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407 records · Page 23Linked to original sources

Seasonal migration and environmental conditions of Pacific halibut Hippoglossus stenolepis , elucidated from pop-up archival transmitting (PAT) tags

Pop-up archival transmitting (PAT) tags were used to study the fall migration of halibut in the Gulf of Alaska (GOA). We tagged 6 Pacific halibut Hippoglossus stenolepis on summer feeding grounds in the eastern GOA and another 6 in the western GOA from June 13 to August 6, 2002. The tags were programed to be released from the fish on January 15, 2003, at the height of the winter spawning season: 10 tags successfully detached, transmitted archived environmental data (depth and temperature), and generated accurate latitude–longitude coordinates shortly after pop-up; 2 tags deployed off SE Alaska were lost. The tags revealed that 6 fish had moved a considerable distance (>200 km) between tagging and pop-up, and all of these had moved northward to some extent. The longest of the observed migrations was from the southern Alaska Peninsula to Yakutat Bay, a linear displacement of 1153 km; 4 fish showed little evidence of geographic displacement, exhibiting migrations that ranged only from 30 to 69 km. Although 2 fish had moved inshore by the end of the tagging period, all other fish had moved offshore regardless of their overall migration distance. The precise timing of offshore movements varied, beginning as early as August and as late as January. These observations generally corroborate conventional tagging, indicating migration of halibut toward winter spawning grounds in the northern GOA, and movement of fish to deep water in fall. However, no single stereotypic migration behavior was apparent, and a variety of vertical movement patterns and temperature profiles were observed. Halibut spent most time in waters of 5 to 7°C, but experienced temperatures ranging from 2.6 to 11.6°C. Depth observations ranged from 0 to 736 m, with summertime activity concentrated in depths from 0 to 400 m, and halibut that exhibited offshore movement were typically observed at 300 to 700 m by mid-winter. Vertical movement (short-period changes in depth) varied among fish and over time, with some fish displaying little vertical activity, others displaying short periods of activity, and still others displaying considerable activity throughout their time at liberty.

Marine Ecology Progress Series↗

Photogrammetry-based body condition for monitoring an Arctic marine mammal experiencing habitat loss

Monitoring animal body condition can provide insight on population responses to environmental change. Pacific walruses ( Odobenus rosmarus divergens ) are experiencing loss of their sea ice habitat which has decreased the time that females spend foraging during a critical period of pregnancy and lactation. Here we investigate the potential for body condition to track demographic change and be monitored via two-dimensional aerial imagery by (1) examining whether walrus somatic growth and body mass data tracked estimated historic demographic changes, (2) collecting morphometric and body mass data and aerial imagery of walruses in human care to determine if sex, age group, and body size and condition can be determined from imagery, and (3) examining aerial imagery from a large coastal haulout used primarily by females and young to estimate potential sample sizes of measurable walruses. Body mass and growth in body length decreased between the last 1970s and early 1980s concurrent with a period when the population apparently approached carrying capacity and subsequently declined. Measures from aerial imagery (1) accurately distinguished reproductive age females from subadults and adult males and (2) enabled body mass estimates with 6-7% error using either areal footprint or a combination of length and width. We found a mean of 216 ± 77 walruses appropriately positioned for measurement from aerial surveys of the haulout enabling measurements of ≥7000 individuals annually via repeated daily imagery. Our results suggest that body mass of reproductive age females and growth of dependent young may be useful indicators to augment monitoring of the Pacific walrus population and can be achieved via non-invasive aerial imagery collections.

Alaska↗

Effects of coal-mine discharges on the quality of the Stonycreek River and its tributaries, Somerset and Cambria counties, Pennsylvania

