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At least 415 records · Page 23Linked to original sources

Outcomes of control and monitoring of a widespread riparian invader (Tamarix spp.): A comparison of synthesis approaches

Effective ecological restoration requires empirical assessment to determine outcomes of projects, but conclusions regarding the effects of restoration treatments on the whole ecosystem remain rare. Control of invasive shrubs and trees in the genus Tamarix and associated riparian restoration in the American Southwest has been of interest to scientists and resource managers for decades; dozens of studies have reported highly variable outcomes of Tamarix control efforts, as measured by a range of response variables, temporal and spatial scales and monitoring strategies. We conducted a literature search and review, meta-analysis and vote count (comparison of numerical outcomes lacking reported variances and/or sample sizes) on published papers that quantitatively measured a variety of responses to control of Tamarix . From 96 publications obtained through a global search on terms related to Tamarix control, we found 52 publications suitable for a meta-analysis (n = 777 comparisons) and 63 publications suitable for two vote counts (n = 1,460 comparisons total; 622 comparisons reported as statistically significant) of response to Tamarix control. We estimated responses to control by treatment type (e.g. cut-stump treatment, burning, biocontrol) and ecosystem component (e.g. vegetation, fauna, fluvial processes). Finally, we compared results of the various synthesis methods to determine whether the increasingly stringent requirements for inclusion led to biased outcomes. Vegetation metrics, especially measures of Tamarix response, were the most commonly assessed. Ecosystem components other than vegetation, such as fauna, soils and hydrogeomorphic dynamics, were under-represented. The meta-analysis showed significantly positive responses by vegetation overall to biocontrol, herbicide and cut-stump treatments. This was primarily due to reduction of Tamarix cover; impacts on replacement vegetation were highly variable. We found concordance amongst our varied synthesis approaches, indicating that increased granularity from stricter quantitative techniques does not come at the cost of a biased sample. Overall, our results indicate that common control methods are generally effective for reducing Tamarix , but the indirect effects on other aspects of the ecosystem are variable and remain understudied. Given that this is a relatively well-studied invasive plant species, our results also illustrate the limitations of not only individual studies, but also of reviews for measuring the impact of invasive species control. We call on researchers to investigate the less commonly studied responses to Tamarix control and riparian restoration including the effects on fauna, soil and hydrogeomorphic characteristics.

NeoBiota↗

Greater sage-grouse science (2015–17)—Synthesis and potential management implications

Executive Summary The greater sage-grouse ( Centrocercus urophasianus ; hereafter called “sage-grouse”), a species that requires sagebrush (Artemisia spp.), has experienced range-wide declines in its distribution and abundance. These declines have prompted substantial research and management investments to improve the understanding of sage-grouse and its habitats and reverse declines in distribution and population numbers. Over the past two decades, the U.S. Fish and Wildlife Service (USFWS) has responded to eight petitions to list the sage-grouse under the Endangered Species Act of 1973, with the completion of the most recent listing determination in September 2015. At that time, the USFWS determined that the sage-grouse did not warrant a listing, primarily because of the large scale science-based conservation and planning efforts completed or started by Federal, State, local agencies, private landowners, and other entities across the range. The planning efforts culminated in the development of the 2015 Bureau of Land Management (BLM) and U.S. Forest Service Land Use Plan Amendments, which provided regulatory certainty and commitment from Federal land-management agencies to limit, mitigate, and track anthropogenic disturbance and implement other sage-grouse conservation measures. After these policy decisions, the scientific community has continued to refine and expand the knowledge available to inform implementation of management actions, increase the efficiency and effectiveness of those actions, and continue developing an overall understanding of sage-grouse populations, habitat requirements, and their response to human activity and other habitat changes. The development of science has been driven by multiple prioritization documents including the “Greater Sage-Grouse National Research Strategy” (Hanser and Manier, 2013) and, most recently, the “Integrated Rangeland Fire Management Strategy Actionable Science Plan” (Integrated Rangeland Fire Management Strategy Actionable Science Plan Team, 2016). In October 2017, after a review of the 2015 Federal plans relative to State sage-grouse plans, in accordance with Secretarial Order 3353, the BLM issued a notice of intent to consider whether to amend some, all, or none of the 2015 land use plans. At that time, the BLM requested the U.S. Geological Survey (USGS) to inform this effort through the development of an annotated bibliography of sage-grouse science published since January 2015 and a report that synthesized and outlined the potential management implications of this new science. Development of the annotated bibliography resulted in the identification and summarization of 169 peer-reviewed scientific publications and reports. The USGS then convened an interagency team (hereafter referred to as the “team”) to develop this report that focuses on the primary topics of importance to the ongoing management of sage-grouse and their habitats. The team developed this report in a three-step process. First, the team identified six primary topic areas for discussion based on the members’ collective knowledge regarding sage-grouse, their habitats, and threats to either or both. Second, the team reviewed all the material in the “Annotated Bibliography of Scientific Research on Greater Sage-Grouse Published since January 2015” to identify the science that addressed the topics. Third, team members discussed the science related to each topic, evaluated the consistency of the science with existing knowledge before 2015, and summarized the potential management implications of this science. The six primary topics identified by the team were: Multiscale habitat suitability and mapping tools Discrete anthropogenic activities Diffuse activities Fire and invasive species Restoration effectiveness Population estimation and genetics

