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At least 361 records · Page 20Linked to original sources

Genetic population structure of muskellunge in the Great Lakes

We quantified genetic relationships among Muskellunge Esox masquinongy from 15 locations in the Great Lakes to determine the extent and distribution of measurable population structure and to identify appropriate spatial scales for fishery management and genetic conservation. We hypothesized that Muskellunge from each area represented genetically distinct populations, which would be evident from analyses of genotype data. A total of 691 Muskellunge were sampled ( n = 10–127/site) and genetic data were collected at 13 microsatellite loci. Results from a suite of analyses (including pairwise genetic differentiation, Bayesian admixture prediction, analysis of molecular variance, and tests of isolation by distance) indicated the presence of nine distinct genetic groups, including two that were approximately 50 km apart. Geographic proximity and low habitat complexity seemed to facilitate genetic similarity among areas, whereas Muskellunge from areas of greater habitat heterogeneity exhibited high differentiation. Muskellunge from most areas contained private alleles, and mean within-area genetic variation was similar to that reported for other freshwater fishes. Management programs aimed at conserving the broader diversity and long-term sustainability of Muskellunge could benefit by considering the genetically distinct groups as independent fisheries, and individual spawning and nursery habitats could subsequently be protected to conserve the evolutionary potential of Muskellunge.

Great Lakes↗

Antimycin A species sensitivity distribution: Perspectives for non-indigenous fish control

The global transfer of aquatic biota outside their native geographical range has resulted in dramatic changes to biological communities. Many nonnative species introductions are facilitated by human activity and then spread intra-continentally through connected watersheds once established. Resource managers therefore utilize multiple control technologies, such as management chemicals, for fisheries management to remove non-indigenous fishes. Antimycin-A (ANT-A) is a management chemical, previously registered in the United States, that has been extensively studied and used to control non-indigenous fishes. The present study examines ANT-A species sensitivity among fish and aquatic invertebrates and summarizes factors that influence toxicity. ANT-A species sensitivity distributions 20th percentile hazard concentrations (HC20) for acute studies ≤ 24 h demonstrated fish (0.088 µg/L) are 174-fold more sensitive to ANT-A than invertebrates (15.35 µg/L). Similar to previous reports, toxicity was demonstrated to be influenced by water pH, temperature, and fish mass. Therefore, the present study and results characterize ANT-A toxicity for aquatic resource managers and future use in fisheries management.

Management of Biological Invasions↗

Characterization of deep-sea coral and sponge communities in Greater Farallones National Marine Sanctuary: Point Arena South Essential Fish Habitat Conservation Area and New Amendment 28 Areas

This report summarizes samples collected during a remotely operated vehicle (ROV) cruise conducted in October 2019 on board E/V Nautilus. Areas sampled in Greater Farallones National Marine Sanctuary included areas proposed for fisheries management zoning in the Point Arena South (PAS) Essential Fish Habitat Conservation Area (EFH). Dive planning targeted habitats and biological communities of corals, sponges, and fishes in relation to the new, 2020 configuration of PAS EFH (hereafter referred to as PAS), which includes areas once closed to commercial bottom trawling and now opened to bottom trawling, once opened to bottom trawling and now closed, or that remain closed to commercial bottom trawling. Particular interest was given to enumerating deep-sea corals and sponges (DSCS) in these areas as they are long-lived, slow-growing species that are vulnerable to impacts from bottom trawling. Fish species were also enumerated. These data provide the most recent assessment and characterization for a portion of these areas before the final ruling on Amendment 28 went into effect on January 1, 2020 (50 C.F.R. part 660). A total of seven sponge specimens were collected on this mission, some of which could potentially be new species, such as the large yellow ‘plate’-shaped sponge and the ‘palm frond’ morphology of the predatory sponge Asbestopluma , documented on both dives. Six coral collections were made, including three types of red Swiftia sp. gorgonians (two had fan-shaped morphology and one had branched morphology) with different polyp colors. A high diversity of fishes, particularly groundfish, were documented across the entire PAS area. The findings from this cruise will be provided to NOAA’s National Marine Fisheries Service to help them identify biologically complex areas of the seafloor that are most sensitive to bottom trawling and aid in the ongoing management of this designated essential fish habitat conservation zone. Habitat data from these surveys will be used to confirm substrate prediction models that can be used to predict DSCS habitats where there is a dearth of visual observations.

