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At least 451 records · Page 25Linked to original sources

Persistence and quality of vegetation cover in expired Conservation Reserve Program fields

For nearly 40 years, the Conservation Reserve Program (CRP) has implemented practices to reduce soil erosion, improve water quality, and provide habitat for wildlife and pollinators on highly erodible cropland in the United States. However, an approximately 40,470 ha (10 million acres) decline in enrolled CRP land over the last decade has greatly reduced the program's environmental benefits. We sought to assess the program's enduring benefits in the central and western United States by (1) determining the proportion of fields that persist in CRP cover after contracts expired, (2) identifying the type of agricultural production that CRP fields shift to after contract expiration, (3) comparing the vegetation characteristics of expired CRP fields that are persisting in CRP-type cover with enrolled CRP fields, and (4) identifying differences in management activities (e.g., haying, grazing) between expired and enrolled CRP fields. We conducted edge-of-field vegetation cover surveys in 1092 CRP fields with contracts that expired ≥3 years prior and 1786 currently enrolled CRP fields in 14 states. We found that 41% of expired CRP fields retained at least half of their area in CRP-type cover, with significant variation in persistence among regions ranging from 19% to 84%. When expired fields retained CRP vegetation, bare ground was low in all regions and grass cover was somewhat greater than in fields with current CRP contracts, but at the expense of forb cover in some regions. Evidence of more frequent management in expired CRP fields may explain differences between active and expired CRP fields. Overall, there is clear evidence that CRP-type cover frequently persists and provides benefits for more than three years after contract expiration. Retaining CRP-type cover, post-contract, is an under-recognized program benefit that persists across the central and western United States long after the initial retirement from cropland.

Ecosphere↗

Are we heading towards a global decrease in coregonine catches?

Coregonines have specific ecological needs, making them potentially very vulnerable to changes in lake conditions. A contemporary concern is that many lakes worldwide are experiencing environmental changes due to anthropogenic pressure and climate warming. Here, we compiled long-term data of coregonine catches from 27 lakes from three continents in the northern hemisphere. Declines in catch were observed in 67% of the lakes during the first two decades of the 21 st century, with a significant trend (p-value<0.05) in 44% of the cases. An analysis to determine whether trends are globally linked to environmental conditions and specific lake attributes was carried out on 26 lakes for the period 2000–2019. Several local declines in catches had already been documented in the literature and are likely to be due to local forcing such as nutrients, species invasions and changes in fishing practices. Nevertheless, on a global scale, our results indicate that lakes, which exhibited a significant decrease in catch were larger and more nutrient-poor than other lakes. The rate of change in catches appeared to be related to the trophic state of the lake. The specific effect of warming is difficult to determine during the studied period. When warming occurred outside the period of egg incubation, decreasing trends were more frequently observed in nutrient-poor than in mesotrophic lakes. In conclusion, our findings suggest that achieving oligo- or ultraoligotrophic conditions, as required in developed countries to control phytoplankton blooms and enhance water quality, could pose significant challenges for future management of coregonine fisheries.

International Journal of Limnology↗

Statistical approaches to the analysis of point count data: A little extra information can go a long way

Point counts are a standard sampling procedure for many bird species, but lingering concerns still exist about the quality of information produced from the method. It is well known that variation in observer ability and environmental conditions can influence the detection probability of birds in point counts, but many biologists have been reluctant to abandon point counts in favor of more intensive approaches to counting. However, over the past few years a variety of statistical and methodological developments have begun to provide practical ways of overcoming some of the problems with point counts. We describe some of these approaches, and show how they can be integrated into standard point count protocols to greatly enhance the quality of the information. Several tools now exist for estimation of detection probability of birds during counts, including distance sampling, double observer methods, time-depletion (removal) methods, and hybrid methods that combine these approaches. Many counts are conducted in habitats that make auditory detection of birds much more likely than visual detection. As a framework for understanding detection probability during such counts, we propose separating two components of the probability a bird is detected during a count into (1) the probability a bird vocalizes during the count and (2) the probability this vocalization is detected by an observer. In addition, we propose that some measure of the area sampled during a count is necessary for valid inferences about bird populations. This can be done by employing fixed-radius counts or more sophisticated distance-sampling models. We recommend any studies employing point counts be designed to estimate detection probability and to include a measure of the area sampled.