Open-File Report↗

A Methodology to Assess the National and Regional Impacts of U.S. Wind Energy Development on Birds and Bats

This scientific investigations report describes an effort by the U.S. Geological Survey (USGS) that used research, monitoring data, and modeling to develop a methodology to assess both the current and future population-level consequences of wind energy development on species of birds and bats that are present in the United States during any part of their life cycle. The methodology is currently applicable to birds and bats, focuses primarily on the effects of collisions with turbines, and can be applied to any species that breeds in, migrates through, or otherwise uses any part of the United States. The methodology assesses species at the national and regional scales and identifies those species potentially in need of more detailed study, as well as those species that are likely at low risk from wind energy development. This approach is fundamentally different from existing methods focusing on impacts at individual facilities. This report supersedes USGS Scientific Investigations Report 2015–5066 by the same authors, which described a preliminary version of the methodology. Following reviews of the preliminary methodology by a panel of external experts, public comments, and additional internal review, the methodology was revised and finalized. The three components of the refined methodology described in this new report rely on publicly available fatality information, population estimates, species range maps, turbine location data, biological characteristics of species, and population models. First, three metrics are combined to determine direct and indirect relative effects from wind energy facilities to generate a list of species scores. Second, a generic population model estimates the expected change in population trend caused by the additive mortality from collisions with wind turbines. Third, the methodology combines an estimate of observed fatalities and an estimate of potential biological removal to assess the possibility of a decrease in population size. The latter two components are quantitative. In a test case, the methodology was used to analyze data for six bird species and three bat species. Components of the methodology are based on simplifying assumptions and require information that, for many species, may be sparse or unreliable or may require further study. These assumptions should be carefully considered when using outputs from the methodology. Increases in the quality of data for fatalities from collisions with wind turbines, species distributions, abundance, and demography will likely improve results for uses of the methodology. The methodology’s design identifies and prioritizes a subset of the bird and bat species that may experience population-level impacts from collisions with wind turbines, both currently and from future wind energy development in the United States. Results of an assessment using this methodology could focus future research to improve our understanding of those impacts and to guide avoidance and minimization strategies. In addition, this methodology can be used to identify species for more intensive demographic modeling or to highlight those species that may not require any additional research because effects of wind energy development on their populations are projected to be small. The effects of wind energy facilities on nine unidentified species used in the test case described in this report have not been assessed. Their data were simply used to show the application of the methodology to real-world data and the types of outputs it would produce.

