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At least 505 records · Page 28Linked to original sources

Flood-inundation maps for the St. Joseph River at Elkhart, Indiana

Digital flood-inundation maps for a 6.6-mile reach of the St. Joseph River at Elkhart, Indiana, were created by the U.S. Geological Survey (USGS) in cooperation with the Indiana Office of Community and Rural Affairs. The flood-inundation maps, which can be accessed through the USGS Flood Inundation Mapping Science Web site at https://water.usgs.gov/osw/flood_inundation/ , depict estimates of the areal extent and depth of flooding corresponding to selected water levels (stages) at the USGS streamgage 04101000, St. Joseph River at Elkhart, Ind. Real-time stages at this streamgage may be obtained on the Internet from the USGS National Water Information System at https://waterdata.usgs.gov/nwis or the National Weather Service (NWS) Advanced Hydrologic Prediction Service at http:/water.weather.gov/ahps/ , which also forecasts flood hydrographs at this site (NWS site EKMI3). Flood profiles were computed for the stream reach by means of a one-dimensional, step-backwater hydraulic modeling software developed by the U.S. Army Corps of Engineers. The hydraulic model was calibrated using the current stage-discharge rating at the USGS streamgage 04101000, St. Joseph River at Elkhart, Ind., and the documented high-water marks from the flood of March 1982. The hydraulic model was then used to compute six water-surface profiles for flood stages at 1-foot (ft) intervals referenced to the streamgage datum ranging from 23.0 ft (the NWS “action stage”) to 28.0 ft, which is the highest stage interval of the current USGS stage-discharge rating curve and 1 ft higher than the NWS “major flood stage.” The simulated water-surface profiles were then combined with a Geographic Information System digital elevation model (derived from light detection and ranging [lidar] data having a 0.49-ft root mean squared error and 4.9-ft horizontal resolution, resampled to a 10-ft grid) to delineate the area flooded at each stage. The availability of these maps, along with Internet information regarding current stage from the USGS streamgage and forecasted high-flow stages from the NWS, will provide emergency management personnel and residents with information that is critical for flood response activities such as evacuations and road closures, as well as for post-flood recovery efforts.

Indiana↗

Sample-size considerations for a study of shorebird nest survival in the 1002 Area, Arctic National Wildlife Refuge, Alaska

Authorization of lease sales for oil development in the 1002 Area of the Arctic National Wildlife Refuge has highlighted gaps in information about biological communities in the area. The U.S. Fish and Wildlife Service, which is planning a study to evaluate spatial variation in the nest survival of tundra-breeding shorebirds to identify hotspots with high nest survival, sought advice from the U.S. Geological Survey on how to predict which sampling designs might be successful in achieving the study goals. I used previously obtained data on nest survival from Alaska’s North Slope to develop a simulation study that explored the statistical consequences of various sampling designs in the context of expected ranges of values of biological parameters. Of all sampling parameters, the number of nests per plot had the strongest influence on the ability to detect hotspots, followed by number of years of monitoring and the age at which nests were found. The benefit of sampling 98 plots instead of 68 was relatively small. Ages of nests cannot be predicted a priori, so I developed a field reference chart to identify when further nest-searching would be useful for a given plot. This simulation study used the best available information, but values of biological parameters will become better defined following subsequent data collection in the 1002 Area. Data from upcoming field seasons could be used to refine this analysis and improve estimation of the expected results of the field study, thus maximizing the likelihood that data from the 1002 Area nest survival study will meet the monitoring goals.

Alaska↗

Connecting onshore and offshore near-surface geology: Delaware's sand inventory project

Beginning in 1988, the Delaware Geological Survey began a program to inventory on-land sand resources suitable for beach nourishment. The inventory included an assessment of the native beach textures using existing data and developing parameters of what would be considered suitable sand textures for Delaware's Atlantic beaches. An assessment of the economics of on-land sand resources was also conducted, and it was determined that the cost of the sand was competitive with offshore dredging costs. In addition, the sand resources were put into a geologic context for purposes of predicting which depositional environments and lithostratigraphic units were most likely to produce suitable sand resources. The results of the work identified several suitable on-land sand resource areas in the Omar and Beaverdam formations that were deposited in barrier-tidal delta and fluvial-estuarine environments, respectively. The identified on-land resources areas have not been utilized due to difficulties of truck transport and development pressures in the resource areas. The Delaware Geological Survey's participation in years 8, 9, and 10 of the Continental Margins Program was developed to extend the known resource areas onshore to offshore Delaware in order to determine potential offshore sand resources for beach nourishment. Years 8 and 9 involved primarily the collection of all available data on the offshore geology. These data included all seismic lines, surface grab samples, and cores. The data were filtered for those that had reliable locations and geologic information that could be used for geologic investigations. Year 10 completed the investigations onshore by construction of a geologic cross-section from data along the coast of Delaware from Cape Henlopen to Fenwick. This cross section identified the geologic units and potential sand resource bodies as found immediately along the coast. These units and resources are currently being extended offshore and tied to known and potential sand resources as part of the continuing cooperative effort between the Delaware Geological Survey and the Minerals Management Service's INTERMAR office as sand resources are identified in federal waters off Delaware. Offshore sand resources are found in the Pliocene Beaverdam Formation offshore where overlying Quaternary units have been stripped, in the tidal delta complexes of several Quaternary units likely equivalent to the onshore Omar Formation, and in late Pleistocene- and Holocene-age shoal complexes. Onshore lithostratigraphic units can be traced offshore and show another reason for continued geologic mapping both onshore and offshore.The Delaware Geological Survey's participation in years 8, 9, and 10 of the Continental Margins Program was developed to extend the known resource areas onshore to offshore Delaware in order to determine potential offshore sand resources for beach nourishment. Years 8 and 9 involved primarily the collection of all available data on the offshore geology. These data included all seismic lines, surface grab samples, and cores. The data were filtered for those that had reliable locations and geologic information that could be used for geologic investigations. Year 10 completed the investigations onshore by construction of a geologic cross-section from data along the coast of Delaware from cape Henlopen to Fenwick.

