and grass carp (Ctenopharyngodon idella), are invasive species in North America. However, they hold significant economic importance as food sources in China. The drifting stage of carp eggs has received great attention because egg survival rate is strongly affected by river hydrodynamics. In this study, we explored egg-drift dynamics using computational fluid dynamics (CFD) models to infer potential egg settling zones based on mechanistic criteria from simulated turbulence in the Lower Missouri River. Using an 8-km reach, we simulated flow characteristics with four different discharges, representing 45–3% daily flow exceedance. The CFD results elucidate the highly heterogeneous spatial distribution of flow velocity, flow depth, turbulence kinetic energy (TKE), and the dissipation rate of TKE. The river hydrodynamics were used to determine potential egg settling zones using criteria based on shear velocity, vertical turbulence intensity, and Rouse number. Importantly, we examined the difference between hydrodynamic-inferred settling zones and settling zones predicted using an egg-drift transport model. The results indicate that hydrodynamic inference is useful in determining the ‘potential’ of egg settling, however, egg drifting paths should be taken into account to improve prediction. Our simulation results also indicate that the river turbulence does not surpass the laboratory-identified threshold to pose a threat to carp eggs.

Bathymetric and velocimetric surveys at highway bridges crossing the Missouri and Mississippi Rivers on the periphery of Missouri, June 13–22, 2022

Released April 24, 2024 14:05 EST

2024, Scientific Investigations Report 2024-5032

Richard J. Huizinga

Bathymetric and velocimetric data were collected by the U.S. Geological Survey, in cooperation with the Missouri Department of Transportation, near seven bridges at six highway crossings of the Missouri and Mississippi Rivers on the periphery of Missouri from June 13–22, 2022. A multibeam echosounder mapping system was used to obtain channel-bed elevations for river reaches about 1,640 feet longitudinally and generally extending laterally across the active channel from bank to bank during minor flood-flow conditions. These surveys provided channel geometry and hydraulic conditions at the time of the surveys and provided characteristics of scour holes that may be useful in developing or verifying predictive guidelines or equations for computing potential scour depth. These data also may be useful to the Missouri Department of Transportation as a minor flood-flow assessment of the bridges for stability and integrity issues with respect to bridge scour during floods.

Bathymetric data were collected around every in-channel pier. Scour holes were present at most piers for which bathymetry could be obtained, except those on banks or surrounded by riprap. Occasionally, scour holes were minor and difficult to discern from nearby dunes and ripples. All bridge sites in this study were surveyed and documented in previous studies. Although partial exposure of substructural support elements was observed at several piers, at most sites the exposure most likely is minimal compared to the overall substructure that remains buried in bed material at these piers. The notable exceptions are piers 12 and 13 at structure L0135 on State Highway 51 at Chester, Illinois, where the bedrock material was fully exposed around the piers.

The average difference between the bathymetric surfaces between 2022 and 2018 varied from 0.41 foot higher to 1.86 feet lower. Between 2022 and 2014, the average difference between the bathymetric surfaces varied from 1.02 feet higher to 4.69 feet lower. Only the two sites on the Missouri River and the Caruthersville site were surveyed in 2011; for those sites, the average difference between the bathymetric surfaces varied from 5.83 feet higher to 1.34 feet lower. The most substantial overall net gain of sediment in a reach was between 2011 and 2022 at structure A1700 near Caruthersville, Mo. (site 38). This result was expected because structure A1700 is downstream from the confluences of the Missouri and Ohio Rivers, and therefore subject to the largest streamflows, the largest streamflow fluctuations, and the most substantial sediment flux, as has historically been observed at this site.

The presence of riprap blankets, pier size and nose shape, and alignment to flow had a substantial effect on the size of the scour hole observed for a given pier. Piers that were surrounded by riprap blankets had scour holes that were substantially smaller (to nonexistent) compared to piers at which no rock or riprap were present. New riprap blankets were surveyed at pier 3 of structure L0098 at Brownville, Nebraska, and at piers 15–18 of structure A1700 near Caruthersville, Mo., that effectively mitigated the scour holes historically observed at these piers. Narrow piers having round or sharp noses that were aligned with flow often had scour holes that were difficult to discern from nearby bed features, whereas piers having wide or blunt noses resulted in larger, deeper scour holes. Several of the structures had piers that were skewed to primary approach flow. Scour holes near these piers consistently displayed greater depth on the side of the pier with impinging flow and deposition on the leeward side of the pier.

