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At least 415 records · Page 23Linked to original sources

Martian planetwide crater distributions: Implications for geologic history and surface processes

Population-density maps of craters in three size ranges (0.6 to 1.2 km, 4 to 10 km, and >20 km in diameter) were compiled for most of Mars from Mariner 9 imagery. These data provide: historical records of the eolian processes (0.6 to 1.2 km craters); stratigraphic, relative, and absolute timescales (4 to 10 km craters); and a history of the early postaccretional evolution of the uplands (> 20 km craters). Based on the distribution of large craters (>20 km diameters), Mars is divisible into two general classes of terrain, densely cratered and very lightly cratered—a division remarkably like the uplands-maria dichotomy of the moon. It is probable that this bimodal character in the density distribution of large craters arose from an abrupt transition in the impact flux rate from an early intense period associated with the tailing off of accretion to an extended quiescent epoch, not from a void in geological activity during much of Mars' history. Radio-isotope studies of Apollo lunar samples show that this transition occurred on the moon in a short time. The intermediate-sized craters (4 to 10 km diameter) and the small-sized craters (0.6 to 1.2 km diameter) appear to be genetically related. The smaller ones are apparently secondary impact craters generated by the former. Most of the craters in the larger of these two size classes appear fresh and uneroded, although many are partly buried by dust mantles. Poleward of the 40° parallels the small fresh craters are notably absent owing to these mantles. The density of small craters is highest in an irregular band centered at 20°S. This band coincides closely with (1) the zone of permanent low-albedo markings; (2) the “wind equator” (the latitude of zero net north or south transport at the surface); and (3) a band that includes a majority of the small dendritic channels. Situated in the southermost part of the equatorial unmantled terrain which extends from about 40°N to 40°S, this band is apparently devoid of even a thin mantle. Because this belt is also coincident with the latitutde of maximum solar insolation (periapsis occurs near summer solstice), we suggest that this band arises from the asymmetrical global wind patterns at the surface and that the band probably follows the latitude of maximum heating which migrates north and south from 25°N to 25°S within the unmantled terrain on a 50,000 year timescale. The population of intermediate-sized craters (4–10 km diameter) appears unaffected by the eolian mantles, at least within the ±45° latitudes. Hence the local density of these craters is probably a valid indicator of the relative age of surfaces generated during the period since the uplands were intensely bombarded and eroded. It now appears that the impact fluxes at Mars and the moon have been roughly the same over the last 4 b.y. because the oldest postaccretional, mare-like surfaces on Mars and the moon display about the same crater density. If so, the nearness of Mars to the asteroid belt has not generated a flux 10 to 25 times greater than the lunar flux. Whereas the lunar maria show a variation of about a factor of three in crater density from the oldest to the youngest major units, analogous surfaces on Mars show a variation between 30 and 50. This implies that periods of active eolian erosion, tectonic evolution, volcanic eruption, and possibly fluvial modification have been scattered throughout Martian history since the formation and degradation of the martian uplands and not confined to small, ancient or recent, epochs. These processes are surely active on the planet today.

Icarus↗

Late Pleistocene and Holocene depositional trends, processes, and history of Astoria deep-sea fan, Northeast Pacific