Marine Georesources and Geotechnology↗

Flood-inundation maps for the Meramec River at Valley Park and at Fenton, Missouri, 2017

Two sets of digital flood-inundation map libraries that spanned a combined 16.7-mile reach of the Meramec River that extends upstream from Valley Park, Missouri, to downstream from Fenton, Mo., were created by the U.S. Geological Survey (USGS) in cooperation with the U.S. Army Corps of Engineers, St. Louis Metropolitan Sewer District, Missouri Department of Transportation, Missouri American Water, and Federal Emergency Management Agency Region 7. The flood-inundation maps, which can be accessed through the USGS Flood Inundation Mapping Science website at https://water.usgs.gov/osw/flood_inundation/ , depict estimates of the areal extent and depth of flooding corresponding to selected water levels (stages) at the cooperative USGS streamgages on the Meramec River at Valley Park, Mo., (USGS station number 07019130) and the Meramec River at Fenton, Mo. (USGS station number 07019210). Near-real-time stage data at these streamgages may be obtained from the USGS National Water Information System at https://waterdata.usgs.gov/nwis or the National Weather Service (NWS) Advanced Hydrologic Prediction Service at http:/water.weather.gov/ahps/ , which also forecasts flood hydrographs at these sites (listed as NWS sites vllm7 and fnnm7, respectively). Flood profiles were computed for the stream reaches by means of a calibrated one-dimensional step-backwater hydraulic model. The model was calibrated using a stage-discharge relation at the Meramec River near Eureka streamgage (USGS station number 07019000) and documented high-water marks from the flood of December 2015 through January 2016. The calibrated hydraulic model was used to compute two sets of water-surface profiles: one set for the streamgage at Valley Park, Mo. (USGS station number 07019130), and one set for the USGS streamgage on the Meramec River at Fenton, Mo. (USGS station number 07019210). The water-surface profiles were produced for stages at 1-foot (ft) intervals referenced to the datum from each streamgage and ranging from the NWS action stage, or near bankfull discharge, to the stage corresponding to the estimated 0.2-percent annual exceedance probability (500-year recurrence interval) flood, as determined at the Eureka streamgage (USGS station number 07019000). The simulated water-surface profiles were then combined with a geographic information system digital elevation model (derived from light detection and ranging data having a 0.28-ft vertical accuracy and 3.28-ft horizontal resolution) to delineate the area flooded at each flood stage (water level). The availability of these maps, along with internet information regarding current stage from the USGS streamgages and forecasted high-flow stages from the NWS, will provide emergency management personnel and residents with information that is critical for flood response activities such as evacuations and road closures and for postflood recovery efforts.

Missouri↗

The value of reducing uncertainties to support the management of a high‐elevation endemic salamander

Many salamander populations are declining, and methods to determine how best to allocate limited resources to slow or reverse these declines could support land managers in their decision‐making processes. Multiple types of uncertainty may delay management decisions, including when (1) knowledge of a species' ecology is incomplete, (2) climate change effects on environmental covariates are uncertain, and (3) the efficacy of management alternatives is unknown. For management decisions, a value‐of‐information analysis can identify which uncertainties are critical to reduce in order to identify an optimal strategy from a set of possible management actions. If the same management action is optimal across the full range of uncertainties, then resources for research can be redirected toward active management. Using value‐of‐information analyses, we examine the effect of uncertainty on identifying optimal management to maximize the future expected occupancy of Plethodon shenandoah , a Federally Endangered high‐elevation endemic salamander that is threatened by climate change. Out of 11 management actions proposed by National Park Service managers, those that increase environmental moisture are expected to maximize occupancy, and we find that the selection of this action is robust to all the identified uncertainties. We show that, even in systems with multiple sources of large uncertainty, value of information analyses discriminate among investments in species management.