Genetic structure of restored Brook Trout populations in the Southern Appalachian Mountains indicates successful reintroductions

Released April 24, 2024 08:48 EST

2024, Conservation Genetics

Rebecca J. Smith, David C. Kazyak, Matt A. Kulp, Barbara A. Lubinski, Benjamin M. Fitzpatrick

Wildlife reintroduction is an important conservation tool for threatened species, yet identifying appropriate source populations poses a challenge. In particular, the possibility of outbreeding depression is cited as a constraint limiting the range of candidate source populations for translocation. When multiple source lineages are mixed during reintroduction, genetic monitoring is necessary to evaluate whether sources contribute equally to subsequent generations and whether they are interbreeding as expected. Moreover, statistical analysis of genetic data should account for complex life histories that might affect the timescale of admixture and genetic drift. Here, we use samples collected over a 23-year period and a stochastic age-structured model to analyze the genetic mixing process in reintroduced Brook Trout (Salvelinus fontinalis) populations in the Southern Appalachians. Each restored population was seeded with two to three source populations. Previous research inferred reproductive isolation between source populations leading to a proposal of splitting the species into multiple taxa. In contrast, we found patterns of ancestry that were consistent with random mating and no advantage for one source lineage over any other. Brook Trout from different source streams are mixing as expected in the restoration sites. This result does not support the hypothesis that Brook Trout in the Southern Appalachian Mountains includes several distinct species. Mixing different sources from the same watershed seems to be an effective way to increase genetic diversity of reintroduced populations while minimizing risk to source populations.

Spatiotemporal patterns in habitat use of natal and non-natal adult Atlantic sturgeon in two spawning rivers

Released April 24, 2024 07:07 EST

2024, Conservation Genetics (12)

Shannon L. White, Matthew W. Breece, Dewayne A. Fox, David C. Kazyak, Amanda Higgs, Ian A Park, Cassia Busch, Barbara A. Lubinski, Robin L. Johnson, Amy Welsh

Background

Monitoring movement across an organism’s ontogeny is often challenging, particularly for long-lived or wide-ranging species. When empirical data are unavailable, general knowledge about species’ ecology may be used to make assumptions about habitat use across space or time. However, inferences about habitat use based on population-level ecology may overlook important eco-evolutionary contributions from individuals with heterogenous ethologies and could diminish the efficacy of conservation and management.

Methods

We analyzed over a decade of acoustic telemetry data to understand individual differences in habitat use of federally endangered adult Atlantic sturgeon (Acipenser o. oxyrinchus) in the Delaware and Hudson rivers during spawning season. In particular, we sought to understand whether sex or natal origin could predict patterns in habitat use, as there is a long-held assumption that adult Atlantic sturgeon seldom stray into non-natal rivers.

Results

In both rivers, migration timing, spawning habitat occupancy, and maximum upstream migration distance were similar between natal and non-natal individuals. While non-natal individuals represented only 13% of fish detected in the Hudson River, nearly half of all tagged fish detected in the Delaware River were non-natal and generally occupied freshwater habitats longer than natal individuals. In both systems males had more heterogenous patterns of habitat use and longer duration of occupancy than did females.

Conclusions

This study demonstrates the importance of non-natal rivers for fulfilling ontogenetic habitat requirements in Atlantic sturgeon. Our results may also highlight an opportunity to improve conservation and management by extending habitat designations to account for more heterogenous patterns in individual habitat use in non-natal freshwater environments.