This report describes the results of a study by the U.S. Geological Survey, done in cooperation with the Somerset Conservation District, to locate and sample abandoned coal-mine discharges in the Stonycreek River Basin, to prioritize the mine discharges for remediation, and to determine the effects of the mine discharges on water quality of the Stonycreek River and its major tributaries. From October 1991 through November 1994, 270 abandoned coal-mine discharges were located and sampled. Discharges from 193 mines exceeded U.S. Environmental Protection Agency effluent standards for pH, discharges from 122 mines exceeded effluent standards for total-iron concentration, and discharges from 141 mines exceeded effluent standards for total-manganese concentration. Discharges from 94 mines exceeded effluent standards for all three constituents. Only 40 mine discharges met effluent standards for pH and concentrations of total iron and total manganese. A prioritization index (PI) was developed to rank the mine discharges with respect to their loading capacity on the receiving stream. The PI lists the most severe mine discharges in a descending order for the Stonycreek River Basin and for subbasins that include the Shade Creek, Paint Creek, Wells Creek, Quemahoning Creek, Oven Run, and Pokeytown Run Basins. Passive-treatment systems that include aerobic wetlands, compost wetlands, and anoxic limestone drains (ALD's) are planned to remediate the abandoned mine discharges. The successive alkalinity-producing-system treatment combines ALD technology with the sulfate reduction mechanism of the compost wetland to effectively remediate mine discharge. The water quality and flow of each mine discharge will determine which treatment system or combination of treatment systems would be necessary for remediation. A network of 37 surface-water sampling sites was established to determine stream-water quality during base flow. A series of illustrations show how water quality in the mainstem deteriorates downstream because of inflows from tributaries affected by acidic mine discharges. From the upstream mainstem site (site 801) to the outflow mainstem site (site 805), pH decreased from 6.8 to 4.2, alkalinity was completely depleted by inflow acidities, and total-iron discharges increased from 30 to 684 pounds per day. Total-manganese and total-sulfate discharges increased because neither constituent precipitates readily. Also, discharges of manganese and sulfate entering the mainstem from tributary streams have a cumulative effect. Oven Run and Pokeytown Run are two small tributary streams significantly affected by acidic mine drainage (AMD) that flow into the Stonycreek River near the town of Hooversville. The Pokeytown Run inflow is about 0.5 mile downstream from the Oven Run inflow. These two streams are the first major source of AMD flowing into the Stonycreek River. Data collected on the Stonycreek River above the Oven Run inflow and below the Pokeytown Run inflow show a decrease in pH from 7.6 to 5.1, a decrease in alkalinity concentration from 42 to 2 milligrams per liter, an increase in total sulfate discharge from 18 to 41 tons per day, and an increase in total iron discharge from 29 to 1,770 pounds per day. Data collected at three mainstem sites on the Stonycreek River below Oven Run and Pokeytown Run show a progressive deterioration in river water quality from AMD. Shade Creek and Paint Creek are other tributary streams to the Stonycreek River that have a significant negative effect on water quality of the Stonycreek River. One third of the abandoned-mine discharges sampled were in the Shade Creek and Paint Creek Basins.

Pennsylvania↗

Comparison of a simple hydrostatic and a data-intensive 3D numerical modeling method of simulating sea-level rise induced groundwater inundation for Honolulu, Hawai'i, USA

Groundwater inundation (GWI) is a particularly challenging consequence of sea-level rise (SLR), as it progressively inundates infrastructure located above and below the ground surface. Paths of flooding by GWI differ from other types of SLR flooding (i.e., wave overwash, storm-drain backflow) such that it is more difficult to mitigate, and thus requires a separate set of highly innovative adaptation strategies to manage. To spur consideration of GWI in planning, data-intensive numerical modeling methods have been developed that produce locally specific visualizations of GWI, though the accessibility of such methods is limited by extensive data requirements. Conversely, the hydrostatic (or 'bathtub') modeling approach is widely used in adaptation planning owing to easily accessed visualizations (i.e., NOAA SLR Viewer), yet its capacity to simulate GWI has never been tested. Given the separate actions necessary to mitigate GWI relative to marine overwash, this is a significant gap. Here we compare a simple hydrostatic modeling method with a more deterministic, dynamic and robust 3D numerical modeling approach to explore the effectiveness of the hydrostatic method in simulating equilibrium aquifer effects of multi-decadal sea-level rise, and in turn GWI for Honolulu, Hawai'i. We find hydrostatic modeling in the Honolulu area and likely other settings may yield similar results to numerical modeling when referencing the local mean higher-high water tide datum (generally typical of flood studies). These findings have the potential to spur preliminary understanding of GWI impacts in municipalities that lack the required data to conduct rigorous groundwater-modeling investigations. We note that the methods explored here for Honolulu do not simulate dynamic coastal processes (i.e., coastal erosion, sediment accretion or changes in land cover) and thus are most appropriately applied to regions that host heavily armored shorelines behind which GWI can develop.