Ecosphere↗

Use of wildlife webcams - Literature review and annotated bibliography

The U.S. Fish and Wildlife Service National Conservation Training Center requested a literature review product that would serve as a resource to natural resource professionals interested in using webcams to connect people with nature. The literature review focused on the effects on the public of viewing wildlife through webcams and on information regarding installation and use of webcams. We searched the peer reviewed, published literature for three topics: wildlife cameras, virtual tourism, and technological nature. Very few publications directly addressed the effect of viewing wildlife webcams. The review of information on installation and use of cameras yielded information about many aspects of the use of remote photography, but not much specifically regarding webcams. Aspects of wildlife camera use covered in the literature review include: camera options, image retrieval, system maintenance and monitoring, time to assemble, power source, light source, camera mount, frequency of image recording, consequences for animals, and equipment security. Webcam technology is relatively new and more publication regarding the use of the technology is needed. Future research should specifically study the effect that viewing wildlife through webcams has on the viewers' conservation attitudes, behaviors, and sense of connectedness to nature.

Open-File Report↗

Assessment of hydrogeologic terrains, well-construction characteristics, groundwater hydraulics, and water-quality and microbial data for determination of surface-water-influenced groundwater supplies in West Virginia

In January 2014, a storage tank leaked, spilling a large quantity of 4-methylcyclohexane methanol into the Elk River in West Virginia and contaminating the water supply for more than 300,000 people. In response, the West Virginia Legislature passed Senate Bill 373, which requires the West Virginia Department of Health and Human Resources (WVDHHR) to assess the susceptibility and vulnerability of public surface-water-influenced groundwater supply sources (SWIGS) and surface-water intakes statewide. In response to this mandate for reassessing SWIGS statewide, the U.S. Geological Survey (USGS), in cooperation with the WVDHHR, Bureau of Public Health, Office of Environmental Health Services, compiled available data and summarized the results of previous groundwater studies to provide the WVDHHR with data that could be used as part of the process for assessing and determining SWIGS. Existing geologic, hydrologic, well-construction, water-quality, and other related data and information from previous U.S. Geological Survey (USGS) hydrogeologic studies and the USGS National Water Information System (NWIS) database, in conjunction with data from the West Virginia Bureau for Public Health (WVBPH) Department of Health and Human Resources (WVDHHR) and the West Virginia Department of Environmental Protection database and files, were collected, compiled, and analyzed to help the WVDHHR to better assess public groundwater supply wells that may meet the definition of a surface-water-influenced- groundwater supply (SWIGS). In this study, measures of intrinsic susceptibility, which are characterized by the physical properties that affect the ease with which water moves through the unsaturated zone and, subsequently, into the saturated zone within an aquifer, showed that karst limestone aquifers are the aquifers most intrinsically susceptible to contamination within the State of West Virginia. Karst limestone aquifers are present within Cambrian- and Ordovician-age formations within West Virginia’s eastern panhandle and in Mississippian-age limestones within the Greenbrier River valley. Solution development within these limestone aquifers allows rapid recharge and flow of groundwater within the aquifer, both of which allow surface contaminants to easily enter the aquifer and travel long distances in a short period of time. Alluvial aquifers bordering the Ohio River in western West Virginia are also potentially highly susceptible to contamination because these alluvial aquifers can receive significant recharge from the adjacent Ohio River. Any potential contaminants that may be present in the river have the potential to enter the aquifer and contaminate wells completed within the sand and gravel alluvial sediments within which the wells are completed. These same alluvial sediments, however, help to retard the movement of bacteria and other potentially pathogenic organisms, such as Cryptosporidia and Giardia lamblia , into the aquifer. As a result, samples from alluvial aquifers bordering the Ohio River and elsewhere within the State do not commonly test positive for indicator bacteria, such as total coliform, fecal coliform, or Escherichia coli ( E. coli ). The alluvial sediments do not, however, provide assimilative capacity with respect to water soluble compounds such as nitrate and certain volatile and semi-volatile organic compounds. Therefore, the Ohio River alluvial aquifers are highly susceptible to organic compounds present in the river or on the land surface near a well. These aquifers are also susceptible to nitrate contamination from fertilizers, pesticides, and manure, which are commonly used on the fertile agricultural soils present on terraces along the Ohio River. Abandoned-coal-mine aquifers, which are typically used as a source of groundwater in southern West Virginia, are moderately susceptible to contamination. The vast network of voids from mine entries provide vast storage for groundwater in abandoned mine aquifers, and fracturing of overburden strata, which is common in areas of past or current mining, can allow rapid infiltration of contaminants to the aquifer. Where streams cross over below-drainage underground coal mines, there is an increased potential for contamination of coal-mine aquifers. As a result, above-drainage underground coal mines, those mines that are present at an elevation above local tributary drainage, are probably less susceptible to contamination than are below-drainage underground coal mines. Public groundwater supplies in abandoned coal mines need to be evaluated on a case-by-case basis to assess the potential for recharge of contaminated surface water to enter below-drainage underground coal-mine aquifers and to assess potential hydraulic conductivity to nearby surface-water bodies, such as lakes, ponds, rivers, or streams. Fractured-rock aquifers compose an additional major type of aquifer within the State of West Virginia. Owing to their low permeability and their typically small groundwater capture areas, fractured-rock aquifers within the State of West Virginia typically have low susceptibility to contamination. However, there are exceptions, and wells completed in fractured-rock aquifers that are in close proximity to streams may be adversely affected by induced recharge from the stream. Where such systems are present, frequent bacterial testing of the source water can be used to ascertain the potential for microbial contamination of the aquifer. Intrinsic susceptibility alone does not fully predict whether or not a well is vulnerable to contamination, only that the hydrogeologic terrain is suitable for rapid transport of pathogenic organisms or chemical compounds to and within the aquifer. However, contaminants may or may not be present in the recharge water to an individual well or well field. Therefore, an assessment of potential contaminant sources, such as nearby gas wells, landfills, underground storage tanks, above ground storage tanks, major transportation corridors, surface or underground coal mines, and flood plains, is needed to assess vulnerability. The assessments need to be conducted on a case-by-case basis or, as has been done in this study, by collecting and compiling the number of potential contaminant sources that may be present in the source-water-protection area for an individual public groundwater supply source. Groundwater public-supply systems in areas of high intrinsic susceptibility and with a large number of potential contaminant sources within the recharge or source-water-protection area of individual wells or well fields are potentially vulnerable to contamination and probably warrant further evaluation as potential SWIGS. However, measures can be taken to educate the local population and initiate safety protocols and protective strategies to appropriately manage contaminant sources to prevent release of contaminants to the aquifer, therefore, reducing vulnerability of these systems to contamination. However, each public groundwater supply source needs to be assessed on an individual basis. Data presented in this report can be used to categorize and prioritize wells and springs that have a high potential for intrinsic susceptibility or vulnerability to contamination.