Carotenoid skin ornaments as flexible indicators of male foraging behavior in a marine predator: Variation among Mexican colonies of brown booby (Sula leucogaster)

Released April 24, 2024 06:55 EST

2024, Marine Biology (171)

Nathan P. Michael, Roxana Torres, Andreanna J. Welch, Jonathan J. Felis, Mario Erandi Bonillas-Monge, Josh Adams, Samantha Hodgson, Laura Lopez-Marques, Alejadro Martínez-Flores, Gala Enidh Castro-Mejias, Anne E. Wiley

Carotenoid-dependent ornaments can reflect animals’ diet and foraging behaviors. However, this association should be spatially flexible and variable among populations to account for geographic variation in optimal foraging behaviors. We tested this hypothesis using populations of a marine predator (the brown booby, Sula leucogaster) that forage across a gradient in ocean depth in and near the Gulf of California. Specifically, we quantified green chroma for two skin traits (foot and gular color) and their relationship to foraging location and diet of males, as measured via global positioning system tracking and stable carbon isotope analysis of blood plasma. Our three focal colonies varied in which foraging attributes were linked to carotenoid-rich ornaments. For gular skin, our data showed a shift from a benthic prey-green skin association in the shallow waters in the north to a pelagic prey-green skin association in the deepest waters to the south. Mean foraging trip duration and distance of foraging site from coast also predicted skin coloration in some colonies. Finally, brown booby colonies varied in which trait (foot versus gular skin color) was associated with foraging metrics. Overall, our results indicate that male ornaments reflect quality of diet and foraging–information that may help females select mates who are adapted to local foraging conditions and therefore, are likely to provide better parental care. More broadly, our results stress that diet-dependent ornaments are closely linked to animals’ environments and that we cannot assume ornaments or ornament signal content are ubiquitous within species, even when ornaments appear similar among populations.

Eggshell membrane thickness and its contribution to total eggshell thickness for 13 waterbird species

Released April 24, 2024 06:50 EST

2024, The Wilson Journal of Ornithology (136) 62-76

Gary M. Santolo, Sarah H. Peterson, Breanne Cooney, C. Alex Hartman, Mark P. Herzog, Josh T. Ackerman

Eggshell thickness can be an indicator of environmental pollution in wild birds and shell quality in wild and domestic birds, but it is difficult to measure calcite eggshell thickness due to the presence of the adherent outer eggshell membrane. Eggshells of 13 waterbird species were divided in half longitudinally and the outer membrane was removed from one of the halves. Subsequently, we measured eggshell thickness, both with and without the outer eggshell membrane, using a Hall-effect thickness gauge to the nearest 0.001 mm along the equator of each eggshell half. Outer eggshell membrane thicknesses ranged from 0.014 to 0.073 mm. Caspian Tern (Hydroprogne caspia) and California Gull (Larus californicus) had the thickest eggshell membranes (0.056 and 0.073 mm, respectively), and Green Heron (Butorides virescens) and Killdeer (Charadrius vociferus) had the thinnest membranes (0.014 and 0.022 mm, respectively). The eggshell membrane, as a percent of the total eggshell and membrane thickness, varied among the 13 species and ranged among species from 7.9% to 20.6%. The outer membrane comprised a greater percent of the total eggshell and membrane thickness for Black Skimmer (19.3%; Rynchops niger), California Gull (20.5%), and Forster's Tern (20.6%; Sterna forsteri) than for Green Heron (7.9%), Double-crested Cormorant (10.4%; Phalacrocorax auritus), and Western Grebe (10.6%; Aechmophorus occidentalis). Within species, the outer membrane thickness was not correlated with egg morphometrics but, for a subset of species, there was some indication that the calcite eggshell thickness decreases with embryo development (age). We discuss several reasons for conducting future eggshell thickness measurements without removing the membrane.

Wetland creation and reforestation of legacy surface mines in the Central Appalachian Region (USA): A potential climate-adaptation approach for pond-breeding amphibians?