Scientific Investigations Report↗

Carbon dioxide enhanced oil recovery performance according to the literature

Introduction The need to increase the efficiency of oil recovery and environmental concerns are bringing to prominence the use of carbon dioxide (CO 2 ) as a tertiary recovery agent. Assessment of the impact of flooding with CO 2 all eligible reservoirs in the United States not yet undergoing enhanced oil recovery (EOR) requires making the best possible use of the experience gained in 40 years of applications. Review of the publicly available literature has located relevant CO 2 -EOR information for 53 units (fields, reservoirs, pilot areas) in the United States and 17 abroad. As the world simultaneously faces an increasing concentration of CO 2 in the atmosphere and a higher demand for fossil fuels, the CO 2 -EOR process continues to gain popularity for its efficiency as a tertiary recovery agent and for the potential for having some CO 2 trapped in the subsurface as an unintended consequence of the enhanced production (Advanced Resources International and Melzer Consulting, 2009). More extensive application of CO 2 -EOR worldwide, however, is not making it significantly easier to predict the exact outcome of the CO 2 flooding in new reservoirs. The standard approach to examine and manage risks is to analyze the intended target by conducting laboratory work, running simulation models, and, finally, gaining field experience with a pilot test. This approach, though, is not always possible. For example, assessment of the potential of CO 2 -EOR at the national level in a vast country such as the United States requires making forecasts based on information already available. Although many studies are proprietary, the published literature has provided reviews of CO 2 -EOR projects. Yet, there is always interest in updating reports and analyzing the information under new perspectives. Brock and Bryan (1989) described results obtained during the earlier days of CO 2 -EOR from 1972 to 1987. Most of the recovery predictions, however, were based on intended injections of 30 percent the size of the reservoir’s hydrocarbon pore volume (HCPV), and the predictions in most cases badly missed the actual recoveries because of the embryonic state of tertiary recovery in general and CO 2 flooding in particular at the time. Brock and Bryan (1989), for example, reported for the Weber Sandstone in the Rangely oil field in Colorado, an expected recovery of 7.5 percent of the original oil in place (OOIP) after injecting a volume of CO 2 equivalent to 30 percent of the HCPV, but Clark (2012) reported that after injecting a volume of CO 2 equivalent to 46 percent of the HCPV, the actual recovery was 4.8 percent of the OOIP. Decades later, the numbers by Brock and Bryan (1989) continue to be cited as part of expanded reviews, such as the one by Kuuskraa and Koperna (2006). Other comprehensive reviews including recovery factors are those of Christensen and others (2001) and Lake and Walsh (2008). The Oil and Gas Journal (O&GJ) periodically reports on active CO 2 -EOR operations worldwide, but those releases do not include recovery factors. The monograph by Jarrell and others (2002) remains the most technically comprehensive publication on CO 2 flooding, but it does not cover recovery factors either. This chapter is a review of the literature found in a search for information about CO 2 -EOR. It has been prepared as part of a project by the U.S. Geological Survey (USGS) to assess the incremental oil production that would be technically feasible by CO 2 flooding of all suitable oil reservoirs in the country not yet undergoing tertiary recovery.

Scientific Investigations Report↗

The elephant in the lab (and field): Contamination in aquatic environmental DNA studies

The rapid evolution of environmental (e)DNA methods has resulted in knowledge gaps in smaller, yet critical details like proper use of negative controls to detect contamination. Detecting contamination is vital for confident use of eDNA results in decision-making. We conducted two literature reviews to summarize (a) the types of quality assurance measures taken to detect contamination of eDNA samples from aquatic environments, (b) the occurrence, frequency and attribution (i.e., putative sources) of unexpected amplification in these quality assurance samples, and (c) how results were interpreted when contamination occurred. In the first literature review, we reviewed 156 papers and found that 91% of targeted and 73% of metabarcoding eDNA studies reported inclusion of negative controls within their workflows. However, a large percentage of targeted (49%) and metabarcoding (80%) studies only reported negative controls for laboratory procedures, so results were potentially blind to field contamination. Many of the 156 studies did not provide critical methodological information and amplification results of negative controls. In our second literature review, we reviewed 695 papers and found that 30 targeted and 32 metabarcoding eDNA studies reported amplification of negative controls. This amplification occurred at similar proportions for field and lab workflow steps in targeted and metabarcoding studies. These studies most frequently used amplified negative controls to delimit a detection threshold above which is considered significant or provided rationale for why the unexpected amplifications did not affect results. In summary, we found that there has been minimal convergence over time on negative control implementation, methods, and interpretation, which suggests that increased rigor in these smaller, yet critical details remains an outstanding need. We conclude our review by highlighting several studies that have developed especially effective quality assurance, control and mitigation methods.