The asymmetrical Astoria Fan (110 × 180 km) developed off the Columbia River and Astoria submarine canyon during the Pleistocene. Morphology, stratigraphy, and lithology have been outlined for a Pleistocene turbidite, and a Holocene hemipelagic sedimentary regime to generate geologically significant criteria for comparison with ancient equivalent deposits. Both gray silty clay of the Late Pleistocene and olive-gray clay of the Early Holocene are interrupted by turbidites. The few deeply incised fan valleys of the more steeply sloping upper fan contain thick, muddy and very poorly sorted sand and gravel beds that usually have poorly developed internal sedimentary structures. The numerous shallower fan valleys and distributaries of the flatter middle and lower fan contain thick, clean, and moderately sorted medium to fine sands that are vertically graded in texture, composition and well-developed internal sedimentary structures. Tuffaceous turbidites (containing Mazama ash, 6600 B.P.) can be traced as thick deposits (ca. 30–40 cm) throughout the Astoria Channel system and as thin correlative interbeds (ca. 1–2 cm) in interchannel areas. Similarly, sand/shale ratios are high throughout the fan valleys and the middle and lower fan areas of distributaries, but are low in the upper-fan interchannel areas. These depositional trends indicate that high-density turbidity currents carry coarse traction loads that remain confined in upper but not lower fan valleys. Fine debris selectively sorts out from channelized flows into overbank suspension flows that spread over the fan and deposit clayey silt. A high content of mica, plant fragments, and glass shards (if present) characterizes deposits of the overbank flows, a major process in the building of upper fan levees and interchannel areas. In the Late Pleistocene, turbidity currents funneled most coarse-grained debris through upper channels to depositional sites in middle and lower fan distributaries that periodically shifted, anastomosed and braided to spread sand layers throughout the area. At this time, depositional rates were many times greater (>50 cm/1000 years) than in the Holocene (8 cm/1000 years). During the Holocene rise of sea level, the shoreline shifted, the Columbia River sediment was trapped, and turbidity-current activity slackened from one major event per 6 years in the Late Pleistocene, to one per 1000 years in the Early Holocene, to none since the Mt. Mazama eruption (ca. 6600 B.P.). Turbidites became muddier and deposited as thick beds within main channels, in part explaining Holocene deposition rates three times greater there (25 cm/1000 years) than in interchannel regions. Turbid-layer debris, funneled through channel systems and trapped from flows off the continental terrace, also contributed to rapid sedimentation in valleys; however, less than 2% of the suspended sediment load of the Columbia River has been trapped in fan valleys during the Holocene. By the Late Holocene, continuous particle-by-particle deposition of hemipelagic clay with a biogenous coarse fraction was the predominant process on the fan. These hemipelagites contain progressively more clay size and less terrigenous debris offshore, and are finer grained, richer in planktonic tests and dominated by radiolarians compared to the foraminiferal-rich Pleistocene clays. The hemipelagic sedimentation of interglacial times, however, is insignificant compared to turbidite deposition of glacial times.

Oregon, Washington↗

Fluvial sedimentation on a quivering craton: Influence of slight crustal movements on fluvial processes, upper Jurassic Morrison formation, western Colorado Plateau

One of the most important challenges facing the fluvial sedimentologist is identification of processes outside the stream channel that influence deposition of fluvial sediments. Detailed studies in the lower sequence of the Salt Wash Member (Morrison Formation, Upper Jurassic) demonstrate that crustal deformation at the site of deposition may considerably influence braided-stream processes. Late Jurassic crustal movements in the western part of the Colorado Plateau are interpreted largely from thickness variations and facies distribution, but other features such as vertical repetition of facies, coincidence with at least parts of present-day folds, and the geographic distribution of bedding parameters measured in the fluvial deposits, are also used as corroborating evidence of syndepositional tectonism. These features indicate that several of the large uplifts and basins in the region as well as some of the smaller folds within them were actively moving during deposition of the lower sequence. Tectonic activity altered the stream gradients, which in turn governed sinuosity, flow regime, energy levels, and sediment distribution. Cross-bedding studies indicate that reduced gradients within downwarped areas led to slight increases in sinuosity of the braided-stream channels and of the small sub-channels within them. The lowered gradients apparently resulted in a decrease in the depth of the channels and allowed the streams to flood more readily, producing abundant upper-flow regime horizontal laminations in the channel deposits. In addition, greater quantities of sediment containing higher proportions of sand were deposited in downwarped areas than in positive localities. The inability of the streams to transport bed load through downwarped areas indicates loss of stream energy. However, an increase in the quantity of upper-flow regime horizontal laminations in the same downwarped areas suggests that an increase in flow regime is not necessarily accompanied by an increase in energy levels, at least in regions of slight tectonic activity where the local configuration of the stream channels may change appreciably. Strata presently dip less than 2° throughout most of the region, and this relatively small amount of deformation reflects the combined effects of Late Jurassic, Cretaceous and Tertiary tectonism. This demonstrates that the amount of structural deformation at the site of deposition may appear to be insignificant, yet it can cause appreciable changes in the nature of braided-stream deposits.