West Virginia↗

Special topic—Eruption plumes and clouds

Introduction Explosive eruptions create plumes of volcanic ash and gas that can rise more than 30,000 feet (9.1 kilometers [km]) above sea level within minutes of eruption onset. The resulting clouds disperse under prevailing winds and may cause hazardous conditions hundreds to thousands of kilometers from the volcano, including in international airspace. Rapid detection and characterization of explosive activity is vital to mitigate the wide-ranging effects of volcanic ash. Ashfall thicknesses as small as a millimeter or so on the ground can affect infrastructure, agriculture, and air quality, requiring extensive clean-up procedures (Schuster, 1981; Warrick and others, 1981, U.S. Geological Survey, 2022). Volcanic clouds also pose substantial threats to aircraft. Since 1953, 88 encounters between airplanes and ash clouds have been documented worldwide (International Civil Aviation Organization, 2015, appendix F), resulting in aircraft damage and, in 9 cases, engine failure (Guffanti and others, 2010). In 1982, two large passenger planes suffered complete engine failure owing to eruptions in Indonesia (Global Volcanism Program, 1982) and a similar incident occurred over Alaska in 1989 (Casadevall, 1994). In all three cases, they were able to restart some engine capability and land safely once they emerged from the ash clouds, although with substantial damage (Guffanti and others, 2010). The clear threat to aviation has led to establishment of nine Volcanic Ash Advisory Centers (VAAC) around the world to monitor and rapidly disseminate information about volcanic eruptions to the aviation community. U.S. Geological Survey (USGS) volcano observatories issue the Volcano Observatory Notice for Aviation that informs of preeruptive unrest or eruptive activity. When ash-producing eruptions do occur, volcano observatories work closely with their regional VAAC to ensure consistency and accuracy in eruption onset time, cloud altitude, ash production, and duration as reported in Volcanic Ash Advisories. Explosive volcanism in the United States and Commonwealth of the Northern Mariana Islands prompts 50–100 such advisories in any given year (table J1). This collaborative effort is greatly aided by USGS detection and monitoring of eruption clouds to ensure a timely and coordinated response. To support these efforts to provide guidance on ash transport and fallout, the USGS developed the Ash3d volcanic ash dispersion model ( https://vsc-ash.wr.usgs.gov/ash3d-gui ) (Schwaiger and others, 2012). Automated simulations are run daily by the USGS for volcanoes that are in elevated states of unrest, and in response mode when eruptions occur. During eruptions, the model output is provided to local National Weather Service Weather Forecast Offices to guide them in the issuance of their information products (such as special weather statements, ashfall advisories, or ashfall warnings), as well as to State and local governments and the public. Characterization of the eruption source is needed to estimate the parameters used to initialize the Ash3d model, and by the Anchorage and Washington VAACs to initialize other dispersion models that inform forecasts for the airborne volcanic cloud. The source parameters that can be provided by observation during an eruption include eruption start time, eruption cloud height over time, and eruption duration. Other, nonobservable source parameters, such as mass eruption rate and grain-size distribution, are based on empirical correlations and study of historical deposits. The goal is to provide a time series of cloud heights, mass eruption rates, and particle-size distributions that accurately reflects current conditions. When feasible, the USGS also provides guidance on the nature of ongoing eruptions and forecasts future activity using petrologic monitoring of collected tephra samples. The aims of providing accurate observable parameters are achieved through analysis of (1) near-real-time meteorological satellite data, (2) ground-based cameras (see of Flinders, A.F., Lowenstern, J.B., Coombs, M.L., and Poland, M.P., eds., Recommended capabilities and instrumentation for volcano monitoring in the United States: U.S. Geological Survey Scientific