Book chapter↗

Influence of groundwater recharge and well characteristics on dissolved arsenic concentrations in southeastern Michigan groundwater

Arsenic concentrations exceeding 10 ??g/l, the United States maximum contaminant level and the World Health Organization guideline value, are frequently reported in groundwater from bedrock and unconsolidated aquifers of southeastern Michigan. Although arsenic-bearing minerals (including arsenian pyrite and oxide/hydroxide phases) have been identified in Marshall Sandstone bedrock of the Mississippian aquifer system and in tills of the unconsolidated aquifer system, mechanisms responsible for arsenic mobilization and subsequent transport in groundwater are equivocal. Recent evidence has begun to suggest that groundwater recharge and characteristics of well construction may affect arsenic mobilization and transport. Therefore, we investigated the relationship between dissolved arsenic concentrations, reported groundwater recharge rates, well construction characteristics, and geology in unconsolidated and bedrock aquifers. Results of multiple linear regression analyses indicate that arsenic contamination is more prevalent in bedrock wells that are cased in proximity to the bedrock-unconsolidated interface; no other factors were associated with arsenic contamination in water drawn from bedrock or unconsolidated aquifers. Conditions appropriate for arsenic mobilization may be found along the bedrock-unconsolidated interface, including changes in reduction/oxidation potential and enhanced biogeochemical activity because of differences between geologic strata. These results are valuable for understanding arsenic mobilization and guiding well construction practices in southeastern Michigan, and may also provide insights for other regions faced with groundwater arsenic contamination. ?? Springer-Verlag 2008.

Environmental Geochemistry and Health↗

Sediment source fingerprinting as an aid to large-scale landscape conservation and restoration: A review for the Mississippi River Basin

Reliable quantitative information on sediment sources to rivers is critical to mitigate contamination and target conservation and restoration actions. However, the determination of the relative importance of sediment sources is complicated at the scale of large river basins by immense variability in erosional processes and sediment sources over space and time, heterogeneity in sediment transport and deposition, and a paucity of sediment monitoring data. Sediment source fingerprinting is an increasingly adopted field-based technique that identifies the nature and relative source contribution of sediment transported in waterways. Notably, sediment source fingerprinting provides information that is independent of other field, modeling, or remotely sensed techniques. However, the diversity in sediment fingerprinting sampling, analytical, and interpretive methods has been recognized as a problem in terms of developing standardized procedures for its application at the scale of large river basins. Accordingly, this review focuses on established sediment source fingerprinting studies conducted within the Mississippi River Basin (MRB), summarizes unique information provided by sediment source fingerprinting that is distinct from traditional monitoring techniques, evaluates consistency and reliability of methodological approaches among MRB studies, and provides prospects for the use of the sediment source fingerprinting technique as an aid to large-scale landscape conservation and restoration under current management frameworks. Most established MRB studies got creditable fingerprinting results and considered near-channel sources as the dominant sediment sources in most cases, while the comparability of their results suffers from a lack of standardization in procedural steps. Findings from MRB studies demonstrate that sediment source fingerprinting is a highly valuable and reliable sediment source assessment approach to assist land and water resource management under current management frameworks, but efforts are still needed to make this technique ready to be used in a more predominant way in large-scale landscape conservation and restoration efforts. We summarized research needs and suggested the best fingerprinting practices for management purposes with the aim of ensuring that this technique is as robust and reliable as it moves forward.

Mississippi River Basin↗

A systematic approach towards the identification and protection of vulnerable marine ecosystems

The United Nations General Assembly in 2006 and 2009 adopted resolutions that call for the identification and protection of vulnerable marine ecosystems (VMEs) from significant adverse impacts of bottom fishing. While general criteria have been produced, there are no guidelines or protocols that elaborate on the process from initial identification through to the protection of VMEs. Here, based upon an expert review of existing practices, a 10-step framework is proposed: (1) Comparatively assess potential VME indicator taxa and habitats in a region; (2) determine VME thresholds; (3) consider areas already known for their ecological importance; (4) compile information on the distributions of likely VME taxa and habitats, as well as related environmental data; (5) develop predictive distribution models for VME indicator taxa and habitats; (6) compile known or likely fishing impacts; (7) produce a predicted VME naturalness distribution (areas of low cumulative impacts); (8) identify areas of higher value to user groups; (9) conduct management strategy evaluations to produce trade-off scenarios; (10) review and re-iterate, until spatial management scenarios are developed that fulfil international obligations and regional conservation and management objectives. To date, regional progress has been piecemeal and incremental. The proposed 10-step framework combines these various experiences into a systematic approach.