Hawaii↗

Partially melted granodiorite and related rocks ejected from Crater Lake caldera, Oregon

Blocks of medium-grained granodiorite to 4 m, and minor diabase, quartz diorite, granite, aplite and granophyre, are common in ejecta of the ∼6,900 yrBP calderaforming eruption of Mount Mazama. The blocks show degrees of melting from 0–50 vol%. Because very few have adhering juvenile magma, it is thought that the blocks are fragments of the Holocene magma chamber's walls. Primary crystallisation of granodiorite produced phenocrystic pl + hyp + aug + mt + il + ap + zc, followed by qz + hb + bt + alkali feldspar (af). Presence of fluid inclusions in all samples implies complete crystallisation before melting. Subsolidus exchange with meteoric hydrothermal fluids before melting is evident in δ 18 O values of −3·4+4·9‰ for quartz and plagioclase in partially melted granodiorites (fresh lavas from the region have δ 18 O values of +5·8−+7·0‰); δ 18 O values of unmelted granodiorites from preclimatic eruptive units suggest hydrothermal exchange began between ∼70 and 24 ka. Before eruption, the granitic rocks equilibrated at temperatures, estimated from Fe-Ti oxide compositions, of up to ∼1000°C for c. 10 2 –10 4 years at a minimum pressure of 100-180 MPa. Heating caused progressive breakdown or dissolution of hb, af, bt, and qz, so that samples with the highest melt fractions have residual pl + qz and new or re-equilibrated af + hyp + aug + mt + il in high-silica rhyolitic glass (75-77% SiO 2 ). Mineral compositions vary systematically with increasing temperature. Hornblende is absent in rocks with Fe-Ti oxide temperatures >870°C, and bt above 970°C. Oxygen isotope fractionation between qz, pl, and glass in partially fused granodiorite also is consistent with equilibration at T≥900°C (Δ 18 O qz.pl = +0·7 ± 0·5‰). Element partitioning between glass and crystals reflects the large fraction of refractory pl, re-equilibration of af and isolation or incomplete dissolution of accessory phases. Ba and REE contents of analysed glass separates can be successfully modelled by observed degrees of partial melting of granodiorite, but Rb, Sr and Sc concentrations cannot. Several samples have veins of microlite-free glass 1–5 mm thick that are compositionally and physically continuous with intergranular melt and which apparently formed after the climactic eruption began. Whole-rock H 2 O content, microprobe glass analysis sums near 100% and evidence for high temperature suggest liquids in the hotter samples were nearly anhydrous. The occurrence of similar granodiorite blocks at all azimuths around the 8 × 10 km caldera implies derivation from one pluton. Compositional similarity between granodiorite and pre-Mazama rhyodacites suggests that the pluton may have crystallised as recently as 0·4 Ma; compositional data preclude crystallisation from the Holocene chamber. The history of crystallisation, hydrothermal alteration, and remelting of the granitic rocks may be characteristic of shallow igneous systems in which the balance between hydrothermal cooling and magmatic input changes repeatedly over intervals of 10 4 -10 6 years.

Oregon↗

Lake trout rehabilitation in Lake Ontario, 2019

Each year we report on the progress toward rehabilitation of the Lake Ontario lake trout ( Salvelinus namaycush ) population, including the results of stocking, annual assessment surveys, creel surveys, and evidence of natural reproduction observed from all standard surveys performed by USGS and NYSDEC. The catch per unit effort of adult lake trout in gill nets increased each year from 2008-2014, recovering from historic lows recorded during 2005-2007. Adult abundances declined each year from 2015 to 2017; and in 2017 were about 35% below the 2014 peak and 17% below the 1999-2004 mean. Adult abundance increased in 2018 by 51% over the 2017 value and increased and addition 16% in 2019. The 2019 rate of wounding by sea lamprey (Petromyzon marinus) on lake trout caught in gill nets (0.53 A1 wounds (fresh wound) per 100 lake trout) was below target (2 wounds per 100 lake trout). Estimates from the NYSDEC fishing boat survey indicated angler catch rate of lake trout was low in 2019 and among the lowest recorded for the time series. Condition values for an adult lake trout, indexed in September from the predicted weight for a 700mm lake trout from annual length-weight regressions and Fulton’s K for age-6 males, were among the highest levels observed for the 1983-2019 time series. Predicted weight for a 400mm lake trout from July 2019 bottom trawl catches was near the long-term average while age-2 K was among the lowest for the time series. Reproductive potential for the adult stock indexed from the CPUE of mature females ≥ 4000g was again above the target in 2019 continuing a trend observed in nine of the last ten years. The 2019 catch of young native lake trout marked the 25th observation in the last 26 years, however the low numbers of native adults observed during that time period continues to indicate substantial restoration impediments still exist.