Released April 24, 2024 06:45 EST

2024, Water (16)

Lauren Sherman, Christopher D. Barton, Jacquelyn C. Guzy, Rebecca N. Davenport, John J. Cox, Jeffery L. Larkin, Todd Fearer, Jillian C. Newman, Steven J. Price

Habitat restoration and creation within human-altered landscapes can buffer the impacts of climate change on wildlife. The Forestry Reclamation Approach (FRA) is a coal surface mine reclamation practice that enhances reforestation through soil decompaction and the planting of native trees. Recently, wetland creation has been coupled with FRA to increase habitat available for wildlife, including amphibians. Our objective was to evaluate the response of pond-breeding amphibians to the FRA by comparing species occupancy, richness, and abundance across two FRA age-classes (2–5-year and 8–11-year reclaimed forests), traditionally reclaimed sites that were left to naturally regenerate after mining, and in mature, unmined forests in the Monongahela National Forest (West Virginia, USA). We found that species richness and occupancy estimates did not differ across treatment types. Spotted Salamanders (Ambystoma maculatum) and Eastern Newts (Notophthalmus viridescens) had the greatest estimated abundances in wetlands in the older FRA treatment. Additionally, larger wetlands had greater abundances of Eastern Newts, Wood Frogs (Lithobates sylvaticus), and Green Frogs (L. clamitans) compared to smaller wetlands. Our results suggest that wetland creation and reforestation increases the number of breeding sites and promotes microhabitat and microclimate conditions that likely maximize the resilience of pond-breeding amphibians to anticipated climate changes in the study area.

Reproduction of grass carp (Ctenopharyngodon idella) in the Maumee River, Ohio: Part 2—Optimal river conditions for egg and larval drift

Released April 23, 2024 09:15 EST

2024, Journal of Great Lakes Research

Jessica Z. LeRoy, Henry F. Doyle, P. Ryan Jackson, Charles V. Cigrand

This study uses a one-dimensional steady-state hydraulic model and the Fluvial Egg Drift Simulator (FluEgg) to model the drift and dispersion of grass carp eggs and larvae in the Maumee River, Ohio, for 180 scenarios representing different combinations of 10 river flows, 6 water temperatures, and 3 spawning locations. The FluEgg simulations were used to quantify in-river suspended hatching rates (the percentage of eggs that hatch within the river and in suspension) and in-river larval retention rates (the percentage of larvae that reach the gas bladder inflation stage within the river after hatching in suspension), and identify which scenarios produce the highest likelihood of recruitment. The simulations indicate that at low flows, in-river suspended hatching and larval retention rates in the Maumee River are limited by the capacity of the flow to keep fertilized eggs in suspension, whereas at high flows, the limiting factor is the distance available for the eggs/larvae to drift in the river. A wide range of scenarios result in eggs hatching within the river, but all larvae drift into Maumee Bay prior to the gas bladder inflation stage when flows exceed the mean annual flow. The simulations were assessed in the context of the hydraulic conditions that trigger spawning and maximize egg fertilization and the nursery habitat requirements for larval grass carp. The results indicate that the Maumee River, although suitable for grass carp spawning, may not be an ideal setting for recruitment unless Maumee Bay provides adequate nursery habitat for larvae.

Craters of habit: Patterns of deformation in the western Galápagos

Released April 23, 2024 07:02 EST

2024, Volcanica

Eoin Reddin, Susanna K. Ebmeier, Marco Bagnardi, Andrew F. Bell, Pedro Espín Bedón

The western Galápagos islands of Fernandina and Isabela comprise six active volcanoes that have deformed since first observed by satellite radar in the early 1990s. We analyse new (2015–2022) displacement time series at Alcedo, Cerro Azul, Darwin, Fernandina, Sierra Negra, and Wolf volcanoes in the context of deformation and unrest since 1992. Previous discussions of volcano deformation have focused on eruptions, major intrusive episodes, and the structure of sub-volcanic systems. We discuss the full geodetic record of deformation and show that the style of eruptions, characteristics of unrest and deformation are distinctive at each volcano. These characteristic differences in deformation and unrest styles between the volcanoes have persisted for at least three decades, since the first satellite radar measurements. These consistent differences in shallow magma storage and eruptive dynamics reflect the influence of “top-down” factors and evolutionary stage, providing a basis to understand volcanic unrest here, and to inform monitoring strategies.