Marine Science↗

A record of change - Science and elder observations on the Navajo Nation

A Record of Change - Science and Elder Observations on the Navajo Nation is a 25-minute documentary about combining observations from Navajo elders with conventional science to determine how tribal lands and culture are affected by climate change. On the Navajo Nation, there is a shortage of historical climate data, making it difficult to assess changing environmental conditions. This video reveals how a team of scientists, anthropologists, and translators combined the rich local knowledge of Navajo elders with recent scientific investigation to effectively document environmental change. Increasing aridity and declining snowfall in this poorly monitored region of the Southwest are accompanied by declining river flow and migrating sand dunes. The observations of Navajo elders verify and supplement this record of change by informing how shifting weather patterns are reflected in Navajo cultural practices and living conditions.

Navajo Nation↗

Hydrology and water quality in 15 watersheds in DeKalb County, Georgia, 2012–16

The U.S. Geological Survey, in cooperation with DeKalb County Department of Watershed Management, established a long-term water-quantity and water-quality monitoring program in 2012 to monitor and analyze the hydrologic and water-quality conditions of 15 watersheds in DeKalb County, Georgia—an urban and suburban area located in north-central Georgia that includes the easternmost part of the City of Atlanta. This report synthesizes the watershed characteristics and monitoring data collected for the first 5 years of the program, 2012 through 2016. The study area was predominantly medium-density residential (43.9 percent), commercial/industrial/institutional (21.4 percent), forest/park/agriculture (13.6 percent), and high-density residential (11.5 percent) land uses. Land-surface slope averaged 8.7 percent, imperviousness averaged 25.3 percent, and population density averaged 2,936 people per square mile. Watershed imperviousness ranged from 8.7 to 36.6 percent. In the study area for 2014 to 2016 (when streamflow data were available for all watersheds), runoff represented 40.9 percent of precipitation. Hydrograph separations indicated that 43 percent of runoff occurred as base flow, whereas the remainder occurred as stormflow. Higher watershed imperviousness was significantly related to higher amounts of runoff (Pearson product-moment correlation coefficient [ r ] = 0.517), higher runoff ratios ( r = 0.646), and lower amounts ( r = −0.637) and proportions ( r = −0.898) of base-flow runoff. Stormwater best management practices have been implemented in the study watersheds; however, these practices do not appear to fully mitigate the effects of urban development and land use on stream hydrology. Total copper, lead, and zinc concentrations in base-flow and stormflow samples exceeded the national recommended aquatic life criteria for chronic and acute conditions, respectively, to varying degrees. Escherichia coli density predictive regression models indicated that the U.S. Environmental Protection Agency’s Beach Action Value was exceeded at individual watersheds between 44.6 and 100 percent of the time. Exceedance of the Beach Action Value indicates possible unsafe conditions for primary contact recreation and could be used for timely notification of the potential health risks. Annual loads and yields were estimated for 15 constituents. Loads were typically higher for years with higher runoff while variations among watershed yields appear associated with watershed and land use characteristics. The lowest yields for almost all constituents occurred in the Stone Mountain Creek watershed—likely the result of the retention of sediment and reduction of nutrients in Stone Mountain Lake and two smaller downstream reservoirs within the watershed. The Little Stone Mountain Creek watershed also had some of the lowest yields for most constituents, likely due to the lack of many pollutant sources associated with its predominantly medium-density residential land use (95.5 percent), but had the highest total nitrate plus nitrite yields. The Intrenchment Creek watershed consistently had some of the highest yields across all constituents except for total nitrate plus nitrite. The high yields may be related to its high percentage of impervious area (36.0 percent) and high amount of heavily developed land use (high-density residential, 29.9 percent and commercial/industrial/institutional, 26.0 percent). Mean watershed constituent yields in this study were significantly higher than those from a similar analysis of 13 suburban to urban watersheds in adjacent Gwinnett County for 6 of the 10 constituents compared. This study provides a thorough assessment of watershed characteristics, hydrology, and water-quality conditions of the 15 study watersheds and can be used to identify possible factors that affect runoff and water quality. Watershed managers can use these data and analyses to inform management decisions regarding the designated uses of streams, minimization of flooding, protection of aquatic habitats, and optimization of the effectiveness of best management practices.