Investigations Report 2024–5062–G, 11 p., https://doi.org/10.3133/sir20245062g.">chapter G , this volume; Orr and others, 2024), (3) weather radar, (4) volcanic lightning detection, and (5) ground-based ash sensors and sampling. Explosive eruptions can be detected by a variety of geophysical monitoring, including infrasound (see of Flinders, A.F., Lowenstern, J.B., Coombs, M.L., and Poland, M.P., eds., Recommended capabilities and instrumentation for volcano monitoring in the United States: U.S. Geological Survey Scientific Investigations Report 2024–5062–C, 11 p., https://doi.org/10.3133/sir20245062c.">chapter C , this volume; Lyons and others, 2024) and seismicity (see of Flinders, A.F., Lowenstern, J.B., Coombs, M.L., and Poland, M.P., eds., Recommended capabilities and instrumentation for volcano monitoring in the United States: U.S. Geological Survey Scientific Investigations Report 2024–5062–B, 9 p., https://doi.org/10.3133/sir20245062b.">chapter B , this volume; Thelen and others, 2024). However, those methods cannot quantify the altitude, ash content, and dispersal dynamics of resulting volcanic clouds. Ideally, all available sources of monitoring data are synthesized to develop a coherent understanding of eruptive activity. The guidance summarized here provides a framework for characterizing volcanic clouds in the atmosphere and tracking the evolution of explosive eruption dynamics.

Scientific Investigations Report↗

Informing future condition scenario planning for habitat specialists of the imperiled pine rockland ecosystem of South Florida

This project evaluated habitat conditions for two species found in the imperiled pine rockland ecosystem—the Rim Rock Crowned Snake ( Tantilla oolitica ) and the Key Ring-Necked Snake ( Diadophis punctatus acricus ). The Rim Rock Crowned Snake historically occurred in eastern Miami-Dade County (hereafter, mainland) as well as throughout the Florida Keys, whereas the Key Ring-Necked Snake occurs only in lower Florida Keys (Enge et al. 2004; Mays and Enge 2016). Both species are very elusive, small (< 20 cm in length) and primarily fossorial. Pine rockland habitat is rapidly disappearing in South Florida, with < 3 percent of its original extent remaining. Saltwater intrusion from hurricanes and sea-level rise (SLR), and human development pose the greatest threats to the longevity of this ecosystem which, in turn, places species that are endemic to this unique habitat at risk of extinction. The Rim Rock Crowned Snake and the Key Ringed-Necked Snake are being considered for listing by the U.S. Fish and Wildlife Service (USFWS). To aid the agency’s decision, it must be able to forecast species’ responses to potential future environmental conditions, as well as to different conservation and management actions. Yet, the information needed to complete these forecasts—such as population trends, life history traits, habitat use, and future land use and climate conditions—is often lacking for most rare species. This is especially problematic for assessments of species resiliency to changes in climate and land use. When these types of data are lacking, information on habitat quality can be used to help determine how a species will respond to change. First, this project gathered current and historical records for both species from various sources such as museum specimens, inventories, and other personal account. Then, we identified potential future changes in habitat that could result from different management actions, such as habitat acquisition or restoration, and environmental conditions, such as changes in the frequency and intensity of tropical storms and rates of SLR. Researchers then explored the potential impacts of these habitat condition changes on the Rim Rock Crowned Snake and Key Ring-Necked Snake. This information can be used by the USFWS to help make decisions about the need to protect these species under the Endangered Species Act and could inform the conservation, management, and recovery of other at-risk species found in the pine rockland ecosystem. This work supports the Secretary of Interior’s priority to create a conservation stewardship legacy by using science to identify best practices to manage land and water resource and adapt to changes in the environment.