Arizona, Utah↗

Studies of angiospermous woods in Australian brown coal by nuclear magnetic resonance and analytical pyrolysis: new insight into early coalification

Many Tertiary coals contain abundant fossilized remains of angiosperms, which commonly dominated the ancient peat-swamp environments; modern analogs of such swamps can be found in tropical and subtropical regions of the world. Comparisons of angiospermous wood from Australian brown coal with similar wood buried in modern peat swamps of Indonesia have provided some new insights into coalification reactions. These comparisons were made by using solid-state 13 C nuclear magnetic resonance (NMR) techniques and pyrolsis-gas chromatography-mass spectrometry (py-gc-ms). These two modern techniques are especially suited for detailed structural evaluation of the complex macromolecules in coal. The earliest transformation (peatification) of organic matter in angiospermous wood is the degradation and removal of cellulosic components and the concomitant selective preservation of lignin-derived components. The angiospermous lignin that becomes enriched in wood as a result of cellulose degradation also is modified by coalification reactions; this modification, however, does not involve degradation and removal of the lignin. Rather, the early coalification process transforms the lignin phenols (guiacyl and syringyl) to eventually yield the aromatic structures typically found in brown coal. One such transformation, which is determined from NMR data, involves the cleavage of aryl-ether bonds that link guaiacyl and syringyl units in lignin, and this transformation leads to the formation of free lignin phenols. Another transformation, which is also determined from the NMR data, involves the loss of methoxyl groups, probably via demethylation, to produce catechol-like structures. Coincident with ether-cleavage and demethylation, the aromatic rings derived from lignin phenols become more carbon-substituted and cross linked, as determined by dipolar-dephasing NMR studies. This cross linking is probably responsible for preventing the lignin phenols, which are freed from the lignin macromolecule by ether cleavage, from being removed from the coal by dissolution. Pyrolysis data suggest that the syringyl units are altered more readily than are guaiacyl units, and this difference in resistance leads to an enrichment of the guaiacyl units in fossil angiospermous woods. Many of the coalification reactions noted above occur to some degree in all angiospermous fossil wood examined; however, some significant differences are observed in the degree of coalification of the fossil wood samples from the same burial depth in the brown coal. These differences indicate that the depth and duration of burial are probably not entirely responsible for the variations in degree of coalification. Different rates of degradation in peat may have contributed to the variations in the apparent degree of coalification; some woods may have been altered more rapidly at the peat stage than others. Although preliminary, this systematic study of botanically related wood in peat and coal results in a more detailed differentiation of coalification reactions than have previous investigations. The combined use of solid-state 13 C NMR and py-gc-ms has facilitated this detailed insight into the coalification of angiospermous wood.

International Journal of Coal Geology↗

The role of soil processes in determining mechanisms of slope failure and hillslope development in a humid-tropical forest eastern Puerto Rico

Translational failures, with associated downslope earthflow components and shallow slides, appear to be the primary mechanism of hillslope denudation in the humid tropical forests of the mountains of eastern Puerto Rico. In-situ weathering of quartz diorite and marine-deposited volcaniclastics produces residual soil (saprolite; up to 21 m deep) / weathered rock profiles. Discontinuous zones of contrasting density and permeability particularly in quartz-diorite slopes at 0.5 m, and between 3 and 7 m, create both pathways and impedances for water that can result in excess pore pressures and, ultimately, aid in determining the location of failure planes and magnitudes of slope failures. In combination with relict fractures which create planes of weakness within the saprolite, and the potential significance of tensile stresses in the upper zone of saprolite (hypothesized to be caused by subsurface soil creep), shear failure can then occur during or after periods of heavy rainfall. Results of in-situ shear-strength testing show negative y-intercepts on the derived Mohr-Coulomb failure envelopes (approximately 50% of all tests) that are interpreted as apparent tensile stresses. Observation of tension cracks 1-2 m deep support the test data. Subsurface soil creep can cause extension of the soil and the development of tensile stresses along upper-slope segments. Shear-strength data support this hypothesis for both geologic types. Apparent values of maximum and mean tensile stress are greatest along upper slopes (16.5 and 6.29 kPa). Previously documented maximum rates of downslope movement coincided with local minima of shear strength, and the shear-strength minimum for all tests was located near 0.5 m below land surface, the shallow zone of contrasting permeabilities. These results indicate that subsurface soil creep, a slow semi-continuous process, may exert a profound influence on rapid, shallow slope failures in saprolitic soils. Data indicate that cove slopes in quartz diorite tend to be the most unstable when saturation levels reach 75%. Deep failures (7 m deep) appear the most critical but not the most frequent because pore pressure build-up will occur more rapidly in the upper perched zone of translocated clays before reaching the lower zone between 3 and 7 m. Frequent shallow failures could reduce the probability of deeper failures by removing overburden and reducing shear stress at depth. Deep failures are more likely to result from storm events of great duration and intensity. Sixty-six 'naturally occurring' and more than 100 'road-related' landslides were mapped. Forest elevations exceed 1000 m, but the majority of these failures were found between 600 and 800 m in elevation. This appears to be the area where there is sufficient concentration of subsurface water to result in excess pore pressures. The high percentage of slope failures in the 600-800-m range, relative to the percentage at higher elevations, suggests that differences in soil-water processes are responsible for the form of these mountain slopes. Steep linear segments are maintained at higher elevations. Slope angles are reduced in the 600-800-m range by frequent shallow slides, creating a largely concave surface. In combination, slope segments above 800 m, and those between 600 and 800 m, produce the characteristic form of the mountains of eastern Puerto Rico. ?? 1990.