Georgia↗

A bootstrap estimation scheme for chemical compositional data with nondetects

The bootstrap method is commonly used to estimate the distribution of estimators and their associated uncertainty when explicit analytic expressions are not available or are difficult to obtain. It has been widely applied in environmental and geochemical studies, where the data generated often represent parts of whole, typically chemical concentrations. This kind of constrained data is generically called compositional data, and they require specialised statistical methods to properly account for their particular covariance structure. On the other hand, it is not unusual in practice that those data contain labels denoting nondetects, that is, concentrations falling below detection limits. Nondetects impede the implementation of the bootstrap and represent an additional source of uncertainty that must be taken into account. In this work, a bootstrap scheme is devised that handles nondetects by adding an imputation step within the resampling process and conveniently propagates their associated uncertainly. In doing so, it considers the constrained relationships between chemical concentrations originated from their compositional nature. Bootstrap estimates using a range of imputation methods, including new stochastic proposals, are compared across scenarios of increasing difficulty. They are formulated to meet compositional principles following the log-ratio approach, and an adjustment is introduced in the multivariate case to deal with nonclosed samples. Results suggest that nondetect bootstrap based on model-based imputation is generally preferable. A robust approach based on isometric log-ratio transformations appears to be particularly suited in this context. Computer routines in the R statistical programming language are provided.

Journal of Chemometrics↗

Exploring and mitigating plague for One Health purposes

Purpose of Review In 2020, the Appropriations Committee for the U.S. House of Representatives directed the CDC to develop a national One Health framework to combat zoonotic diseases, including sylvatic plague, which is caused by the flea-borne bacterium Yersinia pestis . This review builds upon that multisectoral objective. We aim to increase awareness of Y. pestis and to highlight examples of plague mitigation for One Health purposes (i.e., to achieve optimal health outcomes for people, animals, plants, and their shared environment). We draw primarily upon examples from the USA, but also discuss research from Madagascar and Uganda where relevant, as Y. pestis has emerged as a zoonotic threat in those foci. Recent Findings Historically, the bulk of plague research has been directed at the disease in humans. This is not surprising, given that Y. pestis is a scourge of human history. Nevertheless, the ecology of Y. pestis is inextricably linked to other mammals and fleas under natural conditions. Accumulating evidence demonstrates Y. pestis is an unrelenting threat to multiple ecosystems, where the bacterium is capable of significantly reducing native species abundance and diversity while altering competitive and trophic relationships, food web connections, and nutrient cycles. In doing so, Y. pestis transforms ecosystems, causing “shifting baselines syndrome” in humans, where there is a gradual shift in the accepted norms for the condition of the natural environment. Eradication of Y. pestis in nature is difficult to impossible, but effective mitigation is achievable; we discuss flea vector control and One Health implications in this context. Summary There is an acute need to rapidly expand research on Y. pestis , across multiple host and flea species and varied ecosystems of the Western US and abroad, for human and environmental health purposes. The fate of many wildlife species hangs in the balance, and the implications for humans are profound in some regions. Collaborative multisectoral research is needed to define the scope of the problem in each epidemiological context and to identify, refine, and implement appropriate and effective mitigation practices.

Current Tropical Medicine Reports↗

Mapping croplands of Europe, Middle East, Russia, and Central Asia using Landsat 30-m data, machine learning algorithms and Google Earth Engine