Lake Ontario↗

Our evolving conceptual model of the coastal eutrophication problem

A primary focus of coastal science during the past 3 decades has been the question: How does anthropogenic nutrient enrichment cause change in the structure or function of nearshore coastal ecosystems? This theme of environmental science is recent, so our conceptual model of the coastal eutrophication problem continues to change rapidly. In this review, I suggest that the early (Phase I) conceptual model was strongly influenced by limnologists, who began intense study of lake eutrophication by the 1960s. The Phase I model emphasized changing nutrient input as a signal, and responses to that signal as increased phytoplankton biomass and primary production, decomposition of phytoplankton-derived organic matter, and enhanced depletion of oxygen from bottom waters. Coastal research in recent decades has identified key differences in the responses of lakes and coastal-estuarine ecosystems to nutrient enrichment. The contemporary (Phase II) conceptual model reflects those differences and includes explicit recognition of (1) system-specific attributes that act as a filter to modulate the responses to enrichment (leading to large differences among estuarine-coastal systems in their sensitivity to nutrient enrichment); and (2) a complex suite of direct and indirect responses including linked changes in: water transparency, distribution of vascular plants and biomass of macroalgae, sediment biogeochemistry and nutrient cycling, nutrient ratios and their regulation of phytoplankton community composition, frequency of toxic/harmful algal blooms, habitat quality for metazoans, reproduction/growth/survival of pelagic and benthic invertebrates, and subtle changes such as shifts in the seasonality of ecosystem functions. Each aspect of the Phase II model is illustrated here with examples from coastal ecosystems around the world. In the last section of this review I present one vision of the next (Phase III) stage in the evolution of our conceptual model, organized around 5 questions that will guide coastal science in the early 21st century: (1) How do system-specific attributes constrain or amplify the responses of coastal ecosystems to nutrient enrichment? (2) How does nutrient enrichment interact with other stressors (toxic contaminants, fishing harvest, aquaculture, nonindigenous species, habitat loss, climate change, hydrologic manipulations) to change coastal ecosystems? (3) How are responses to multiple stressors linked? (4) How does human-induced change in the coastal zone impact the Earth system as habitat for humanity and other species? (5) How can a deeper scientific understanding of the coastal eutrophication problem be applied to develop tools for building strategies at ecosystem restoration or rehabilitation?

Marine Ecology Progress Series↗

Kinetic determinations of trace element bioaccumulation in the mussel Mytilus edulis

Laboratory experiments employing radiotracer methodology were conducted to determine the assimilation efficiencies from ingested natural seston, the influx rates from the dissolved phase and the efflux rates of 6 trace elements (Ag, Am, Cd, Co, Se and Zn) in the mussel Mytilus edulis. A kinetic model was then employed to predict trace element concentration in mussel tissues in 2 locations for which mussel and environmental data are well described: South San Francisco Bay (California, USA) and Long Island Sound (New York, USA). Assimilation efficiencies from natural seston ranged from 5 to 18% for Ag, 0.6 to 1% for Am, 8 to 20% for Cd, 12 to 16% for Co, 28 to 34% for Se, and 32 to 41% for Zn. Differences in chlorophyll a concentration in ingested natural seston did not have significant impact on the assimilation of Am, Co, Se and Zn. The influx rate of elements from the dissolved phase increased with the dissolved concentration, conforming to Freundlich adsorption isotherms. The calculated dissolved uptake rate constant was greatest for Ag, followed by Zn > Am = Cd > Co > Se. The estimated absorption efficiency from the dissolved phase was 1.53% for Ag, 0.34% for Am, 0.31% for Cd, 0.11% for Co, 0.03% for Se and 0.89% for Zn. Salinity had an inverse effect on the influx rate from the dissolved phase and dissolved organic carbon concentration had no significant effect on trace element uptake. The calculated efflux rate constants for all elements ranged from 1.0 to 3.0% d-1. The route of trace element uptake (food vs dissolved) and the duration of exposure to dissolved trace elements (12 h vs 6 d) did not significantly influence trace element efflux rates. A model which used the experimentally determined influx and efflux rates for each of the trace elements, following exposure from ingested food and from water, predicted concentrations of Ag, Cd, Se and Zn in mussels that were directly comparable to actual tissue concentrations independently measured in the 2 reference sites in national monitoring programs. Sensitivity analysis indicated that the total suspended solids load, which can affect mussel feeding activity, assimilation, and trace element concentration in the dissolved and particulate phases, can significantly influence metal bioaccumulation for particle-reactive elements such as Ag and Am. For all metals, concentrations in mussels are proportionately related to total metal load in the water column and their assimilation efficiency from ingested particles. Further, the model predicted that over 96% of Se in mussels is obtained from ingested food, under conditions typical of coastal waters. For Ag, Am, Cd, Co and Zn, the relative contribution from the dissolved phase decreases significantly with increasing trace element partition coefficients for suspended particles and the assimilation efficiency in mussels of ingested trace elements; values range between 33 and 67% for Ag, 5 and 17% for Am, 47 and 82% for Cd, 4 and 30% for Co, and 17 and 51% for Zn.