Frontiers in Ecology and Evolution↗

Validation of the SCEC broadband platform V14.3 simulation methods using pseudo spectral acceleration data

This paper summarizes the evaluation of ground motion simulation methods implemented on the SCEC Broadband Platform (BBP), version 14.3 (as of March 2014). A seven-member panel, the authorship of this article, was formed to evaluate those methods for the prediction of pseudo-­‐spectral accelerations (PSAs) of ground motion. The panel’s mandate was to evaluate the methods using tools developed through the validation exercise (Goulet et al. ,2014), and to define validation metrics for the assessment of the methods’ performance. This paper summarizes the evaluation process and conclusions from the panel. The five broadband, finite-source simulation methods on the BBP include two deterministic approaches herein referred to as CSM (Anderson, 2014) and UCSB (Crempien and Archuleta, 2014); a band-­‐limited stochastic white noise method called EXSIM (Atkinson and Assatourians, 2014); and two hybrid approaches, referred to as G&P (Graves and Pitarka, 2014) and SDSU (Olsen and Takedatsu, 2014), which utilize a deterministic Green’s function approach for periods longer than 1 second and stochastic methods for periods shorter than 1 second. Two acceptance tests were defined to validate the broadband finite‐source ground methods (Goulet et al., 2014). Part A compared observed and simulated PSAs for periods from 0.01 to 10 seconds for 12 moderate to large earthquakes located in California, Japan, and the eastern US. Part B compared the median simulated PSAs to published NGA-­‐West1 (Abrahamson and Silva, 2008; Boore and Atkinson, 2008; Campbell and Bozorgnia, 2008; and Chiou and Youngs, 2008) ground motion prediction equations (GMPEs) for specific magnitude and distance cases using a pass-­‐fail criteria based on a defined acceptable range around the spectral shape of the GMPEs. For the initial Part A and Part B validation exercises during the summer of 2013, the software for the five methods was locked in at version 13.6 (see Maechling et al., 2014). In the spring of 2014, additional moderate events were considered for the Part A validation, and additional magnitude and distance cases were considered for the Part B validation, for the software locked in at version 14.3. Several of the simulation procedures, specifically UCSB and SDSU, changed significantly between versions 13.6 and 14.3. The CSM code was not submitted in time for the v14.3 evaluation and its detailed performance is not addressed in this paper. As described in Goulet et al. (2014) and Maechling et al. (2014), the BBP generates a variety of products, including three-­‐component acceleration time series. A series of post-­‐processing codes were developed to provide individual component PSAs and average median horizontal-­‐component PSA (referred to as RotD50; Boore, 2010) for oscillator periods ranging from 0.01 to 10 seconds, as well as median PSA values computed using the NGA-­‐West 1 GMPEs. The BBP was also configured to provide statistical analysis of simulation results relative to recordings (Part A) and GMPEs (Part B) as described further in sections below. As part of our evaluation, we reviewed documentation provided by each of the developers, which included the technical basis behind the methods and the developer’s self-­‐assessments regarding the extrapolation capabilities (in terms of magnitude and distance ranges) of their methods. Two workshops were held in which methods and results were presented, and the panel was given the opportunity to question the developers and to have detailed technical discussions. A SCEC report (Dreger et al., 2013) describes the results of this review for BBP version 13.6. This paper summarizes that work and presents results for the more recent BBP 14.3 validation.

Seismological Research Letters↗

Comments on potential geologic and seismic hazards affecting proposed liquefied natural gas site in Santa Monica Bay, California