Accurate and timely information on croplands is important for environmental, food security, and policy studies. Spatially explicit cropland datasets are also required to derive information on crop type, crop yield, cropping intensity, as well as irrigated areas. Large area defined as continental to global cropland mapping is challenging due to differential manifestation of croplands, wide range of cultivation practices and limited reference data availability. This study presents the results of a cropland extent mapping of 64 Countriescovering large parts of Europe, Middle East, Russia and Central Asia. To cover such a vast area, roughly 160,000 Landsat scenes from 3,351 footprints between 2014 and 2016 were processed within the Google Earth Engine (GEE) cloud-platform. We used the pixel-based supervised Random Forest (RF) machine learning algorithm with a set of satellite data inputs capturing diverse spectral, temporal and topographical characteristics across twelve agroecological zones (AEZs). The reference data to train the classification model were collected from very high spatial resolution imagery (VHRI) and ancillary datasets. The result is a binary map showing cultivated/non-cultivated areas ca. 2015. The map produced an overall accuracy of 94 percent with roughly 14 percent omission and commission errors for the cropland class based on a large set of independent validation samples. The map suggests the entire study area has a total 546 million hectares (Mha) of croplands occupying 18 percent of the land area. Comparison between national cropland area estimates from United Nations Food and Agricultural Organizations (FAO) and those derived from this work also showed an R-square value of 0.95. For the entire Landsat-derived 30-m product the overall accuracy was 93.8% with cropland class providing producers accuracy of 86.5% (errors of omissions = 13.5%) and users accuracy of 85.7% (errors of commissions = 14.3%). This Landsat-derived 30-m cropland product (GFSAD30) provided 10-30% greater cropland areas compared to UN FAO in the 64 Countries. Finally, the map-to-map comparison between GFSAD30 with several other cropland products revealed that the best similarity matrix was with the 30m global land cover (GLC30) product providing an overall accuracy of 88.8 percent (Kappa 0.7) with producers cropland similarity of 89.2 percent (errors of omissions = 10.8%) and users cropland similarity of 81.8 percent (errors of commissions = 8.1%). GFSAD30 captured the missing croplands in GLC30 product around significantly irrigated agricultural areas in Germany and Belgium and rainfed agriculture in Italy. This study also established that the real strength of GFSAD30 product, compared to other products, were in: 1. Identifying precise location of croplands, and 2. Capturing fragmented croplands. The cropland extent map dataset is available through NASAs Land Processes Distributed Active Archive Center (LP DAAC) at https://doi.org/10.5067/MEaSUREs/GFSAD/GFSAD30EUCEARUMECE.001, while the training and reference data as well as visualization are available at the Global Croplands website.

ISPRS Journal of Photogrammetry and Remote Sensing↗

Genetic structure of muskellunge in the Great Lakes region and the effects of supplementation on genetic integrity of wild populations

Muskellunge ( Esox masquinongy ) are important apex predators that support numerous recreational fisheries throughout the Great Lakes region. Declines in muskellunge abundance from historical overharvest and environmental degradation have threatened the viability of many populations and prompted significant restoration efforts that often include stocking. The goal of our study was to investigate contemporary population structure and genetic diversity in 42 populations of muskellunge sampled across the Great Lakes region to inform future management and supplementation practices. We genotyped 1896 muskellunge ( N = 10–123/population) at 13 microsatellite loci. The greatest genetic variation was between populations of Great Lakes origin and populations of Northern (inland) origin, with both groups also exhibiting significant substructure (overall F ST = 0.23). Genetic structure was generally correlated with geography; however, we only found marginal evidence of isolation by distance, likely due to high genetic differentiation among proximate populations. Measures of genetic diversity were moderate across most populations, but some populations displayed low diversity consistent with small population sizes or historical bottlenecks. Many of the populations studied displayed evidence of historic introductions and supplemental stocking, including the presence of individuals with primarily non-native ancestry as well as interlineage hybrids. Our results suggest that the historic population structure of muskellunge is largely intact across the Great Lakes region, but also that stocking practices have altered this structure to some degree. We suggest that future supplementation practices use local sources where possible, and incorporate genetic tools including broodstock screening to ensure that non-native muskellunge are not used to supplement wild populations.