Marine Ecology Progress Series↗

Water-quality trends for selected sites and constituents in the international Red River of the North Basin, Minnesota and North Dakota, United States, and Manitoba, Canada, 1970–2017

A comprehensive study to evaluate water-quality trends, while considering natural hydroclimatic variability, in the Red River of the North Basin and assess water-quality conditions for the Red River of the North crossing the international boundary near Emerson, Manitoba, Canada (the binational site), was completed by the U.S. Geological Survey in cooperation with the International Joint Commission, North Dakota Department of Environmental Quality, and Minnesota Pollution Control Agency and in collaboration with Manitoba Sustainable Development and Environment and Climate Change Canada. The international Red River of the North Basin encompasses 3 U.S. States (South Dakota, North Dakota, and Minnesota) and 1 Canadian Province (Manitoba). Water quality in the Red River of the North Basin is of concern for both Federal governments and State and Provincial governments. Water-quality objectives have been previously established for selected dissolved ions and recently (2019) proposed for selected nutrients for the binational site. In the current (2020) study, water-quality data from State, Provincial, and Federal agencies in the United States and Canada for sites in the Red River of the North Basin from 1970 to 2017 were compiled and used for trend analysis. Trend analysis using a water-quality dataset from multiple agencies that collect water-quality data for various objectives presented multiple challenges. The trend-analysis approach was able to accommodate differences in water-quality data caused by field-collection and laboratory-analytical method differences, disparities in sampling frequencies, and spatial and temporal gaps in data. Most of these challenges were overcome by the statistical tool, R–QWTREND, which identifies trends in concentration unrelated to variability in streamflow. The integrated basin approach used in the current study, combined with comparing current data trends with historical trends, provided valuable insights into understanding how water quality is changing spatially (34 sites analyzed for a recent period, 2000–15) and temporally (5 sites analyzed for a 45-year historical period, 1970–2015) within the Red River of the North Basin. One of the most consistent spatial and temporal changes observed in the current study was increasing concentrations of sulfate among tributary and main-stem sites since 2000. For some sites, increases were detected starting as early as 1985. Total dissolved solids and chloride concentrations had spatial and temporal patterns like sulfate. Although R–QWTREND removes the variability in constituent concentration caused by natural streamflow variability, all variability in sulfate caused by hydroclimatic variability may not be captured because of changes in hydrologic pathways and changes in the contributions of sulfate from various natural sources. Nutrient concentrations demonstrated less consistent spatial and temporal changes than sulfate, and changes in nutrient concentrations were assumed to be more closely tied to human-induced rather than natural changes. Nitrate-plus-nitrite concentrations were mostly increasing in the upper Red River of the North subbasin, and for nitrate plus nitrite and total nitrogen, the Sheyenne River subbasin had consistent decreasing concentrations. Since 2000, total phosphorus has decreased in the upper Red River of the North subbasin, but total phosphorus concentration has increased for sites in the lower Red River of the North subbasin, and for some main-stem sites, concentrations have been increasing since 1985. Unlike sulfate, the pattern in historical trends for total phosphorus for the main-stem sites differed from tributary sites, indicating that human-induced changes affected tributaries and main-stem sites differently. The more detailed evaluation of flow-averaged water-quality conditions for the binational site provided an understanding of how loads have changed over time and what proportion of the year and season concentrations are expected to exceed water-quality objectives. In a basin with highly variable streamflow like the Red River of the North, the trend in flow-averaged load (assuming streamflow conditions are the same year after year) provided a robust measure of change over time. Increasing concentrations of sulfate, chloride, total dissolved solids, and total phosphorus since 1985 for the binational site resulted in longer periods of exceedance of water-quality objectives per year occurring over time. For total nitrogen, decreasing concentrations resulted in shorter periods of exceedance per year during 1980 to 2015, but concentrations were still expected to exceed the water-quality objective about half the year. Periods of when exceedances were likely to occur during the year were affected by the source and transport mechanisms of the constituent. Trend results from this effort identified how water quality has changed across the basin, and further investigation would help to identify causes for the trends observed here. Information from the current study provides a basis for future trend attribution studies, evaluation of water-quality objectives, and development of comprehensive strategies for reducing nutrients to desired targets and establishes a baseline for tracking future progress in the Red River of the North Basin.