California↗

Distribution, migration behavior, habitat use, and species interactions of fall-released juvenile hatchery spring Chinook salmon on the Deschutes River, Oregon, 2002, Annual report 2002

In a review of National Fish Hatcheries (NFH), the U.S. Fish and Wildlife Service (USFWS) identified the need to assess the fate of hatchery-reared fish and their potential effect on the aquatic community (USFWS 1998). Additionally, in the Columbia River Biological Opinion, the National Marine Fisheries Service (NMFS) recommended monitoring and evaluating ecological interactions between hatchery and wild fish (NMFS 1999). In 2002, a study was designed to investigate the fate of hatchery-reared fish and to assess habitat use and fish interactions in the Deschutes River, Oregon.

Oregon↗

Preliminary volcano-hazard assessment for the Katmai volcanic cluster, Alaska

The world’s largest volcanic eruption of the 20th century broke out at Novarupta (fig. 1) in June 1912, filling with hot ash what came to be called the Valley of Ten Thousand Smokes and spreading downwind more fallout than all other historical Alaskan eruptions combined. Although almost all the magma vented at Novarupta, most of it had been stored beneath Mount Katmai 10 km away, which collapsed during the eruption. Airborne ash from the 3-day event blanketed all of southern Alaska, and its gritty fallout was reported as far away as Dawson, Ketchikan, and Puget Sound (fig. 21). Volcanic dust and sulfurous aerosol were detected within days over Wisconsin and Virginia; within 2 weeks over California, Europe, and North Africa; and in latter-day ice cores recently drilled on the Greenland ice cap. There were no aircraft in Alaska in 1912—fortunately! Corrosive acid aerosols damage aircraft, and ingestion of volcanic ash can cause abrupt jet-engine failure. Today, more than 200 flights a day transport 20,000 people and a fortune in cargo within range of dozens of restless volcanoes in the North Pacific. Air routes from the Far East to Europe and North America pass over and near Alaska, many flights refueling in Anchorage. Had this been so in 1912, every airport from Dillingham to Dawson and from Fairbanks to Seattle would have been enveloped in ash, leaving pilots no safe option but to turn back or find refuge at an Aleutian airstrip west of the ash cloud. Downwind dust and aerosol could have disrupted air traffic anywhere within a broad swath across Canada and the Midwest, perhaps even to the Atlantic coast. The great eruption of 1912 focused scientific attention on Novarupta, and subsequent research there has taught us much about the processes and hazards associated with such large explosive events (Fierstein and Hildreth, 1992). Moreover, work in the last decade has identified no fewer than 20 discrete volcanic vents within 15 km of Novarupta (Hildreth and others, 1999, 2000, 2001; Hildreth and Fierstein, 2000), only half of which had been named previously—the four stratovolcanoes Mounts Katmai, Mageik, Martin, and Griggs; the cone cluster called Trident Volcano; Snowy Mountain; and the three lava domes Novarupta, Mount Cerberus, and Falling Mountain. The most recent eruptions were from Trident Volcano (1953–74), but there have been at least eight other, probably larger, explosive events from the volcanoes of this area in the past 10,000 years. This report summarizes what has been learned about the volcanic histories and styles of eruption of all these volcanoes. Many large earthquakes occurred before and during the 1912 eruption, and the cluster of Katmai volcanoes remains seismically active. Because we expect an increase in seismicity before eruptions, seismic monitoring efforts to detect volcanic unrest and procedures for eruption notification and dissemination of information are included in this report. Most at risk from future eruptions of the Katmai volcanic cluster are (1) air-traffic corridors of the North Pacific, including those approaching Anchorage, one of the Pacific’s busiest international airports, (2) several regional airports and military air bases, (3) fisheries and navigation on the Naknek Lake system and Shelikof Strait, (4) pristine wildlife habitat, particularly that of the Alaskan brown bear, and (5) tourist facilities in and near Katmai National Park.