Great Lakes↗

Net Ecosystem Production (NEP) of the Great Plains, United States

Gross primary production (GPP) and ecosystem respiration (Re) are the fundamental environmental characteristics that promote carbon exchanges with the atmosphere (Chapin and others, 2009), although other exchanges of carbon, such as direct oxidation (Lovett and others, 2006), can modify net ecosystem production (NEP). The accumulation of carbon in terrestrial ecosystems results in systems in which soil organic matter (SOM) carbon often exceeds biomass carbon (Post and Kwon, 2000). This SOM pool exists at a steady state between GPP and Re in ecosystems unless drivers change or the ecosystem endures environmental perturbations (for example, climatic). As indicated by Wilhelm and others (2011), conversion of grasslands to agriculture and cultivation can result in reduced soil carbon, with the release of carbon dioxide (CO 2 ) to the atmosphere by stimulated oxidation and higher Re; therefore, land-use and land management practices have clear effects on NEP, with potential repercussions on ecosystems. The recent demand for biofuels has changed land-use and cropping patterns, especially in Midwestern United States (Wilhelm and others, 2011). It is important to ensure the sustainability of these and other land uses and to assess the effects on NEP. Flux tower networks, such as AmeriFlux and FLUXNET, consist of a growing number of eddy covariance flux tower sites that provide a synoptic record of the exchange of carbon, water, and energy between the ecosystem and atmosphere at various temporal frequencies. These towers also detect and measure certain site characteristics, such as wind, temperature, precipitation, humidity, atmospheric pressure, soil features, and phenological progressions. Efforts are continuous to combine flux tower network data with remote sensing data to upscale the conditions observed at specific sites to a regional and, ultimately, worldwide scale. Data-driven regression tree models have the ability to incorporate flux tower records and remote sensing data to quantify exchanges of carbon with the atmosphere (Wylie and others, 2007; Xiao and others, 2010; Zhang and others, 2010; Zhang and others, 2011). Previous study results demonstrated the dramatic effect weather has on NEP and revealed specific ecoregions and times acting as carbon sinks or sources. As of 2012, more than 100 site-years of flux tower measurements, represented by more than 50 individual cropland or grassland sites throughout the Great Plains and surrounding area, have been acquired, quality controlled, and partitioned into gross photosynthesis (Pg) and ecosystem Re using detailed light-response, soil temperature, and vapor pressure deficit (VPD) based analysis.

Great Plains↗

Assessment of conservation practices in the Fort Cobb Reservoir watershed, southwestern Oklahoma

The Fort Cobb Reservoir watershed encompasses about 813 square kilometers of rural farm land in Caddo, Custer, and Washita Counties in southwestern Oklahoma. The Fort Cobb Reservoir and six stream segments were identified on the Oklahoma 1998 303(d) list as not supporting designated beneficial uses because of impairment by nutrients, suspended solids, sedimentation, pesticides, and unknown toxicity. As a result, State and Federal agencies, in collaboration with conservation districts and landowners, started conservation efforts in 2001 to decrease erosion and transport of sediments and nutrients to the reservoir and improve water quality in tributaries. The U.S. Department of Agriculture selected the Fort Cobb Reservoir watershed in 2003 as 1 of 14 benchmark watersheds under the Conservation Effectiveness Assessment Project with the objective of quantifying the environmental benefits derived from agricultural conservation programs in reducing inflows of sediments and phosphorus to the reservoir. In November 2004, the Biologic, Geographic, Geologic, and Water Disciplines of the U.S. Geological Survey, in collaboration with the Agricultural Research Service, Grazinglands Research Laboratory in El Reno, Oklahoma, began an interdisciplinary investigation to produce an integrated publication to complement this program. This publication is a compilation of 10 report chapters describing land uses, soils, geology, climate, and water quality in streams and the reservoir through results of field and remote sensing investigations from 2004 to 2007. The investigations indicated that targeting best-management practices to small intermittent streams draining to the reservoir and to the Cobb Creek subwatershed may effectively augment efforts to improve eutrophic to hypereutrophic conditions that continue to affect the reservoir. The three major streams flowing into the reservoir contribute nutrients causing eutrophication, but minor streams draining cultivated fields near the reservoir appeared to be disproportionate contributors of nutrients. Increasing conservation practices on small streams may have a greater effect in mitigating eutrophication in the reservoir than additional installation of such measures on the larger creeks.

Oklahoma↗

Procedures and best practices for trigonometric leveling in the U.S. Geological Survey