Florida↗

Habitat Suitability Index Models: Black brant

A review and synthesis of existing information were used to develop a habitat suitability index model for wintering habitat of the black brant (Branta bernicla nigracans). The model consolidates habitat use information into a framework appropriate for field application and is scaled to produce an index value between 0.0 (unsuitable habitat) to 1.0 (optimum habitat). Habitat suitability index (HSI) models are designed to be used with Habitat Evaluation Procedures previously developed by the U.S. Fish and Wildlife Service.

FWS/OBS↗

LANDFIRE 2010 - updated data to support wildfire and ecological management

Wildfire is a global phenomenon that affects human populations and ecosystems. Wildfire effects occur at local to global scales impacting many people in different ways (Figure 1). Ecological concerns due to land use, fragmentation, and climate change impact natural resource use, allocation, and conservation. Access to consistent and current environmental data is a constant challenge, yet necessary for understanding the complexities of wildfire and ecological management. Data products and tools from the LANDFIRE Program help decision-makers to clarify problems and identify possible solutions when managing fires and natural resources. LANDFIRE supports the reduction of risk from wildfire to human lives and property, monitoring of fire danger, prediction of fire behavior on active incidents, and assessment of fire severity and impacts on natural systems [1] [2] [3]. LANDFIRE products are unique in that they are nationally consistent and provide the only complete geospatial dataset describing vegetation and wildland fuel information for the entire U.S. As such, LANDFIRE data are useful for many ecological applications [3]. For example, LANDFIRE data were recently integrated into a decision-support system for resource management and conservation decision-making along the Appalachian Trail. LANDFIRE is a joint effort between the U.S. Department of the Interior Office of Wildland Fire, U.S. Department of Agriculture Forest Service Fire & Aviation Management, and The Nature Conservancy. To date, seven versions of LANDFIRE data have been released, with each successive version improving the quality of the data, adding additional features, and/or updating the time period represented by the data. The latest version, LANDFIRE 2010 (LF 2010), released mid-2013, represents circa 2010 landscape conditions and succeeds LANDFIRE 2008 (LF 2008), which represented circa 2008 landscape conditions. LF 2010 used many of the same processes developed for the LF 2008 effort [3]. Ongoing refinement of the LANDFIRE vegetation and fuel data is necessary to improve the quality and usability of the data and to capture landscape disturbance. LANDFIRE relies on Landsat multi-spectral imagery to produce and update vegetation and fuel data. The deep Landsat archive provides data needed for vegetation classification, change analysis, and historical disturbance characterization, for which LANDFIRE has used more than 24,000 image scenes since the program’s inception. In addition, LF 2010 used airborne and spaceborne lidar, and spaceborne synthetic aperture radar (SAR) to map vegetation structure in areas where ground-based field information was lacking, including Alaska and U.S.-affiliated islands in the Caribbean and the Pacific. The mapping of insular areas is new for the 2010 data release; previous versions of LANDFIRE were limited to the conterminous U.S., Alaska, and Hawaii.

Earthzine↗

Genetically-informed seed transfer zones for Pleuraphis jamesii, Sphaeralcea parvifolia, and Sporobolus cryptandrus across the Colorado Plateau and adjacent regions

(Massatti) Introduction: The majority of native plant materials (NPMs) utilized for restoration purposes are developed for widely distributed species that provide a variety of ecosystem services (Wood et al. 2015; Butterfield et al. 2017). Disturbed ecosystems benefit from the use of appropriate NPMs, which are those that display ecological fitness at the restoration site, are compatible with conspecifics and other members of the plant community, and that do not demonstrate invasive tendencies (Jones 2013). Furthermore, the use of appropriate NPMs can help address specific environmental challenges, rejuvenate ecosystem function, and improve the delivery of ecosystem services (Hughes 2008). While many NPMs have been developed for restoration (e.g., Aubry et al. 2005), there is interest in broadening the diversity of species available and the geographic representation of sources to provide appropriate choices in relation to the characteristics of any restoration site. In addition, researchers are providing guidance to managers and practitioners regarding how best to transfer NPMs across the landscape. For example, guidance on seed transfer has been derived from genecological studies, which utilize common gardens to correlate phenotypic variation to environmental gradients (summarized in Kilkenny 2015), molecular studies, which identify putative adaptive genetic loci and infer environmental drivers of variation (Shryock et al. 2017), and climate modeling studies, which can provide guidance when species-specific data are unavailable (Bower et al. 2014; Doherty et al. 2017). All of these approaches intend to improve the long-term viability of NPMs at restoration sites, thereby improving outcomes and stretching limiting restoration resources (e.g., time and money).