Geomorphology↗

Triggering mechanisms and depositional rates of postglacial slope-movement processes in the Yosemite Valley, California

We examined information collected from 395 reports of slope-movement events during about the past 150 years in Yosemite National Park, central Sierra Nevada, California, to identify the most prevalent types of slope movements and their triggering mechanisms. Rock slides and rock falls have been more numerous than debris slides, debris flows, and miscellaneous slumps. Rock falls have produced the largest cumulative volume of deposits. About half of slope movements had unreported or unrecognized triggering events. Earthquakes and rain storms individually accounted for the greatest cumulative volumes of deposits from recognized triggers of all types of historical slope movements; snowmelt, human activities and freeze-thaw conditions accounted for only a small proportion of the volumes from reported triggers. A comparison of the historical and postglacial average annual rates of deposition from slope-movement processes in a portion of the Yosemite Valley indicates that, during the period 1851-1992, slope-movement processes have been producing about half the average rate of deposits than during the past 15,000 years.

Geomorphology↗

Sampling design for spatially distributed hydrogeologic and environmental processes

A methodology for the design of sampling networks over space is proposed. The methodology is based on spatial random field representations of nonhomogeneous natural processes, and on optimal spatial estimation techniques. One of the most important results of random field theory for physical sciences is its rationalization of correlations in spatial variability of natural processes. This correlation is extremely important both for interpreting spatially distributed observations and for predictive performance. The extent of site sampling and the types of data to be collected will depend on the relationship of subsurface variability to predictive uncertainty. While hypothesis formulation and initial identification of spatial variability characteristics are based on scientific understanding (such as knowledge of the physics of the underlying phenomena, geological interpretations, intuition and experience), the support offered by field data is statistically modelled. This model is not limited by the geometric nature of sampling and covers a wide range in subsurface uncertainties. A factorization scheme of the sampling error variance is derived, which possesses certain atttactive properties allowing significant savings in computations. By means of this scheme, a practical sampling design procedure providing suitable indices of the sampling error variance is established. These indices can be used by way of multiobjective decision criteria to obtain the best sampling strategy. Neither the actual implementation of the in-situ sampling nor the solution of the large spatial estimation systems of equations are necessary. The required values of the accuracy parameters involved in the network design are derived using reference charts (readily available for various combinations of data configurations and spatial variability parameters) and certain simple yet accurate analytical formulas. Insight is gained by applying the proposed sampling procedure to realistic examples related to sampling problems in two dimensions.

Advances in Water Resources↗

Wildfire and landscape change

Wildfire is a worldwide phenomenon that is expected to increase in extent and severity in the future, due to fuel accumulations, shifting land management practices, and climate change. It immediately affects the landscape by removing vegetation, depositing ash, influencing water-repellent soil formation, and physically weathering boulders and bedrock. These changes typically lead to increased erosion through sheetwash, rilling, dry ravel, and increased mass movement in the form of floods, debris flow, rockfall, and landslides. These process changes bring about landform changes as hillslopes are lowered and stream channels aggrade or incise at increased rates. Furthermore, development of alluvial fans, debris fans, and talus cones are enhanced. The window of disturbance to the landscape caused by wildfire is typically on the order of 3–4 years, with some effects persisting up to 30 years.