Alaska↗

A characterization of the deep-sea coral and sponge community along the Oregon Coast using a remotely operated vehicle on the EXPRESS 2022 expedition

Deep-sea coral and sponge (DSCS) communities serve as essential fish habitat (EFH) by providing shelter and nursery habitat, increasing diversity, and increasing prey availability (Freese and Wing, 2003; Bright, 2007; Baillon et al., 2012; Henderson et al., 2020). Off the U.S. West Coast, threats to these long-lived, fragile organisms from bottom contact fishing gear, potential offshore renewable energy development, and ocean warming and acidification have been the subject of recent research (Gomez et al., 2018; Salgado et al., 2018; Yoklavich, et al., 2018; Gugliotti et al., 2019). Other DSCS studies have reported new species (Yoklavich and Love, 2005), analyzed species distribution and abundance (Tissot et al., 2006, Watters et al., 2022), developed predictive distribution models (Huff et al., 2013; Rooper et al., 2017; Kreidler, 2020), and discovered medicinal uses for corals and sponges (Essack et al., 2011; Shrestha et al., 2018). Due to the vast area of unexplored seafloor within the territorial waters and the U.S. exclusive economic zone (EEZ; 12-200 nautical miles off the coast) and the technological requirements and expense of deep-sea research, there is still much to learn about the distributions and biology of DSCS. This information is critical to resource managers for effective conservation and management of DSCS habitats. In order to minimize the adverse impacts of fishing on EFH, the Pacific Fishery Management Council (PFMC) and National Marine Fisheries Service (NMFS) designated several seafloor habitat areas as EFH conservation areas (EFHCA), first in 2006 (as part of Amendment 19 to the Pacific coast groundfish fishery management plan) and then again in 2020 (as part of Amendment 28). These areas are closed to bottom trawl fishing at a minimum, and in some cases to all bottom contact fishing gears. In addition to protections afforded by EFH-related regulations, the National Marine Sanctuary Program prohibits certain non-fishing activities within areas designated as national marine sanctuaries, such as oil and gas exploration or extraction, cable laying, and other forms of seabed alteration or construction that disturb benthic communities. NOAA’s Deep-Sea Coral and Research Technology Program (DSCRTP) began a 4-yr funding initiative for the U.S. West Coast in 2017. The goals of the West Coast Deep-Sea Coral Initiative (WCDSCI) were to: 1) gather baseline information on areas subject to fishing regulation changes prior to the implementation of Amendment 28; 2) improve our understanding of known DSCS bycatch “hot spots”; and 3) explore and assess DSCS resources within NOAA National Marine Sanctuaries with emphasis on areas of sanctuary resource protection and management concerns. As part of the WCDSCU, an 11-day expedition (3 Sep – 13 Sep 2022) was launched from the NOAA Ship Bell M. Shimada, beginning and ending in Newport, OR. The science team assembled for this cruise were members of the EXpanding Pacific Research and Exploration of Submerged Systems (EXPRESS) campaign, which brings together researchers from federal and nonfederal institutions to collaborate on scientific expeditions targeting the deepwater areas off California, Oregon, and Washington. EXPRESS supports researchers leveraging funding, resources, personnel, and expertise to accomplish more science than would have been possible by a single entity alone. The 2022 expedition included research partners from National Marine Fisheries Service (NMFS) Southwest Fisheries Science Center (SWFSC) and Northwest Fisheries Science Center (NWFSC), Bureau of Ocean Energy Management (BOEM), U.S. Geological Survey (USGS), Pacific Fisheries Management Council Habitat Committee, and Woods Hole Oceanographic Institution.

Report↗

As the prey thickens: Rainbow trout select prey based upon width not length

Drift-feeding fish are typically considered size-selective predators. Yet, few studies have explicitly tested which aspect of prey “size” best explains size selection by drift-foraging fish. Here, we develop a Bayesian discrete choice model to evaluate how attributes of both prey and predator simultaneously influence size-selective foraging. We apply the model to a large dataset of paired invertebrate drift ( n = 784) and rainbow trout ( Oncorhynchus mykiss ) diets ( n = 1028). We characterized prey “size” using six metrics (length, width, area, hemispherical area, volume, mass) and used pseudo- R 2 to determine which metric best explained observed prey selection across seven taxa. We found that rainbow trout are positively size-selective, they are selecting prey based upon differences in prey width, and size-selectivity increases with fish length. Rainbow trout demonstrated strong selection for the adult and pupae stages of aquatic insects relative to their larval stages. Our study provides strong empirical evidence for size-selective foraging in rainbow trout and demonstrates prey selection is based primarily upon width, not length or area as has been widely reported.