In a letter to the U.S. Geological Survey (USGS) dated March 25, 2008, Representative Jane Harman (California 36th district) requested advice on geologic hazards that should be considered in the review of a proposed liquefied natural gas (LNG) facility off the California coast in Santa Monica Bay. In 2004, the USGS responded to a similar request from Representative Lois Capps, regarding two proposed LNG facilities offshore Ventura County, Calif., with a report summarizing potential geologic and seismic hazards (Ross and others, 2004). The proposed LNG Deepwater Port (DWP) facility includes single point moorings (SPMs) and 35 miles of underwater pipelines. The DWP submersible buoys, manifolds, and risers would be situated on the floor of the southern Santa Monica Basin, in 3,000 feet of water, about 23 miles offshore of the Palos Verdes Peninsula. Twin 24-inch diameter pipelines would extend northeastward from the buoys across the basin floor, up the basin slope and across the continental shelf, skirting north around the Santa Monica submarine canyon. Figure 1 provides locations of the project and geologic features. Acronyms are defined in table 1. This facility is being proposed in a region of known geologic hazards that arise from both the potential for strong earthquakes and geologic processes related to sediment transport and accumulation in the offshore environment. The probability of a damaging earthquake (considered here as magnitude 6.5 or greater) in the next 30 years within about 30 miles (50 km) of the proposed pipeline ranges from 16% at the pipeline's offshore end to 48% where it nears land (Petersen, 2008). Earthquakes of this magnitude are capable of producing strong shaking, surface fault offsets, liquefaction phenomena, landslides, underwater turbidity currents and debris flow avalanches, and tsunamis. As part of the DWP license application for the Woodside Natural Gas proposal in Santa Monica Bay (known as the OceanWay Secure Energy Project), Fugro West, Inc., had already prepared a document discussing geologic hazards in the area, titled 'Exhibit B Topic Report 6 - Geological Resources' (Fugro West, Inc., 2007); hereafter, this will be called the 'Geological Resources document'. The USGS agreed to evaluate the information in the Geological Resources document regarding (1) proximity of active faults to the proposed project, (2) potential magnitude of seismic events from nearby faults, (3) thoroughness of the assessment of earthquake hazards in general, (4) potential hazards from ground rupture and strong shaking, (5) potential hazards from tsunamis, and (6) other geologic hazards including landslides and debris flows. Because two new earthquake probability reports were scheduled to be released in mid-April, 2008, by the USGS and the California Geological Survey (CGS), the USGS suggested a 6-month review period to enable a thorough incorporation of this new information. Twenty-seven scientists from the USGS and the CGS reviewed various sections of the Geological Resources document. This report outlines our major conclusions. The appendix is a longer list of comments by these reviewers, grouped by section of the Geological Resources document. Before discussing our reviews, we first provide a brief overview of geologic hazards in the proposed site area. This report is a snapshot in time and any future work in the area will need to take into account ongoing research efforts. For example, USGS scientists collected seismic reflection data in the spring of 2008 to study the structure and seismic potential of several faults in the area. Their interpretations (Conrad and others, 2008a and 2008b) are too preliminary to be included in this report, but their final results, along with other researchers' studies in the project area, should be considered in any future work on the Deepwater Port project.

California↗

Compilation and preliminary interpretations of hydrologic and water-quality data from the Railroad Industrial Area, Fairbanks, Alaska, 1993-94

Commercial and industrial activities in the Railroad Industrial Area in Fairbanks, Alaska, have resulted in accidental releases of chemicals to the subsurface. Such releases have generated concern regarding local ground-water quality and the potential impact on nearby water-supply wells. Consequently, a study is being conducted to characterize the environmental and hydrologic conditions in the area. Existing reports from numerous previous investigations in the area were reviewed and relevant information from these documents was compiled. Both ground- and surface-water elevations were measured approximately monthly at as many as 50 sites during mass measurements. Selected sites were measured more frequently to assess short-term changes in the ground- and surface-water systems. Supplemental data were also collected outside of the study area to aid in interpretation. Ground water was sampled and analyzed to define the extent of the area affected by petroleum hydrocarbons and chlorinated solvents. Data show that water levels in nearby rivers and sloughs have a considerable influence on ground-water flow in the study area. Seasonal and shorter term changes in river stage frequently alter and even reverse the direction of ground-water flow. The local ground-water system typically has an upward flow component, but this component is reversed in the upper part of the aquifer during periods of high water levels in the Chena River. These periodic changes in the magnitude and direction of ground-water flow have a considerable influence on the transport of dissolved hydrocarbons in the subsurface. Both petroleum hydrocarbons and chlorinated solvents were found in ground water at the study area. Typical degradation products of these compounds were also found, indicating that biodegradation by indigenous microorganisms is occurring.