With the advent of highly precise total stations and modern surveying instrumentation, trigonometric leveling has become a compelling alternative to conventional leveling methods for establishing vertical-control networks and for perpetuating a datum to field sites. Previous studies of trigonometric-leveling measurement uncertainty proclaim that first-, second-, and third-order accuracies may be achieved if strict leveling protocols are rigorously observed. Common field techniques to obtain quality results include averaging zenith angles and slope distances observed in direct and reverse instrument orientation (F1 and F2, respectively), multiple sets of reciprocal observations, quality meteorological observations to correct for the effects of atmospheric refraction, and electronic distance measurements that generally do not exceed 500 feet. In general, third-order specifications are required for differences between F1 and F2 zenith angles and slope distances; differences between redundant instrument-height measurements; section misclosure determined from reciprocal observations; and closure error for closed traverse. For F1 observations such as backsight check and check shots, the construction-grade specification is required for elevation differences between known and observed values. Recommended specifications for trigonometric-leveling equipment include a total station instrument with an angular uncertainty specification less than or equal to plus or minus 5 arc-seconds equipped with an integrated electronic distance measurement device with an uncertainty specification of less than or equal to plus or minus 3 millimeters plus 3 parts per million. A paired data collector or integrated microprocessor should have the capability to average multiple sets of measurements in direct and reverse instrument orientation. Redundant and independent measurements by the survey crew and automated or manual reduction of slant heights to the vertical equivalent are recommended to obtain quality instrument heights. Horizontal and vertical collimation tests should be conducted daily during trigonometric-leveling surveys, and electronic distance-measurement instruments should be tested annually on calibrated baselines maintained by the National Geodetic Survey. Specifications that were developed by the National Geodetic Survey for geodetic leveling have been adapted by the U.S. Geological Survey (USGS) for the purpose of developing standards for trigonometric leveling, which are identified as USGS Trigonometric Level I (TL I), USGS Trigonometric Level II (TL II), USGS Trigonometric Level III (TL III), and USGS Trigonometric Level IV (TL IV). TL I, TL II, and TL III surveys have a combination of first, second, and third geodetic leveling specifications that have been modified for plane leveling. The TL III category also has specifications that are adapted from construction-grade standards, which are not recognized by the National Geodetic Survey for geodetic leveling. A TL IV survey represents a leveling approach that does not generally meet criteria of a TL I, TL II, or TL III survey. Site conditions, such as highly variable topography, and the need for cost-effective, rapid, and accurate data collection in response to coastal or inland flooding have emphasized the need for an alternative approach to conventional leveling methods. Trigonometric leveling and the quality-assurance methods described in this manual will accommodate most site and environmental conditions, but measurement uncertainty is potentially variable and dependent on the survey method. Two types of closed traverse surveys have been identified as reliable methods to establish and perpetuate vertical control: the single-run loop traverse and double-run spur traverse. Leveling measurements for a double-run spur traverse are made in the forward direction from the origin to the destination and are then retraced along the same leveling route in the backward direction, from the destination to the origin. Every control point in a double-run spur traverse is occupied twice. Leveling measurements for a single-run loop traverse are made in the forward direction from the origin point to the destination, and then from the destination to the origin point, along a different leveling route. The only point that is redundantly occupied for the single-run loop traverse is the origin. An open traverse method is also considered an acceptable approach to establish and perpetuate vertical control if the foresight prism height is changed between measurement sets to ensure at least two independent observations. A modified version of leap-frog leveling is recommended for all traverse surveys because it reduces measurement uncertainty by forcing the surveying instrumentation into a level and centered condition over the ground point as the instrumentation is advanced to the objective. Sideshots are considered any radial measurement made from the total station that is not part of a traverse survey. F1 and F2 observations are recommended for sideshots measurements for projects that require precise elevations. Quality-assurance measurements made in F1 from the station to network-control points should be considered for surveys that require a high quantity of sideshots. The accuracy of a trigonometric-leveling survey essentially depends on four components (1) the skill and experience of the surveyor, (2) the environmental or site conditions, (3) the surveying method, and (4) the quality of the surveying instrumentation. Although components one and two can sometimes be difficult to evaluate and be highly variable, the objective of this manual is to disseminate information needed to identify, maintain, and operate quality land-surveying instrumentation, and to document procedures and best practices for preparing and executing precision trigonometric-leveling surveys in the USGS.