Colorado Plateau↗

Characterization of sediment and measurement of groundwater levels and temperatures, Camas National Wildlife Refuge, eastern Idaho

The Camas National Wildlife Refuge (Refuge) in eastern Idaho, established in 1937, contains wetlands, ponds, and wet meadows that are essential resting and feeding habitat for migratory birds and nesting habitat for waterfowl. Initially, natural sources of water supported these habitats. However, during the past few decades, climate change and changes in surrounding land use have altered and reduced natural groundwater and surface water inflows such that the wetlands, ponds, and wet meadows are now maintained through water management and groundwater pumping. These water management activities have proven to be inefficient and costly, prompting the Refuge to develop alternative water management options that are more efficient and less expensive. The U.S. Geological Survey, in cooperation with the U.S. Fish and Wildlife Service, is studying the hydrogeology at the Refuge to provide information for developing alternative water management options. The hydrogeologic studies at the Refuge included characterizing the type, distribution, and hydraulic conductivity of surficial sediments and measuring water levels and temperatures in monitoring wells. Four monitoring wells and seven soil probe coreholes were drilled at the Refuge. Seven water level and temperature data loggers were installed in the wells and water levels and temperatures were continuously recorded from November 2014 to June 2016. Sediment cores were collected from the coreholes and sediment type and distribution were characterized from drillers’ notes, geophysical logs, corehole samples, and particle grain-size analysis. The hydraulic conductivities of sediments were estimated using the measured average grain size and the assumed textural maturity of the sediment, and ranged from about 20 to 290 feet per day.

Idaho↗

Development of industrial minerals in Colorado

Technology and engineering have helped make mining safer and cleaner for both humans and the environment. Inevitably, mineral development entails costs as well as benefits. Developing a mine is an environmental, engineering, and planning challenge that must conform to many Federal, State, and local regulations. Community collaboration, creative design, and best management practices of sustainability and biodiversity can be positive indicators for the mining industry. A better understanding of aesthetics, culture, economics, geology, climate, vegetation and wildlife, topography, historical significance, and regional land planning is important in resolving land-use issues and managing mineral resources wisely. Ultimately, the consuming public makes choices about product use (including water, food, highways, housing, and thousands of other items) that influence operations of the mineral industry. Land planners, resource managers, earth scientists, designers, and public groups have a responsibility to consider sound scientific information, society's needs, and community appeals in making smart decisions concerning resource use and how complex landscapes should change. An effort to provide comprehensive geosciences data for land management agencies in central Colorado was undertaken in 2003 by scientists of the U.S. Geological Survey and the Colorado Geological Survey. This effort, the Central Colorado Assessment Project, addressed a variety of land-use issues: an understanding of the availability of industrial and metallic rocks and minerals, the geochemical and environmental effects of historic mining activity on surface water and groundwater, and the geologic controls on the availability and quality of groundwater. The USDA Forest Service and other land management agencies have the opportunity to contribute to the sustainable management of natural aggregate and other mineral resources through the identification and selective development of mineral resources and the reclamation of mines on lands that they administer. The information in this Circular will help them carry out that task.

Colorado↗

Land processes distributed active archive center product lifecycle plan

The U.S. Geological Survey (USGS) Earth Resources Observation and Science (EROS) Center and the National Aeronautics and Space Administration (NASA) Earth Science Data System Program worked together to establish, develop, and operate the Land Processes (LP) Distributed Active Archive Center (DAAC) to provide stewardship for NASA’s land processes science data. These data are critical science assets that serve the land processes science community with potential value beyond any immediate research use, and therefore need to be accounted for and properly managed throughout their lifecycle. A fundamental LP DAAC objective is to enable permanent preservation of these data and information products. The LP DAAC accomplishes this by bridging data producers and permanent archival resources while providing intermediate archive services for data and information products.

Open-File Report↗

Reconnaissance drilling in the Yampa coal field, Hayden-Williams Fork Mountains area (Yampa No. 3), Moffat and Routt counties, Colorado, during 1976

Under Contract No. 14-08-0001-15727, awarded by the U.S. Geological Survey, Jim Feighny, of Loveland, Colo., drilled 42 test holes in the Williams Fork Mountains near Hayden, Colo., in September 1976. The area is referred to in the Contract as Yampa No. 3, which includes the Bureau of Land Management's (ELM) tracts WF-10, WF-12, WF-16, and WF-17. The purpose of the drilling was to obtain information on the quality and extent of the coal in the area. All holes were logged using either Gamma-Gamma (density), Natural Gamma, Caliper, Resistivity, or spontaneous-potential (SP) geophysical logs. The logging was done by the U.S. Geological Survey, the Birdwell Division of Seismograph Service Corp., Century Geophysical, and Geodynamics, Inc. The water level is indicated in table 1 for each drill hole at the time the hole was logged. All holes were drilled on private surface, and surface ownership is shown in table 1.