Arizona↗

Comparison of prehatch C-start responses in rainbow trout and lake trout embryos by means of a tactile stimulus test

The C-start in teleost fishes, a type of startle response, mediates the ability to respond to abrupt, unexpected stimuli and is characterized by a short-latency, C-type fast start acceleration. In prehatch fish embryos, the C-start appears necessary for mechanical breakdown of the egg chorion and successful hatching by way of increased embryo movement and distribution of the hatching enzymes. In later stages, the C-start plays an important role in predator avoidance. Using tactile stimulation, we evaluated the C-start response in rainbow trout Oncorhynchus mykiss at 170 degree-days, when 6.6% of embryos exhibited C-starts, and lake trout Salvelinus namaycush embryos at 320 degree-days, when 23% of embryos exhibited C-starts. Triplicate groups of embryos were later tested at three developmental stages: early (220 and 360 degree-days for rainbow trout and lake trout, respectively), middle (260 and 480 degree-days, respectively), and late (320 and 560 degree-days, respectively). The proportion of trout embryos exhibiting C-start increased through time, such that 100% had responded by the late stage, just prior to hatching. C-starts could be obtained by repeated stimulation, and the relative activity of the embryos (based on the number of flexures per stimulus) also increased over time. Rainbow trout and lake trout showed very similar C-start responses at parallel developmental stages, and these patterns of response were similar to those reported in other fish species.

Transactions of the American Fisheries Society↗

Water resources of King County, Washington

Although the total supply of water in King County is large, water problems are inevitable because of the large and rapidly expanding population. The county contains a third of the 3 million people in Washington, most of the population being concentrated in the Seattle metropolitan area. King County includes parts of two major physiographic features: the western area is part of the Puget Sound Lowland, and the eastern area is part of the Cascade Range. In these two areas, the terrain, weather, and natural resources (including water) contrast markedly. Average annual precipitation in the county is about 80 inches, ranging from about 30 inches near Puget Sound to more than 150 inches in parts of the Cascades. Annual evapotranspiration is estimated to range from 15 to 24 inches. Average annual runoff ranges from about 15 inches in the lowlands to more than 100 inches in the mountains. Most of the streamflow is in the major basins of the county--the Green-Duwamish, Lake Washington, and Snoqualmie basins. The largest of these is the Snoqualmie River basin (693 square miles), where average annual runoff during the period 1931-60 was about 79 inches. During the same period, annual runoff in the Lake Washington basin ( 607 square miles) averaged about 32 inches, and in the Green-Duwamish River basin (483 square miles), about 46 inches. Seasonal runoff is generally characterized by several high-flow periods in the winter, medium flows in the spring, and sustained low flows in the summer and fall. When floods occur in the county they come almost exclusively between October and March. The threat of flood damage is greatest on the flood plaits of the larger rivers, but in the Green-Duwamish Valley the threat was greatly reduced with the completion of Howard A. Hanson Dam in 1962. In the Snoqualmie River basin, where no such dam exists, the potential damage from a major flood increases each year as additional land is developed in the Snoqualmie Valley. Only moderate amounts of sediment are transported by most streams in the county, except during short periods of heavy rain in the winter. The temperature and chemical quality of surface waters are well suited to the requirements of fisheries and for municipal, industrial, and domestic supplies. Little treatment is needed for most uses of surface water, except where the water is subject to pollution. Most recoverable ground water in the county occurs in the Puget Sound Lowland, where great volumes of unconsolidated sedimentary deposits were left by the continental glaciers of the Pleistocene Epoch. Bedrock, most of which is in the Cascade Range, contains very little ground water. Numerous springs, largely undeveloped, occur in several parts of the county. Most of the ground water is of good to excellent quality except for excessive iron, which in some places may require treatment of the water before it is suitable for domestic or industrial use. Excluding water used for hydroelectric-power, recreation, and fisheries, more than 80 percent of the water used in the county is provided by municipal-supply systems. Each of the major river basins includes municipal watersheds that provide large supplies of excellent water. By the 1980's, more than 90 percent of the county's population will probably be served by the Seattle municipal supply. With full development, Seattle's water system would have a capacity sufficient to supply more than 2 million people with 300 gallons per person per day. Most industrial and commercial establishments in the county obtain water from public supply systems. The most serious water problem in the county at present (1965) is the threat of pollution in the densely populated areas. The immediate threat in the Seattle area is being reduced by the sewage-treatment program of the Municipality of Metropolitan Seattle, which will eliminate the discharge of waste into Lake Washington. Expected increases in population and industry will introduce new problems that will require additional planning to assure adequate water quality for fisheries, recreation, and other uses.