Techniques and Methods↗

Complex hydrology and variability of nitrogen sources in a karst watershed

Streams draining karst areas with rapid groundwater transit times may respond relatively quickly to nitrogen reduction strategies, but the complex hydrologic network of interconnected sinkholes and springs is challenging for determining the placement and effectiveness of management practices. This study aims to inform nitrogen reduction strategies in a representative agricultural karst setting of the Chesapeake Bay watershed (Fishing Creek watershed, Pennsylvania) with known elevated nitrate contamination and a previous documented groundwater residence time of less than a decade. During baseflow conditions, streamflow did not increase with drainage area. Headwaters and the main stem lost substantial flow to sinkholes until eventually discharging along large springs downstream. Seasonal hydrologic conditions shift the flow and nitrogen load spatially among losing and gaining stream sections. A compilation of nitrogen source inputs with the geochemistry and the pattern of enrichment of δ 15 N and δ 18 O suggest that the nitrogen in streams and springs during baseflow represents a mixture of manure, fertilizer, and wastewater sources with low potential for denitrification. The pH and calcite saturation index increased along generalized flow paths from headwaters to springs and indicate shorter groundwater residence times in baseflow during the spring versus summer. Given the substantial investment in management practices, fixed monitoring sites could incorporate synoptic water sampling to properly monitor long-term progress and help inform management actions in karst watersheds. Although karst watersheds have the potential to respond to nitrogen reduction strategies due to shorter groundwater residence times, high nitrogen inputs, effectiveness of conservation practices, and release of legacy nutrients within the karst cavities could confound progress of water quality goals.

Pennsylvania↗

Landscape analysis: Theoretical considerations and practical needs

Numerous systems of land classification have been proposed. Most have led directly to or have been driven by an author's philosophy of earth-forming processes. However, the practical need of classifying land for planning and management purposes requires that a system lead to predictions of the results of management activities. We propose a landscape classification system composed of 11 units, from realm (a continental mass) to feature (a splash impression). The classification concerns physical aspects rather than economic or social factors; and aims to merge land inventory with dynamic processes. Landscape units are organized using a hierarchical system so that information may be assembled and communicated at different levels of scale and abstraction. Our classification uses a geomorphic systems approach that emphasizes the geologic-geomorphic attributes of the units. Realm, major division, province, and section are formulated by subdividing large units into smaller ones. For the larger units we have followed Fenneman's delineations, which are well established in the North American literature. Areas and districts are aggregated into regions and regions into sections. Units smaller than areas have, in practice, been subdivided into zones and smaller units if required. We developed the theoretical framework embodied in this classification from practical applications aimed at land use planning and land management in Maryland (eastern Piedmont Province near Baltimore) and Utah (eastern Uinta Mountains). ?? 1991 Springer-Verlag New York Inc.

Environmental Geology and Water Sciences↗

Modeling risk dynamics of contaminants of emerging concern in a temperate-region wastewater effluent-dominated stream

Wastewater effluent-dominated streams are becoming increasingly common worldwide, including in temperate regions, with potential impacts on ecological systems and drinking water sources. We recently quantified the occurrence/spatiotemporal dynamics of pharmaceutical mixtures in a representative temperate-region wastewater effluent-dominated stream (Muddy Creek, Iowa) under baseflow conditions and characterized relevant fate processes. Herein, we quantified the ecological risk quotients (RQs) of 19 effluent-derived contaminants of emerging concern (CECs; including: 14 pharmaceuticals, 2 industrial chemicals, and 3 neonicotinoid insecticides) and 1 run-off-derived compound (atrazine) in the stream under baseflow conditions, and estimated the probabilistic risks of effluent-derived CECs under all-flow conditions ( i.e. , including runoff events) using stochastic risk modeling. We determined that 11 out of 20 CECs pose medium-to-high risks to local ecological systems ( i.e. , algae, invertebrates, fish) based on literature-derived acute effects under measured baseflow conditions. Stochastic risk modeling indicated decreased, but still problematic, risk of effluent-derived CECs ( i.e. , RQ ≥ 0.1) under all-flow conditions when runoff events were included. Dilution of effluent-derived chemicals from storm flows thus only minimally decreased risk to aquatic biota in the effluent-dominated stream. We also modeled in-stream transport. Thirteen out of 14 pharmaceuticals persisted along the stream reach (median attenuation rate constant k < 0.1 h −1 ) and entered the Iowa River at elevated concentrations. Predicted and measured concentrations in the drinking water treatment plant were below the human health benchmarks. This study demonstrates the application of probabilistic risk assessments for effluent-derived CECs in a representative effluent-dominated stream under variable flow conditions (when measurements are less practical) and provides an enhanced prediction tool transferable to other effluent-dominated systems.

Iowa↗