Colorado↗

Pinyon-juniper woodlands

Pinyon-juniper woodlands are one of the largest ecosystems in the Southwest and in the Middle Rio Grande Basin (Fig. 1). The woodlands have been important to the region's inhabitants since prehistoric times for a variety of natural resources and amenities. The ecosystems have not been static; their distributions, stand characteristics, and site conditions have been altered by changes in climatic patterns and human use and, often, abuse. Management of these lands since European settlement has varied from light exploitation and benign neglect, to attempts to remove the trees in favor of forage for livestock, and then to a realization that these lands contain useful resources and should be managed accordingly. Land management agencies are committed to ecosystem management. While there are several definitions of ecosystem management, the goal is to use ecological approaches to create and maintain diverse, productive, and healthy ecosystems (Kaufmann et al. 1994). Ecosystem management recognizes that people are an integral part of the system and that their needs must be considered. Ecological approaches are central to the concept, but our understanding of basic woodland ecology is incomplete, and there are different opinions and interpretations of existing information (Gottfried and Severson 1993). There are many questions concerning proper ecosystem management of the pinyon-juniper woodlands and how managers can achieve these goals (Gottfried and Severson 1993). While the broad concept of ecosystem management generally is accepted, the USDA Forest Service, other public land management agencies, American Indian tribes, and private landowners may have differing definitions of what constitutes desired conditions. Key questions about the pinyon-juniper ecosystems remain unanswered. Some concern the basic dynamics of biological and physical components of the pinyon-juniper ecosystems. Others concern the distribution of woodlands prior to European settlement and changes since the introduction of livestock and fire control. This relates to whether tree densities have been increasing or whether trees are invading grasslands and, to a lesser extent, drier ponderosa pine (Pinus ponderosa) forests. In areas where woodlands were heavily used by American Indians for fuelwood prior to European contact, the advance of pinyon and juniper could represent the slow recovery from intensive use (Samuels and Betancourt 1982). There are numerous questions regarding declines in watershed condition related to changes in pinyon-juniper tree stand densities and to the density and composition of understory vegetation. There are different opinions about proper management of woodland ecosystems. Should these lands be managed for a single resource, such as forage for livestock production, or managed for sustained production of multiple resource products and amenities? Depending on site and stand conditions, the woodlands can produce variable quantities of fuelwood, pinyon nuts, wildlife habitat, forage for livestock, and cover for watershed protection. Management must also consider increasing recreational demands, threatened and endangered species, and protection of archeological sites. Many pinyon-juniper woodland watersheds in New Mexico have unsatisfactory soil and watershed conditions (USDA Forest Service 1993); managers must develop restoration procedures that recognize the value of woodland ecosystems. The concerns, questions, and conflicts surrounding management of pinyon-juniper lands, as well as the ecological foundations of ecosystem management, require that all interested parties reevaluate attitudes toward the woodlands. Ecosystem management goals and concepts recognize diversity. Pinyonjuniper woodlands are diverse, and stand characteristics and site productivities vary. Management objectives and prescriptions must evaluate the potential of each site, and decisions must be based on sound scientific information. This information is often unavailable. Therefore, this paper describes what we do know about the characteristics, distribution, and ecology of pinyon-juniper woodlands, including the effects of natural and human factors, within the southwestern United States and particularly the Middle Rio Grande Basin. It also reviews some past and present management options in this widespread and important vegetation type. The review draws on research and management information from the Rio Grande Basin and from similar areas in the Southwest and adjacent regions. It does not attempt to review all of the relevant literature; additional sources can be found within the articles cited in the References.

General Technical Report↗

Dust control products at Hagerman National Wildlife Refuge, Texas: environmental safety and performance

Controlling fugitive dust while protecting natural resources is a challenge faced by all managers of unpaved roads. Unfortunately, road managers choosing between dust control products often have little objective environmental information to aid their decisions. To address this information gap, the U.S. Geological Survey and the U.S. Fish and Wildlife Service collaborated on a field test of three dust control products with the objectives of ( a ) evaluating product performance under real-world conditions, ( b ) verifying the environmental safety of products identified as practically nontoxic in laboratory tests, and ( c ) testing the feasibility of several environmental monitoring techniques for use in dust control tests. In cooperation with refuge staff and product vendors, three products (one magnesium chloride plus binder, one cellulose, and one synthetic fluid plus binder) were applied in July 2012 to replicated road sections at the Hagerman National Wildlife Refuge in Texas. These sections were monitored periodically for 12 months after application. Product performance was assessed by mobile-mounted particulate-matter meters measuring production of fugitive dust and by observations of road conditions. Environmental safety was evaluated through on-site biological observations and leaching tests with samples of treated aggregate. All products reduced dust and improved surface condition during those 12 months. Planned environmental measurements were not always compatible with day-to-day refuge management actions; this incompatibility highlighted the need for flexible biological monitoring plans. As one of the first field tests of dust suppressants that explicitly incorporated biological endpoints, this effort provides valuable information for improving field tests and for developing laboratory or semifield alternatives.

Texas↗