Washington↗

Habitat Suitability Index Models: Southern and gulf flounders

Both the southern and gulf flounders (paralichthrS lethostigma, f. albi~utta) are important commercial and recreationa species. Catch statlstics for flounder do not differentiate between species; however, southern flounders are more common than gulf flounders except on the gulf coast of Florida (Topp and Hoff 1972). The commercial fishery consists of incidental catches by shrimp trawlers. A total of 853,162 kg (1,880,900 lb) of unclassified flounder worth $572,142 was caught from the Gulf of Mexico in 1976 (U.S. Dep. Commerce 1980). The sport fishery consists of both hook-and-line fishing and gigging.

FWS/OBS↗

Controls of stream chemistry and fish populations in the Neversink watershed, Catskill Mountains, New York

The Neversink Watershed Study was initiated in 1991 to develop an understanding of the key natural processes that control water quality within the forested, 166 km 2 (64 mi 2 ), Neversink River watershed; part of the New York City drinking water supply system, in the Catskill Mountain region of New York. The study entailed (1) hydrological investigations of water movement from the atmosphere to streams, (2) biogeochemical investigations of nitrogen and calcium, important nutrients in forest and aquatic ecosystems whose availability has been altered by acidic deposition, (3) an investigation of elevational patterns in atmospheric deposition, and (4) fisheries investigations to determine the relative importance of physical habitat and acidic deposition in controlling the abundance and diversity of fish species in the watershed. This report summarizes the results of these investigations, which have also been presented, in detail, in peer-reviewed technical articles and reports that are cited throughout the text.

New York↗

2019 Lake Michigan Lake Trout Working Group Report

This report provides a review on the progression of lake trout ( Salvelinus namaycush ) rehabilitation towards meeting the Salmonine Fish Community Objectives (FCOs) for Lake Michigan (Eshenroder et. al. 1995) and the interim goal and evaluation objectives articulated in A Fisheries Management Implementation Strategy for the Rehabilitation of Lake Trout in Lake Michigan (hereafter the "Strategy"; Dexter et al. 2011).

Lake Michigan↗

Permit application and approval chronology for a small airgun survey offshore southern California, June 1999

Offshore geophysical surveys are subject to increased restrictions resulting from new or revised Federal legislation and increased authority of State agencies that deal with environmental issues. This report reviews the process followed by the U.S. Geological Survey to obtain necessary approvals for a marine geophysical survey conducted in June, 1999, offshore Southern California. Discussions and negotiations between the USGS, National Marine Fisheries Service, the California Coastal Commission, the California State Lands Commission, and various other interested parties during six months prior to the survey are documented. A suggested timeframe that should be followed for obtaining the approvals and permits for future work offshore California is based on the outcome of the permitting process for the 1999 cruise, as well as continuing dialog with representatives of the Federal and State entities involved.

California↗

A new database on contaminant exposure and effects in terrestrial vertebrates for natural resource managers