Minnesota, North Dakota, South Dakota, Manitoba↗

Native Prairie Adaptive Management: a multi region adaptive approach to invasive plant management on Fish and Wildlife Service owned native prairies

Much of the native prairie managed by the U.S. Fish and Wildlife Service (FWS) in the Prairie Pothole Region (PPR) of the northern Great Plains is extensively invaded by the introduced cool-season grasses, smooth brome ( Bromus inermis ) and Kentucky bluegrass ( Poa pratensis ). Management to suppress these invasive plants has had poor to inconsistent success. The central challenge to managers is selecting appropriate management actions in the face of biological and environmental uncertainties. In partnership with the FWS, the U.S. Geological Survey (USGS) developed an adaptive decision support framework to assist managers in selecting management actions under uncertainty and maximizing learning from management outcomes. This joint partnership is known as the Native Prairie Adaptive Management (NPAM) initiative. The NPAM decision framework is built around practical constraints faced by FWS refuge managers and includes identification of the management objective and strategies, analysis of uncertainty and construction of competing decision models, monitoring, and mechanisms for model feedback and decision selection. Nineteen FWS field stations, spanning four states of the PPR, have participated in the initiative. These FWS cooperators share a common management objective, available management strategies, and biological uncertainties. Though the scope is broad, the initiative interfaces with individual land managers who provide site-specific information and receive updated decision guidance that incorporates understanding gained from the collective experience of all cooperators. We describe the technical components of this approach, how the components integrate and inform each other, how data feedback from individual cooperators serves to reduce uncertainty across the whole region, and how a successful adaptive management project is coordinated and maintained on a large scale. During an initial scoping workshop, FWS cooperators developed a consensus management objective: increase the composition of native grasses and forbs on native sod while minimizing cost. Cooperators agreed that decision guidance should be provided annually and should account for local, real-time vegetation conditions observed on the ground. Over the course of development, two prototypes of the decision framework were considered. The final framework recognized four alternative actions that managers could take in any given year: (1) Graze—targeted use of grazing ungulates to achieve defoliation, (2) Burn—application of prescribed fire as the single form of defoliation, (3) Burn/Graze—a combination treatment, and (4) Rest—no action. The study area included northern mixed-grass and tallgrass prairie. Native vegetation in mixed–grass prairie has a strong cool-season component and thus the dominant native species have a phenology similar to that of smooth brome and Kentucky bluegrass, making management of those species challenging. In contrast, tallgrass prairie has a strong warm-season native component, leading to an existence of cool-season windows, periods of time in the fall and spring when cool‐season invasive grass species are actively growing and vulnerable to damage via select management actions, but warm‐season grass species are not active and are thus less susceptible to damage via the same actions. This dichotomy between prairie types necessitated the development of separate but parallel decision support systems for mixed-grass and tallgrass biomes. Management units are parcels of native prairie that receive a single management treatment at any one time over their entire extent. At any particular time, the vegetation state of each management unit is characterized by the amount of cover of native grasses and forbs and the type of invasive grass that is dominant. In addition, each unit has a defoliation state which reflects the number of years since the last defoliation event and an index to how intensively the unit was managed during the previous 7 years. State-transition models are used to predict the state of a management unit in year t+1 from its state in year t and a prescribed management action that was applied between the two monitoring events. Alternative models are built around key uncertainties that make choice of a management action difficult. Three uncertainties revolve around whether the effect of management actions depends on (1) type of dominant invader, (2) past defoliation history, and (3) level of invasion. Two additional uncertainties are considered when choosing a management action for tallgrass units: (4) the effectiveness of grazing within the cool-season window as a surrogate for burning when smooth brome is the dominant invader, and (5) the differential effect of