Book chapter↗

Effects of phase-feeding dietary phosphorus on survival, growth, and processing characteristics of rainbow trout Oncorhynchus mykiss

A factorial experiment involving eight diets and three feeding periods was conducted to determine the minimal level of dietary phosphorus required to maintain survival, growth, and processing characteristics of post-juvenile rainbow trout. Trout were reared to an average size of 200, 300, or 400 g using a commercial feed (1.20% P), then allotted by triplicate groups of nine fish to one of seven experimental diets containing logarithmic increments of dietary phosphorus (0.15%%, 0.21%, 0.30%, 0.42%, 0.60%, 0.85%, and 1.20% P) or a commercial trout feed (1.20% P). At an average weight of 550 g, fish were transported to a commercial processing plant, mechanically filleted, and evaluated for quality. Fish survival and weight gain increased quadratically with increased dietary phosphorus for fish started on treatment at 200 and 300 g, but were similar among all fish started at 400 g. Phosphorus retention decreased with increasing dietary phosphorus level, from approximately 88% in groups fed diets containing 0.21% phosphorus to between 23% and 32% in groups fed diets containing 0.85% phosphorus. Calculated phosphorus losses increased as dietary phosphorus levels increased, from a low of approximately 0.4 g phosphorus kg-1 fish weight gain to between 9.5 and 13 g phosphorus kg-1 fish weight gain at the highest dietary phosphorus level. Dietary phosphorus did not affect carcass moisture, protein, lipid, or ash, but carcass phosphorus increased with increased dietary phosphorus among fish started on treatment at 200 and 300 g. There were no differences among any treatment group in carcass dressing or finishing percentage, or visual or textural appeal. The results indicate that available phosphorus levels can be reduced in rainbow trout diets to 0.60% at 200 g, to 0.30% at 300 g, or to 0.15% at 400 g live weight without loss in production or product quality in fish harvested at 550 g. Using these phase-feeding strategies would reduce the amount of phosphorus fed to the fish over the production cycle by 25%, and the amount lost to the environment by 12.5% for fish starting at 300 or 400 g. ?? 2004 Elsevier B.V. All rights reserved.

Aquaculture↗

Ecological hierarchies and self-organisation - Pattern analysis, modelling and process integration across scales

A continuing discussion in applied and theoretical ecology focuses on the relationship of different organisational levels and on how ecological systems interact across scales. We address principal approaches to cope with complex across-level issues in ecology by applying elements of hierarchy theory and the theory of complex adaptive systems. A top-down approach, often characterised by the use of statistical techniques, can be applied to analyse large-scale dynamics and identify constraints exerted on lower levels. Current developments are illustrated with examples from the analysis of within-community spatial patterns and large-scale vegetation patterns. A bottom-up approach allows one to elucidate how interactions of individuals shape dynamics at higher levels in a self-organisation process; e.g., population development and community composition. This may be facilitated by various modelling tools, which provide the distinction between focal levels and resulting properties. For instance, resilience in grassland communities has been analysed with a cellular automaton approach, and the driving forces in rodent population oscillations have been identified with an agent-based model. Both modelling tools illustrate the principles of analysing higher level processes by representing the interactions of basic components.The focus of most ecological investigations on either top-down or bottom-up approaches may not be appropriate, if strong cross-scale relationships predominate. Here, we propose an 'across-scale-approach', closely interweaving the inherent potentials of both approaches. This combination of analytical and synthesising approaches will enable ecologists to establish a more coherent access to cross-level interactions in ecological systems. ?? 2010 Gesellschaft f??r ??kologie.

Basic and Applied Ecology↗

Coupling process-based and empirical models to assess management options to meet conservation goals

Conservation lands face a mounting threat of ecosystem transformation and the loss of biodiversity from the invasion of fire-prone perennial and annual grasses. Managers must make difficult decisions to find efficient ways to expend limited resources to manage large and complex landscapes amidst substantial uncertainty regarding effective treatment strategies, climates, and invader-induced novel processes. We developed a state-and-transition simulation model coupled with a fire behavior model to study impacts to native biodiversity and fire regimes in a national park invaded by a perennial grass. We evaluated resources required to meet management objectives, and how to spatially allocate available resources efficiently and effectively. Management strategies and ecological scenarios strongly influenced the ability to minimize potential impacts; the inclusion of a new management strategy, aerial precision spot spraying targeting low cover levels in remote regions, was needed to supplement current treatments that can only target large, dense patches. Adding this new treatment method may be enough to conserve the desert ecosystem from small scale transformation through invasive competition and from broad functional transformations through invasive-induced fire regime changes. Spot spraying may also be highly beneficial if wetter monsoonal conditions create faster growth rates, decreasing the ability to contain the invasion even with unlimited management resources. Given current annual budgets for control, and the new treatment option, invasion control and preservation of native biodiversity may be possible regardless of spatial prioritization. Coupled empirical and process-based models efficiently simulated the effects of management activities, quantifying potential management costs and ecological impacts, while considering a wide range of possible future uncertainties associated with climate, spread rates, and wildfires lacking historical precedent. These techniques could be applied to other situations to evaluate the feasibility of conservation goals and to determine actions that would be most efficient and effective in meeting those goals.