The Biomonitoring of Environmental Status and Trends (BEST) program of the Department of the Interior is focused to identify and understand effects of contaminant stressors on biological resources under their stewardship. Despite the desire of many to continuously monitor the environmental health of our estuaries, much can be learned by summarizing existing temporal, geographic, and phylogenetic contaminant information. To this end, retrospective contaminant exposure and effects data for amphibians, reptiles, birds, and mammals residing within 30 km of Atlantic coast estuaries are being assembled through searches of published literature (e.g., Fisheries Review, Wildlife Review, BIOSIS Previews) and databases (e.g., US EPA Ecological Incident Information System; USGS Diagnostic and Epizootic Databases), and compilation of summary data from unpublished reports of government natural resource agencies, private conservation groups, and universities. These contaminant exposure and effect data for terrestrial vertebrates (CEE-TV) are being summarized using Borland dBASE in a 96- field format, including species, collection time and site coordinates, sample matrix, contaminant concentration, biomarker and bioindicator responses, and source of information (N>1500 records). This CEE-TV database has been imported into the ARC/INFO geographic information system (GIS), for purposes of examining geographic coverage and trends, and to identify critical data gaps. A preliminary risk assessment will be conducted to identify and characterize contaminants and other stressors potentially affecting terrestrial vertebrates that reside, migrate through or reproduce in these estuaries. Evaluations are underway, using specific measurement and assessment endpoints, to rank and prioritize estuarine ecosystems in which terrestrial vertebrates are potentially at risk for purposes of prediction and focusing future biomonitoring efforts.

Book chapter↗

Bureau of Sport Fisheries and Wildlife Pesticide-Wildlife Review: 1959

Research findings of the Bureau of Sport Fisheries and Wildlife, State agencies and independent research workers in Ala., Ark., Fla., Ga., La., Mass., Mich., Mont., N. Dak., Tex., and Wis. are summarized in this report together with recommendations for reducing damage from pest control operations. Major topics discussed are: Scope of Pesticide-Wildlife Problem; Effects on Wildlife-General; Laboratory Studies and Toxicology; Direct and Indirect Effects of Pesticides on Wildlife; Recent Pesticide Legislation; Value of Wildlife; and Recommendations for Safeguarding Wildlife Values during Pest Control. To avoid undue hazards to wildlife, applications must not exceed the toxicity equivalent of the following concentrations of DDT to the respective forms of wildlife: 0.1 pounds of DDT/acre for crustaceans; 0.2 for fish; 1.0 for amphibians; 2.0 for reptiles and birds; and 5.0 for most mammals. Other suggestions are: 1) Chemical treatment should be used only when entomological research has proved it to be necessary; 2) Before pesticides are used, the effects on different kinds of animals and on animals living in different habitats should be known and carefully considered; 3) Only minimum quantities of chemicals necessary to achieve adequate control of pests should be applied; 4) Pesticides should not be applied to areas that are any larger than is necessary and the chemicals that are used should be the ones whose effects are no more long-lasting than necessary; 5) Whenever possible, chemicals should be applied at the seasons of the year when wildlife damage will be least; 6) Conscientious effort should be made to be sure that pesticides are applied at no more than the intended rates and that no areas receive double doses. Alternates to chemical control are suggested. Among these are biological control, modified agricultural practices, destruction of insect wintering quarters, and the manipulation of water levels.

Circular↗

Results of a workshop concerning impacts of various activities on the functions of bottomland hardwoods