active management outside the window as compared to rest. Because data on the probability of transitioning from one state to another under the various models were lacking, expert opinion and elicitation were used to parameterize the models. In addition, cooperators participated in elicitation exercises to extract their beliefs regarding the value of having native prairie compared to the cost of achieving it. Quantifying the subjective expression of utility in this way allowed for mathematical representation of the management objective into an objective function. By maximizing the objective function, cumulative utility is maximized, leading to the identification of a sequence of decisions that will achieve the management objective. The NPAM system adopted a vegetation monitoring protocol that was rapid, inexpensive, and familiar to many of the cooperators. The monitoring protocol served three purposes: (1) determining current vegetation and defoliation states of each unit, (2) evaluating progress toward the management objective, and (3) assessing predictive performance of the alternative models. The management year runs from September 1 to August 31. Management can be applied anytime during that period and monitoring takes places from late June to mid-August. Cooperators enter vegetation data and management information into a centralized database by August 25 of each year. Given the current state of the system (vegetation and defoliation states) and the current understanding of the system (or the belief state), identifying the current best management decision is a matter of looking up the combination (that is, system state and belief state) in the appropriate (mixed-grass or tallgrass) optimal decision table. Given complete uncertainty at the outset of decision-making, initial assignment of equal belief weights to each model was believed reasonable. The decisions in the optimal decision table that correspond to the current belief state constitute the current optimal decision policy. By August 31 of each year, individual cooperators are provided with a recommended management action for each of their management units for the upcoming management year. Upon receiving the management recommendations for their units, managers consider the recommendation, along with other relevant information, and at some point during the year one of the management alternatives is carried out. This iterative cycle of making and implementing a management decision, predicting the response, monitoring the outcome, comparing predicted and observed outcomes, updating model weights, and recommending a management action for the next cycle is expected to result in an accumulation of weight on a representative model of system dynamics, thereby increasing understanding needed to effectively manage native prairies. The NPAM system is now entering its second full year of complete operation, and represents one of only a few fully implemented applications of adaptive management within the U.S. Fish and Wildlife Service. NPAM is truly unique in that it originated from the ground up as a result of the leadership and steadfastness of several refuge biologists and managers confronted with a common problem. These biologists recognized that working together across a large landscape presented perhaps the best opportunity for halting and reversing the invasion of native grasslands by non-native cool-season grasses. Importantly, the NPAM system encapsulates the collective thinking and experience of tens if not hundreds of individuals who have battled this vexing problem for much of their careers. The NPAM initiative is rooted in principles of adaptive management, thereby affording the opportunity for grassland managers to pursue management objectives while acquiring information to reduce uncertainty and improve future management. The project introduced a number of technical innovations that will serve as templates for conservation efforts throughout and beyond the U.S. Fish and Wildlife Service. First, NPAM is an on-the-ground implementation of active adaptive management—possibly the first of its kind in conservation management—in which recommended management actions result from a prospective analysis of future learning (Williams, 1996). Second, by the use of dynamic optimization, NPAM demonstrates how decisions can be made that take into account possible future transitions of the system. Third, NPAM demonstrates how models of partial controllability are an effective means of accommodating unpredictable circumstances that cause a manager to follow a different course than was intended. Finally, the database developed for NPAM is an unparalleled system that enables the rapid integration of data from the field for the generation of ‘just-in-time’ management recommendations. In all, NPAM provides an example of how a science-management partnership can be forged to achieve large-scale conservation objectives.