Arizona↗

Acoustic Sediment Estimation Toolbox (ASET): A software package for calibrating and processing TRDI ADCP data to compute suspended-sediment transport in sandy rivers

Quantifying suspended-sediment transport is critical for a variety of disciplines related to the management of water resources. However, the number of gauging stations and monitoring networks in most rivers around the world is insufficient to improve understanding of river dynamics and support water resource management decisions. This is mainly due to the high operational costs and intensive labor involved in traditional sediment measurement techniques, especially in sand bed rivers where coarse material varies spatially in the river cross section. Recently, the acoustic surrogate method has received attention as a potentially accurate surrogate technology for estimating suspended-sediment concentrations. In addition, the acoustic surrogate method, through use of acoustic Doppler current profilers (ADCPs), has the advantage of being able to simultaneously measure the flow velocity field and cross-sectional area when moving-boat measurements are performed. In spite of the important advances made in the implementation of this technique, there are no widely-available, free tools for processing the ADCP acoustic signal cross section measurements which include options to extrapolate velocity and sediment in unmeasured ADCP zones and develop calibrations with physical samples. This paper presents a new software called Acoustic Sediment Estimation Toolbox (ASET), which enables the user to develop a calibration between the acoustic signal collected with a down-looking Teledyne RD Instruments ADCP and sediment concentrations determined using traditional sediment sampling techniques. Moreover, ASET software uses dynamic ADCP measurements to estimate the total suspended-sediment transport through a river cross section. The theoretical framework and data processing routines applied by each module in ASET are presented. Finally, a comparison is made between the results obtained by ASET and by traditional methodologies for computing suspended-sediment transport in a large river system (Paraná River, Argentina).

Computers & Geosciences↗

Prediction and assimilation of surf-zone processes using a Bayesian network: Part I: Forward models

Prediction of coastal processes, including waves, currents, and sediment transport, can be obtained from a variety of detailed geophysical-process models with many simulations showing significant skill. This capability supports a wide range of research and applied efforts that can benefit from accurate numerical predictions. However, the predictions are only as accurate as the data used to drive the models and, given the large temporal and spatial variability of the surf zone, inaccuracies in data are unavoidable such that useful predictions require corresponding estimates of uncertainty. We demonstrate how a Bayesian-network model can be used to provide accurate predictions of wave-height evolution in the surf zone given very sparse and/or inaccurate boundary-condition data. The approach is based on a formal treatment of a data-assimilation problem that takes advantage of significant reduction of the dimensionality of the model system. We demonstrate that predictions of a detailed geophysical model of the wave evolution are reproduced accurately using a Bayesian approach. In this surf-zone application, forward prediction skill was 83%, and uncertainties in the model inputs were accurately transferred to uncertainty in output variables. We also demonstrate that if modeling uncertainties were not conveyed to the Bayesian network (i.e., perfect data or model were assumed), then overly optimistic prediction uncertainties were computed. More consistent predictions and uncertainties were obtained by including model-parameter errors as a source of input uncertainty. Improved predictions (skill of 90%) were achieved because the Bayesian network simultaneously estimated optimal parameters while predicting wave heights.