Calculation of a suspended-sediment concentration-turbidity regression model and flood-ebb suspended-sediment concentration differentials from marshes near Stone Harbor and Thompsons Beach, New Jersey, 2018–19 and 2022–23

Released April 22, 2024 12:15 EST

2024, Data Report 1193

Olivia A. De Meo, Robert D. Bales, Neil K. Ganju, Eric D. Marsjanik, Steven E. Suttles

The U.S. Geological Survey collected water velocity and water quality data from salt marshes in Great Channel, southwest of Stone Harbor, New Jersey, and near Thompsons Beach, New Jersey, to evaluate restoration effectiveness after Hurricane Sandy and monitor postrestoration marsh health. Time series data of turbidity and water velocity were collected from 2018 to 2019 and 2022 to 2023 at both sites. Water samples were collected and analyzed for suspended-sediment concentration (SSC), which was used to derive a regression model to estimate a time series of SSC data from turbidity data. The SSC time series data were then combined with the water velocity data to calculate the flood-ebb SSC differential. This report presents the data collection methods, the repeated median regression model used to estimate SSC from turbidity, and the flood-ebb SSC differential calculations.

ECCOE Landsat quarterly Calibration and Validation report—Quarter 4, 2023

Released April 22, 2024 09:28 EST

2024, Open-File Report 2024-1026

Md Obaidul Haque, Rajagopalan Rengarajan, Mark Lubke, Md Nahid Hasan, Ashish Shrestha, Jerad L. Shaw, Alex Denevan, Kathryn Ruslander, Esad Micijevic, Michael J. Choate, Cody Anderson, Kurt Thome, Julia Barsi, Ed Kaita, Raviv Levy, Jeff Miller, Leibo Ding

Executive Summary

The U.S. Geological Survey Earth Resources Observation and Science Calibration and Validation (Cal/Val) Center of Excellence (ECCOE) focuses on improving the accuracy, precision, calibration, and product quality of remote-sensing data, leveraging years of multiscale optical system geometric and radiometric calibration and characterization experience. The ECCOE Landsat Cal/Val Team continually monitors the geometric and radiometric performance of active Landsat missions and makes calibration adjustments, as needed, to maintain data quality at the highest level.

This report provides observed geometric and radiometric analysis results for Landsats 7, 8, and 9 for quarter 4 (October–December) of 2023. All data used to compile the Cal/Val analysis results presented in this report are freely available from the U.S. Geological Survey EarthExplorer website: https://earthexplorer.usgs.gov.

This is the second quarterly report to include analysis results for Landsat 9, which was launched in September 2021. The inclusion of Landsat 9 analysis results was dependent on two factors: a complete reprocessing of the Landsat 9 data archive and enough time elapsing to begin formulating lifetime trends. In April 2023, all Landsat 9 image data acquired since the satellite’s launch were reprocessed to take advantage of calibration updates identified by the ECCOE Landsat Cal/Val Team. Additional information about the Landsat 9 reprocessing effort is available at https://www.usgs.gov/landsat-missions/news/upcoming-reprocessing-all-landsat-9-data. Additional information about Landsat 9 prelaunch, commissioning, and early on-orbit imaging performance is available at https://www.mdpi.com/journal/remotesensing/special_issues/15B4V2K92K.

First documentation of grass carp spawning in Lake Erie’s Central Basin

Released April 22, 2024 09:02 EST

2024, Journal of Great Lakes Research

Corbin David Hilling, Adam J. Landry, James Roberts, Nathan Thompson, Cathy A. Richter, Ryan E. Brown, Christine M. Mayer, Song S. Qian

Grass carp (Ctenopharyngodon idella) are non-indigenous to North America having been translocated to the United States in the 1960s as a potential non-chemical solution for nuisance aquatic vegetation. Reproductively viable grass carp now exist in many watersheds in the United States. In the Great Lakes basin, grass carp were first discovered in the 1980s with direct confirmation of successful reproduction in 2015 via collection of fertilized grass carp eggs in the Sandusky River. Early life stage monitoring also confirmed reproduction in the Maumee River in 2017. During 2018–2021, no new spawning tributaries were discovered (18 total sampling events in five Great Lakes tributaries). In 2022, fourteen eggs with characteristics similar to grass carp were identified from the Huron River which is a tributary to Lake Erie’s Central Basin. Eggs were identified to species via DNA sequencing and were determined to be grass carp eggs. The confirmation of spawning in the Huron River represents a third spawning tributary in the Lake Erie basin and expands eastward the geographic extent of known grass carp spawning locations. Presently, the ability of the Huron River to support hatching and survival of larval grass carp is unknown. Discovery of the Huron River as a grass carp spawning tributary identifies the value of continued surveillance in Great Lakes tributaries for early life stages and conducting scientific inquiries evaluating the consistency of tributary use and survival of early life stages.