Minnesota;Montana;North Dakota;South Dakota↗

Spatial and temporal variability of harmful algal blooms in Milford Lake, Kansas, May through November 2016

The U.S. Geological Survey, in cooperation with the Kansas Department of Health and Environment (KDHE), completed a study to quantify the spatial and temporal variability of cyanobacterial blooms in Milford Lake, Kansas, over a range of environmental conditions at various time scales (hours to months). A better understanding of the spatial and temporal variability of cyanobacteria and microcystin will inform sampling and management strategies for Milford Lake and for other lakes with cyanobacterial harmful algal bloom (CyanoHAB) issues throughout the Nation. Spatial and temporal variability were assessed in the upstream one-third of Milford Lake (designated as “Zone C” by KDHE) during May through November 2016 using a combination of time-lapse photography, continuous water-quality monitors, discrete phytoplankton, chlorophyll, and microcystin samples, and spatially dense near-surface data. Combined, these data were used to characterize variability of cyanobacterial abundance, algal biomass, and microcystin concentrations in Zone C of Milford Lake before, during, and after cyanobacterial blooms in 2016. Temporal patterns were evaluated during May through November 2016 using time-lapse photography at six locations in Zone C and at a single point location (the Wakefield site) using a combination of discrete and continuously measured water-quality data (including the cyanobacterial pigment phycocyanin). Based on time-lapse photography, CyanoHABs developed in Zone C of Milford Lake in early July and persisted through the end of November. Bloom accumulations at individual sites were dependent on wind direction. After a change in wind direction, it would take about 1 day for accumulations to become visible at different locations. During periods with low wind, accumulations were widespread and visible at all sites. Cyanobacteria were absent from the algal community at the Wakefield site in late May and were a minor component of the community in June; however, by mid-July the cyanobacteria were dominant and remained dominant until early November. Chlorophyll and microcystin concentrations at the Wakefield site were estimated using sensor-measured phycocyanin based on regression models developed for Zone C. Regression-estimated concentrations likely are more indicative of seasonal patterns in algal biomass (as indicated by chlorophyll concentrations) and microcystin than discretely collected samples because regression-estimated data have a much higher temporal resolution. Based on regression estimates, algal biomass and microcystin concentrations at the Wakefield site steadily increased from May through August. After August, concentrations decreased but remained relatively high compared to May and June. Daily chlorophyll maxima were as much as 400 times higher than daily minima, and daily microcystin maxima were as many as several orders of magnitude higher than daily minima. The extreme variability in algal biomass and microcystin concentrations at the Wakefield site reflects the development and dissipation of blooms, as indicated by the time-lapse cameras. Based on regression-estimated microcystin concentrations, the KDHE watch and warning thresholds for microcystin were exceeded during mid-June through late November. Exceedance of KDHE advisory thresholds often changed from no advisory to watch or warning over the course of the day because of the variability in algal biomass and microcystin concentrations caused by bloom development and dissipation. Continuous water-quality monitors may be useful in informing public-health decisions in lakes with variable CyanoHAB conditions; however, site-specific models need to be developed, and best practices for using continuous water-quality monitors to inform CyanoHAB management strategies need to be established. Spatial data were collected on May 26, July 21, and September 15, 2016, using a combination of a boat-mounted array and discrete water-quality samples analyzed for phytoplankton community composition and chlorophyll and microcystin concentrations. Spatial patterns were described using regression-estimated chlorophyll and microcystin concentrations. During the May 26, 2016, spatial surveys, cyanobacterial abundances were relatively low throughout Zone C and did not exceed KDHE guidance values compared to spatial surveys on July 21 and September 15. Regression-estimated chlorophyll concentrations were indicative of higher algal biomass uplake in Zone C, and decreases in the downlake direction towards Zone B. Regression-estimated chlorophyll concentrations also were more variable uplake than downlake. Based on regression estimates, microcystin concentrations did not exceed KDHE guidance values anywhere in Zone C on May 26. Spatial patterns in microcystin throughout Zone C did not match patterns in regression-estimated chlorophyll concentrations, likely because the algal community was not dominated by cyanobacteria at most locations in May. During the July 21, 2016, spatial surveys, cyanobacterial abundances in Zone C exceeded KDHE guidance values in 50 percent of samples. The algal community in Zone C was dominated by cyanobacteria at all locations except two, where cyanobacteria codominated with diatoms. Both locations where cyanobacteria and diatoms codominated were north of the causeway. Regression-estimated chlorophyll concentrations were indicative of higher algal biomass north of the causeway and on the eastern shore of Zone C. On July 21, algal biomass did not always decrease in the downlake direction. There was a decrease just south of the causeway but an increase shortly after with higher concentrations into Zone B. Spatial maps indicated changes in algal distribution at a 0.5-meter depth, with algae moving to the central part of the lake north of the causeway and along the eastern shore south of the causeway. Most regression-estimated microcystin concentrations on July 21 exceeded KDHE guidance values, reflecting the pervasive bloom conditions in Zone C during this period. Spatial patterns in regression-estimated microcystin concentrations throughout Zone C were similar to patterns seen in discrete samples and regression-estimated chlorophyll concentrations, with higher concentrations north of the causeway and on the east shore of Zone C. During the September 15, 2016, spatial surveys, cyanobacterial abundances did not exceed KDHE guidance values. The algal community north of the causeway was dominated by diatoms. The algal community throughout the rest of Zone C was dominated by cyanobacteria. Of regression-estimated microcystin concentrations on September 15, 80 percent did not exceed KDHE guidance values. Spatial patterns indicated northward movement of the cyanobacterial bloom consistent with a wind shift noted the previous day. On September 14, winds were generally from the north to northwest, shifting to the south by September 15. There was a northward progression of chlorophyll and microcystin during the spatial surveys. These data, along with the camera data and spatial and wind data from May and July, indicate that wind can be a major driver of the spatial and temporal variability of cyanobacterial blooms in Milford Lake and likely plays a role in the extent and duration of near-shore accumulations.

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