Water-Resources Investigations Report↗

A Review and Synthesis of the Scientific Information Related to the Biology and Management of Species of Special Concern at Cape Hatteras National Seashore, North Carolina

The U.S. Geological Survey's Patuxent Wildlife Research Center (PWRC) conducted a study for the National Park Service (NPS) Southeast Region, Atlanta, GA, and Cape Hatteras National Seashore (CAHA) in North Carolina to review, evaluate, and summarize the available scientific information for selected species of concern at CAHA (piping plovers, sea turtles, seabeach amaranth, American oystercatchers, and colonial waterbirds). This work consisted of reviewing the scientific literature and evaluating the results of studies that examined critical life history stages of each species, and focused on the scientific findings reported that are relevant to the management of these species and their habitats at CAHA. The chapters that follow provide the results of that review separately for each species and present scientifically based options for resource management at CAHA. Although no new original research or experimental work was conducted, this synthesis of the existing information was peer reviewed by over 15 experts with familiarity with these species. This report does not establish NPS management protocols but does highlight scientific information on the biology of these species to be considered by NPS managers who make resource management decisions at CAHA. To ensure that the best available information is considered when assessing each species of interest at CAHA, this review included published research as well as practical experience of scientists and wildlife managers who were consulted in 2005. PWRC scientists evaluated the literature, consulted wildlife managers, and produced an initial draft that was sent to experts for scientific review. Revisions based on those comments were incorporated into the document. The final draft of the document was reviewed by NPS personnel to ensure that the description of the recent status and management of these species at CAHA was accurately represented and that the report was consistent with our work agreement. The following section summarizes the biological information relevant to resource management for the species of concern at CAHA.

Open-File Report↗

United States Geological Survey Annual Report, Fiscal Year 1975

The Survey resumes the practice of annually summarizing the progress it has made in identifying the Nation's land, water, energy, and mineral resources, classifying federally owned mineral lands and waterpower sites, and in supervising the exploration and development of energy and mineral resources on Federal and Indian lands. The Annual Report for 1975 consists of five parts: * The Year in Review - a review of the issues and events which affected Survey programs and highlights of program accomplishments. * Perspectives - several short papers which address major resource issues and summarize recent advances in the earth sciences. * A description of the Survey's budget, programs, and accomplishments. * A set of statistical tables and related information which documents program trends, workloads, and accomplishments. * A compendium of Survey publications and information services available to the public. One purpose of this report is to increase public awareness and understanding of the Geological Survey's programs and, more generally, of the role of earth sciences information in helping to resolve many of the natural resource conflicts that face our society now and in the years ahead. To be useful, however, information must be available and readily accessible to those responsible for natural resource policy at the time that the decisions are made. This report emphasizes the types of information products and services provided by the Survey and tells how to obtain additional information.

Annual Report↗

Regional lists of plant species that occur in wetlands: data base user's guide

The Data Base List of Plant Species that Occur in Wetlands (LIST) currently contains records for 6,728 plant species. Each record provides information on nomenclature, plant characteristics and lifeforms, distribution, and frequency of occurrence in wetlands. The List of Plant Species that Occur in Wetlands, developed to supplement the U.S. Fish and Wildlife Service's Classification of Wetlands and Deepwater Habitats of the United States (Cowardin et al. 1979), underwent an intensive review by field botanists across the country. This review was coordinated by national and regional interagency wetland plant list review panels composed of representatives from the U. S. Fish and Wildlife Service, U. S. Army Corps of Engineers, Soil Conservation Service, and the Environmental Protection Agency. Initial and updated versions of the Data Base List of Plant Species that Occur in Wetlands are available in hardcopy (Reed 1986, 1988). Regional lists are available as U.S. Fish and Wildlife Service Biological Report Series 88(26.126.13). State lists are available as National Ecology Research Center Report Series 88(18.01-18.50). The computerized data base tracks and documents indicator assignments made by regional interagency review panels and facilitates generation of reports. This user's guide describes the format and contents of the LIST Data Base. The Data Base is available on 5-1/4" floppy disks in ASCII format for use with a data base management system on an IBM PC/XT/AT compatible computer. The LIST Data Base was developed using the QUICKTEXT Data Base Management System (Osborn and Strong 1984). Use of QUICKTEXT with the LIST Data Base is strongly recommended. Instructions for loading LIST into QUICKTEXT are included in this user's guide. Other data base management systems capable of handling variable length fields can be used by individuals familiar with these software packages. LIST distribution disks are available for 13 regions (Table 1). QUICKTEXT (course QT100--Data Base Management Techniques) and regional subsets of the LIST Data Base (distributed as self-tutorial courses, Table 1) are available through the Office of Conference Services, Colorado State University.