West Nile virus (avian) case definition for wildlife

Released April 22, 2024 07:19 EST

2024, Techniques and Methods 19-C1

Stéphane Lair, Valerie I. Shearn-Bochsler, Marnie Zimmer

Diagnostic laboratories receive carcasses and samples for diagnostic evaluation and pathogen/toxin detection. Case definitions bring clarity and consistency to the evaluation process. Their use within and between organizations allows more uniform reporting of diseases and etiologic agents. The intent of a case definition is to provide scientifically based criteria for determining (a) if an individual carcass has a specific disease and degree of confidence in that diagnosis and (b) if there is evidence of a pathogen or toxin in a carcass or sample (for example, swab, tissue sample, skin scraping, blood/serum sample, environmental sample, or other). This case definition is specific to West Nile virus and applies to all avian species.

Leveraging natural capital accounting to support businesses with nature-related risk assessments and disclosures

Released April 22, 2024 06:59 EST

2024, Philosophical Transactions of the Royal Society B: Biological Sciences (379)

Jane Carter Ingram, Emily McKenzie, Kenneth J. Bagstad, John Finisdore, Rayne van den Berg, Eli P. Fenichel, Michael Vardon, Stephen M. Posner, Marta Santamaria, Lisa Mandle, Richard J. Barker, James Spurgeon

Nature loss threatens businesses, the global economy and financial stability. Understanding and addressing these risks for business will require credible measurement approaches and data. This paper explores how natural capital accounting (NCA) can support business data and information needs related to nature, including disclosures aligned with the Taskforce on Nature-related Financial Disclosures recommendations. As businesses seek to measure, manage and disclose their nature-related risks and opportunities, they will need well-organized, consistent and high-quality information regarding their dependencies and impacts on nature, which few businesses currently collect or track in-house. NCA may be useful for these purposes but has not been widely used or applied by businesses. National NCA guided by the U.N. System of Environmental-Economic Accounting may provide: (i) a useful framework for businesses in conceptualizing, organizing and managing nature-related data and statistics; and (ii) data and information that can directly support business disclosures, corporate NCA and other business applications. This paper explores these opportunities as well as synergies between national and corporate natural capital accounts. In addition, the paper discusses key barriers to advancing the wider use and benefits of NCA for business, including: awareness of NCA, data access, business capabilities related to NCA, spatial and temporal scales of data, audit and assurance considerations, potential risks, and costs and incentives.

Groundwater sustainability and land subsidence in California’s Central Valley

Released April 22, 2024 06:38 EST

2024, Water (16)

Claudia C. Faunt, Jonathan A. Traum, Scott E. Boyce, Whitney A. Seymour, Elizabeth Rae Jachens, Justin T. Brandt, Michelle Sneed, Sandra Bond, Marina Marcelli

The Central Valley of California is one of the most prolific agricultural regions in the world. Agriculture is reliant on the conjunctive use of surface-water and groundwater. The lack of available surface-water and land-use changes have led to pumping-induced groundwater-level and storage declines, land subsidence, changes to streamflow and the environment, and the degradation of water quality. As a result, in part, the Sustainable Groundwater Management Act (SGMA) was developed. An examination of the components of SGMA and contextualizing regional model applications within the SGMA framework was undertaken to better understand and quantify many of the components of SGMA. Specifically, the U.S. Geological Survey (USGS) updated the Central Valley Hydrologic Model (CVHM) to assess hydrologic system responses to climatic variation, surface-water availability, land-use changes, and groundwater pumping. MODFLOW-OWHM has been enhanced to simulate the timing of land subsidence and attribute its inelastic and elastic portions. In addition to extending CVHM through 2019, the new version, CVHM2, includes several enhancements as follows: managed aquifer recharge (MAR), pumping with multi-aquifer wells, inflows from ungauged watersheds, and more detailed water-balance subregions, streamflow network, diversions, tile drains, land use, aquifer properties, and groundwater level and land subsidence observations. Combined with historical approximations, CVHM2 estimates approximately 158 km3 of storage loss in the Central Valley from pre-development to 2019. About 15% of the total storage loss is permanent loss of storage from subsidence that has caused damage to infrastructure. Climate extremes will likely complicate the efforts of water managers to store more water in the ground. CVHM2 can provide data in the form of aggregated input datasets, simulate climatic variations and changes, land-use changes or water management scenarios, and resulting changes in groundwater levels, storage, and land subsidence to assist decision-makers in the conjunctive management of water supplies.