Under Section 404 of the Clean Water Act, the U.S. Environmental Protection Agency (EPA) has regulatory responsibilities related to the discharge of dredged or fill material into the Nation’s waters. In addition to its advisory role in the U.S. Army Corps of Engineers' permit program, EPA has a number of specific authorities, including formulation of the Section 404(b)(1) guidelines, use of Section 404(c) to prohibit disposal at particular sites, and enforcement actions for unauthorized discharges. A number of recent court cases focus on the geographic scope of Section 404 jurisdiction in potential bottomland hardwood (BLH) wetlands and the nature of landclearing activities in these areas that require a permit under Section 404. Accordingly, EPA needs to establish the scientific basis for implementing its responsibilities under Section 404 in bottomland hardwoods. EPA is approaching this task through a series of workshops designed to provide current scientific information on bottomland hardwoods and to organize that information in a manner pertinent to key policy questions. The first two workshops in the series were originally conceived as technically oriented meetings that would provide the information necessary to develop policy options at the third workshop. More specifically, the first workshop was designed to examine a zonation concept as a means of characterizing different BLH communities and describing variations in their functions along a soil moisture gradient. The second workshop was perceived as an attempt to evaluate the impacts of various activities on those functions. However, one conclusion of the first workshop, which was held in December 1984 in St. Francisville, Louisiana, was that the zonation approach does not describe the variability in the functions performed by BLH ecosystems sufficiently well to allow its use as the sole basis for developing a regulatory framework. That is, factors other than zone were considered critical for an effective characterization of the structure and functions of bottomland hardwoods. The approach to the second workshop, the results of which are described in this report, was therefore modified in response to the conclusions from the first workshop. The focus of the second workshop remained an analysis of the impacts of various activities or the functions of BLH ecosystems. However, as a prerequisite to this analysis, participants were also asked to develop a list of characteristics that determine the extent to which BLH sites perform the important functions. The workshop was organized such that alternating plenary and workgroup sessions allowed ample time for communication while still maintaining a focus on the overall goal. In the initial session, various individuals gave presentations concerning methodologies for evaluating the functions performed by wetlands, factors influencing the conversion of BLH forests to other uses, and the impacts of conversion activities. These were followed by a series of case study presentations designed to familiarize participants with the kinds of issues that are dealt with in the Section 404 program. These presentations are cited in this report as (author, workshop presentation). At the conclusion of these presentations, participants were divided into six workgroups to examine the functions of BLH ecosystems in the areas of hydrology, water quality, fisheries, wildlife, ecosystem processes, and culture/recreation/economics. Each workgroup was asked to undertake the following tasks. 1. Developed a list of functions performed by BLH ecosystems from the perspective of the workgroup's expertise and area of responsibility. 2. Identify those activities (e.g., impoundment construction, conversion to soybean farming) that impact the major functions (e.g., sediment retention, detrital export) performed by BLH ecosystems. 3. Develop a list of characteristics that determine the extent to which a BLH site performs each function and describe the relationship of each characteristic to the function. Develop, with supporting evidence where possible, an analysis of the impact of each activity (Task 2) on each characteristic (Task 3) and on each function as a whole. Upon completion of Task 2, in an effort to provide some uniformity in the analysis by the various workgroups, EPA personnel and several participants met and compiled a complete list of all the activities identified as having significant impacts in bottomland hardwoods (Table 1). From this list the group derived a set of seven activities, and a number of specific actions associated with each, for analysis by the workgroups (Table 2). These activities were selected on the basis of their perceived importance in BLH ecosystems and their interest from the perspective of EPA. Each workgroup was also encourage to ass any activities of particular important from its perspective. The workgroup reports that follow document the results of discussion concerning the above tasks. The WORKSHOP SUMMARY attempts to summarize these workgroup results, discuss availability of information, and identify some problems that must be addressed prior to the third workshop in this series.

Report↗

Biology: Integrating core to essential variables (Bio-ICE) task team report for marine mammals

Marine mammals are wide-ranging, relatively long-lived organisms that play a crucial role in maintaining healthy ocean ecosystems. Often referred to as ecosystem engineers and sentinel species in marine ecosystems, these charismatic megafauna feed at a variety of trophic levels, affecting food web dynamics and cycling of chemicals and nutrients in the water column as well as in benthic habitats, both nearshore and in the deep ocean. An understanding of their abundance and distribution is an essential starting point for evaluating their role in ocean ecosystems. Accordingly, marine mammals have been included among key variables to monitor in ocean observing systems, from core variables for the U.S. Integrated Ocean Observing System (IOOS) to an Essential Ocean Variable (EOV) for the Global Ocean Observing System (GOOS). They also contribute to several Essential Biodiversity Variables (EBVs) for the Group on Earth Observations Biodiversity Observation Network (GEO BON). Further, evaluation of the health of marine mammal populations will help deliver societal benefits by contributing to the UN Decade of Ocean Science for Sustainable Development; informing reporting activities such as the World Ocean Assessment; and supporting achievement of Sustainable Development Goal 14, the post-2020 framework for the Convention for Biological Diversity, and a new treaty for conservation and sustainable use of marine biodiversity beyond national jurisdiction. In the U.S., the National Marine Fisheries Service (NMFS) and the U.S. Fish and Wildlife Service (FWS) are required to produce stock assessments for marine mammals under the Marine Mammal Protection Act (MMPA, 16 U.S.C. §1371 et seq.). Stock assessment analyses require accurate, up to-date information on abundance and distribution to inform appropriate management and/or conservation measures. Despite the availability of information on abundance and distribution within the stock assessment reports, availability and accessibility of the underlying data to the broader ocean observing community and contribution to EOVs remain inconsistent.

Report↗