Report↗

Editors' message: Hydrogeology Journal in 2003

Hydrogeology Journal appeared in six issues containing a total of 710 pages and 48 major articles, including 31 Papers and 14 Reports, as well as some Technical Notes and Book Reviews. The number of submitted manuscripts continues to increase. The final issue of 2003 also contained the annual volume index. Hydrogeology Journal ( HJ ) is an international forum for hydrogeology and related disciplines and authors in 2003 were from about 28 countries. Articles advanced hydrogeologic science and described hydrogeologic systems in many regions worldwide. These articles focused on a variety of general topics and on studies of hydrogeology in 24 countries: Afghanistan, Algeria, Argentina, Australia, Bangladesh, Belgium, Canada, Chile, China, Denmark, France, India, Italy, Mexico, Netherlands, New Zealand, Nigeria, Norway, Portugal, Russia, South Africa, Switzerland, Turkey, and U.S.A. The Guest Editor of the 2003 HJ theme issue on “Hydromechanics in Geology and Geotechnics”, Ove Stephansson, assembled a valuable collection of technical reviews and research papers from eminent authors on important aspects of the subject area.

Hydrogeology Journal↗

Reanalysis indicates little evidence of reduction in eagle mortality rate by automated curtailment of wind turbines

Unintended consequences of renewable energy development include collision-caused deaths of birds and bats. Energy companies may risk prosecution if protected species are among the casualties. Shutting down turbines during high collision-risk conditions could reduce mortality rates, and several companies are developing systems to identify such conditions. A recent peer-reviewed article published in the Journal of Applied Ecology reported a remarkable ‘82% (75%–89%) reduction in the fatality rate’ of eagles at a wind energy facility due to a device marketed as Identiflight®—remarkable because of the impressive effect size and the extremely high level of precision. We show that reported results stem from four major errors, which, when corrected, give an unremarkable estimate of 50% (−159%, 89%) reduction (or possible increase) in the fatality rate. The errors include the following: (i) Ignoring annual variation . They compare the average number of eagle fatalities over 4 years before activation of Identiflight® to the number in a single year after, ignoring annual variation in fatalities. (ii) Unfounded causal inference . Lack of replication (one treatment year at one site) is ignored, leading to unwarranted causal inference. (iii) Inflated effect size . Effect size is inflated by assuming (without providing evidence) that the difference in fatality relative to the mean at a neighbouring site would be exactly repeated at the treatment site. Furthermore, the observed difference in fatalities at the control site depends strongly on the arbitrarily chosen date distinguishing the ‘Before’ and ‘After’ periods, yielding unreliable results. (iv) Inconsistency of data . It is unclear why 7 of 42 reported eagle fatalities were not included in the data analyzed, potentially further inflating the estimated effect size. Synthesis and applications . The recent claim, published in the Journal of Applied Ecology, that ‘Eagle fatalities are reduced by automated curtailment of wind turbines’ is not supported by the data but stems from errors that led to strongly overstated effect size and precision, and unfounded inference. In theory, automated curtailment has obvious potential for reducing eagle fatalities, but several more years of data at several locations and appropriate statistical analyses will be required to evaluate its effectiveness and to inform management prescriptions involving this technology.

Journal of Applied Ecology↗

Crude oil metabolites in groundwater at two spill sites

Two groundwater plumes in north central Minnesota with residual crude oil sources have 20 to 50 mg/L of nonvolatile dissolved organic carbon (NVDOC). These values are over 10 times higher than benzene and two to three times higher than Diesel Range Organics in the same wells. On the basis of previous work, most of the NVDOC consists of partial transformation products from the crude oil. Monitoring data from 1988 to 2015 at one of the sites located near Bemidji, MN show that the plume of metabolites is expanding toward a lakeshore located 335 m from the source zone. Other mass balance studies of the site have demonstrated that the plume expansion is driven by the combined effect of continued presence of the residual crude oil source and depletion of the electron accepting capacity of solid phase iron oxide and hydroxides on the aquifer sediments. These plumes of metabolites are not covered by regulatory monitoring and reporting requirements in Minnesota and other states. Yet, a review of toxicology studies indicates that polar metabolites of crude oil may pose a risk to aquatic and mammalian species. Together the results suggest that at sites where residual sources are present, monitoring of NVDOC may be warranted to evaluate the fates of plumes of hydrocarbon transformation products.

Minnesota↗