Coastal Engineering↗

Current research issues related to post-wildfire runoff and erosion processes

Research into post-wildfire effects began in the United States more than 70 years ago and only later extended to other parts of the world. Post-wildfire responses are typically transient, episodic, variable in space and time, dependent on thresholds, and involve multiple processes measured by different methods. These characteristics tend to hinder research progress, but the large empirical knowledge base amassed in different regions of the world suggests that it should now be possible to synthesize the data and make a substantial improvement in the understanding of post-wildfire runoff and erosion response. Thus, it is important to identify and prioritize the research issues related to post-wildfire runoff and erosion. Priority research issues are the need to: (1) organize and synthesize similarities and differences in post-wildfire responses between different fire-prone regions of the world in order to determine common patterns and generalities that can explain cause and effect relations; (2) identify and quantify functional relations between metrics of fire effects and soil hydraulic properties that will better represent the dynamic and transient conditions after a wildfire; (3) determine the interaction between burned landscapes and temporally and spatially variable meso-scale precipitation, which is often the primary driver of post-wildfire runoff and erosion responses; (4) determine functional relations between precipitation, basin morphology, runoff connectivity, contributing area, surface roughness, depression storage, and soil characteristics required to predict the timing, magnitudes, and duration of floods and debris flows from ungaged burned basins; and (5) develop standard measurement methods that will ensure the collection of uniform and comparable runoff and erosion data. Resolution of these issues will help to improve conceptual and computer models of post-wildfire runoff and erosion processes.

Earth-Science Reviews↗

Watershed Continuum Monitoring Approach: Combining multiple water quality patterns along stream and river flowpaths to track sources, pathways, and processing of pollutants

There is a growing need to improve and expand water quality monitoring approaches to more accurately track the sources, fate, and transport of multiple chemicals and pollutants holistically and quantify the effects of best management practices (BMPs) at the watershed scale. An overarching question raised by scientists, environmental managers, and the general public is: how far can water quality impacts from disturbances or benefits from watershed management and restoration propagate along stream and river flowpaths? Many studies using the classic watershed approach focus on analyzing changes in water quality over time at one or a few sampling stations, whereas theories such as the River Continuum Concept focus on predicting shifts in energy sources and biological communities along rivers but have not been directly applied to water quality. We propose to merge these concepts to create a Watershed Continuum Monitoring Approach (WCMA) that combines both spatial and temporal monitoring in order to better detect and quantify trends and transitions in multiple water quality indicators along flowpaths. Specifically, an array of multiple water quality indicators are analyzed at multiple downstream points along a watershed flowpath over time. These multiple water quality indicators are analyzed together for making comparisons to infer hydrological, biological, and geochemical processes controlling sources, transport, and attenuation of pollutants ( e.g. , analagous to stream tracer studies at the watershed scale). The WCMA leverages the natural expansion of watershed areas along a flowpath, which reflect transitions in land use, land cover, and environmental management across spatial and temporal dimensions for making direct comparisons across different stream reaches and spatial trend analysis. WCMA facilitates monitoring of multiple water quality indicators together, and identifcation of hot spots in sources and attenuation of pollutants or mixtures of pollutants. We illustrate practical applications of the WCMA to analyze water quality trends, transitions, and tradeoffs ( i.e. , a tradeoff occurs when one pollutant is reduced but another is directly or indirectly increased downstream). We explore case studies that quantify: (1) downstream reductions in concentrations of multiple pollutants along a stream flowing to a major drinking water source due to engineered and nature-based solutions, (2) downstream reductions in multiple pollutants and water quality tradeoffs along streams experiencing stormwater BMPs and stream restoration, (3) comparisons in downstream reductions of multiple pollutants and nutrient uptake along streams draining into major drinking water sources based on types of stream restoration, (4) comparisons of downstream pollutant reductions along streams experiencing riparian forest conservation vs. stream restoration, and (5) mapping and visualizing hot spots of increasing water quality problems such as hypoxia, contaminant mobilization, and freshwater salinization that extend downstream to tidal rivers of the Chesapeake Bay. We explore future applications of WCMA for tracking decreasing trends in salinity, E. coli , and other pollutants of emerging concern. WCMA can holistically inform progress towards achieving multiple water quality goals and also be used as a screening tool for selecting monitoring sites and targeting management in strategic locations. Overall, WCMA enables the simultaneous quantification and comparison of sources and transport and attenuation rates for different chemicals and pollutants across a broader range of watershed sizes and flowpath lengths, which is critical for understanding ecological, hydrological, geochemical, and biogeochemical processes along human-impacted streams and rivers.