The influence of channel morphology and hydraulic complexity on larval pallid sturgeon (Scaphirhynchus albus) drift and dispersal dynamics in the Fort Peck Segment, Upper Missouri River: Insights from particle tracking simulations

Released April 20, 2024 07:00 EST

2024, Journal of Ecohydraulics

Bruce Call, Richard R. McDonald, Susannah O. Erwin, R. B. Jacobson

Longitudinal dispersal of migratory fish species can be interrupted by factors that fragment rivers, such as dams and reservoirs with incompatible habitats, and indirect alterations to variables, such as water temperature or turbidity. The endangered pallid sturgeon (Scaphirhynchus albus) population in the Upper Missouri River Basin in North Dakota and Montana is an example of such fragmentation and alteration due to the construction of dams. We applied a high-resolution, 2+-dimensional modelling framework composed of hydrodynamic and Lagrangian particle tracking components to simulate pallid sturgeon larval drift and dispersal along a 33-km section of the Upper Missouri River to evaluate three main issues: a comparison between multidimensional models and traditional 1-dimensional models, the sensitivity of hydrodynamics to channel morphology, and the implications of channel morphology on retention and transport-time metrics for larval fish. The results indicate that multidimensional models better represent breakthrough curves of transporting larvae compared to 1-dimensional models, especially for the long tail of slow drifters in the population. Results also indicate that channel morphology and hydraulic complexity play significant roles in larval dispersal with certain flow conditions and channel features increasing larval retention and providing potential management options to increase survival rates by adjusting flow conditions during spawning events. For example, modelling indicates increased retention times at discharges 23–38% daily flow exceedance, coincident with emergence of mid-channel sandbars. Findings additionally emphasize the need for improved understanding of biological factors that affect larval drift and dispersal.

Evaluation of streamflow predictions from LSTM models in water- and energy-limited regions in the United States

Released April 19, 2024 06:55 EST

2024, Machine Learning with Applications (16)

Kul Bikram Khand, Gabriel B. Senay

The application of Long Short-Term Memory (LSTM) models for streamflow predictions has been an area of rapid development, supported by advancements in computing technology, increasing availability of spatiotemporal data, and availability of historical data that allows for training data-driven LSTM models. Several studies have focused on improving the performance of LSTM models; however, few studies have assessed the applicability of these LSTM models across different hydroclimate regions. This study investigated the single-basin trained local (one model for each basin), multi-basin trained regional (one model for one region), and grand (one model for several regions) models for predicting daily streamflow in water-limited Great Basin (18 basins) and energy-limited New England (27 basins) regions in the United States using the CAMELS (Catchment Attributes and Meteorology for Large-sample Studies) data set. The results show a general pattern of higher accuracy in daily streamflow predictions from the regional model when compared to local or grand models for most basins in the New England region. For the Great Basin region, local models provided smaller errors for most basins and substantially lower for those basins with relatively larger errors from the regional and grand models. The evaluation of one-layer and three-layer LSTM network architectures trained with 1-day lag information indicates that the addition of model complexity by increasing the number of layers may not necessarily increase the model skill for improving streamflow predictions. Findings from our study highlight the strengths and limitations of LSTM models across contrasting hydroclimate regions in the United States, which could be useful for local and regional scale decisions using standalone or potential integration of data-driven LSTM models with physics-based hydrological models.