Ecological Engineering↗

Comparing cropland net primary production estimates from inventory, a satellite-based model, and a process-based model in the Midwest of the United States

Accurately quantifying the spatial and temporal variability of net primary production (NPP) for croplands is essential to understand regional cropland carbon dynamics. We compared three NPP estimates for croplands in the Midwestern United States: inventory-based estimates using crop yield data from the U.S. Department of Agriculture (USDA) National Agricultural Statistics Service (NASS); estimates from the satellite-based Moderate Resolution Imaging Spectroradiometer (MODIS) NPP product; and estimates from the General Ensemble biogeochemical Modeling System (GEMS) process-based model. The three methods estimated mean NPP in the range of 469–687 g C m −2 yr −1 and total NPP in the range of 318–490 Tg C yr −1 for croplands in the Midwest in 2007 and 2008. The NPP estimates from crop yield data and the GEMS model showed the mean NPP for croplands was over 650 g C m −2 yr −1 while the MODIS NPP product estimated the mean NPP was less than 500 g C m −2 yr −1 . MODIS NPP also showed very different spatial variability of the cropland NPP from the other two methods. We found these differences were mainly caused by the difference in the land cover data and the crop specific information used in the methods. Our study demonstrated that the detailed mapping of the temporal and spatial change of crop species is critical for estimating the spatial and temporal variability of cropland NPP. We suggest that high resolution land cover data with species–specific crop information should be used in satellite-based and process-based models to improve carbon estimates for croplands.

Illinois, Indiana, Iowa, Kansas, Michigan, Minneso↗

Bioturbation depths, rates and processes in Massachusetts Bay sediments inferred from modeling of 210Pb and 239 + 240Pu profiles

Profiles of 210 Pb and 239 + <240 Pu from sediment cores collected throughout Massachusetts Bay (water depths of 36-192 m) are interpreted with the aid of a numerical sediment-mixing model to infer bioturbation depths, rates and processes. The nuclide data suggest extensive bioturbation to depths of 25-35 cm. Roughly half the cores have 210 Pb and 239 + 240 Pu profiles that decrease monotonically from the surface and are consistent with biodiffusive mixing. Bioturbation rates are reasonably well constrained by these profiles and vary from ~0.7 to ~40 cm 2 yr -1 . As a result of this extensive reworking, however, sediment ages cannot be accurately determined from these radionuclides and only upper limits on sedimentation rates (of ~0.3 cm yr -1 ) can be inferred. The other half of the radionuclide profiles are characterized by subsurface maxima in each nuclide, which cannot be reproduced by biodiffusive mixing models. A numerical model is used to demonstrate that mixing caused by organisms that feed at the sediment surface and defecate below the surface can cause the subsurface maxima, as suggested by previous work. The deep penetration depths of excess 210 Pb and 239 + 240 Pu suggest either that the organisms release material over a range of >15 cm depth or that biodiffusive mixing mediated by other organisms is occurring at depth. Additional constraints from surficial sediment 234 Th data suggest that in this half of the cores, the vast majority of the present-day flux of recent, nuclide-bearing material to these core sites is transported over a timescale of a month or more to a depth of a few centimeters below the sediment surface. As a consequence of the complex mixing processes, surface sediments include material spanning a range of ages and will not accurately record recent changes in contaminant deposition.

Massachusetts↗

Small mammals and ungulates respond to and interact with revegetation processes following dam removal

Terrestrial wildlife communities are often overlooked as components of ecosystem restoration following dam removal. However, a diverse mammalian fauna colonizes habitat on dewatered reservoirs and may influence restoration processes. We studied mammalian colonization and ungulate herbivory from 2014 to 2018 following the removal of two large dams on the Elwha River in Washington, USA. Specifically, we examined (1) small mammal colonization and (2) Roosevelt elk ( Cervus elaphus roosevelti ) and Columbian black-tailed deer ( Odocoileus hemionus columbianus ) distribution and browsing pressure in association with revegetation efforts. We live-trapped small mammals on two former reservoir beds and monitored deer and elk use by conducting pellet group counts and quantifying ungulate herbivory at plots throughout the former reservoir beds and an adjacent reference site. We found that the proportion of deciduous riparian species on plots best predicted occupancy for mice, shrews, and voles. Small mammal species diversity was best explained by the proportion of logs and conifers on study plots. Roosevelt elk presence and browsing intensity on willows ( Salix spp.) and black cottonwood ( Populus balsamifera ssp. trichocarpa ) varied both spatially and temporally, affecting the stature and potentially the growth trajectories of these species. Early seral restoration of these terrestrial habitats has included the presence of a diversity of granivores, insectivores, and herbivores, with elk demonstrating the strongest influence over portions of the study area. Small mammal colonization complements revegetation succession and demonstrates restoration of ecological processes, while large ungulates may be playing a more substantial role in shaping revegetation.

Washington↗