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Ranking Alaska moose nutrition: Signals to begin liberal antlerless harvests

We focused on describing low nutritional status in an increasing moose ( Alces alces gigas ) population with reduced predation in Game Management Unit (GMU) 20A near Fairbanks, Alaska, USA. A skeptical public disallowed liberal antlerless harvests of this moose population until we provided convincing data on low nutritional status. We ranked nutritional status in 15 Alaska moose populations (in boreal forests and coastal tundra) based on multiyear twinning rates. Data on age-of-first-reproduction and parturition rates provided a ranking consistent with twinning rates in the 6 areas where comparative data were available. Also, short-yearling mass provided a ranking consistent with twinning rates in 5 of the 6 areas where data were available. Data from 5 areas implied an inverse relationship between twinning rate and browse removal rate. Only in GMU 20A did nutritional indices reach low levels where justification for halting population growth was apparent, which supports prior findings that nutrition is a minor factor limiting most Alaska moose populations compared to predation. With predator reductions, the GMU 20A moose population increased from 1976 until liberal antlerless harvests in 2004. During 1997–2005, GMU 20A moose exhibited the lowest nutritional status reported to date for wild, noninsular, North American populations, including 1) delayed reproduction until moose reached 36 months of age and the lowest parturition rate among 36-month-old moose (29%, n = 147); 2) the lowest average multiyear twinning rates from late-May aerial surveys ( x̄ = 7%, SE = 0.9%, n = 9 yr, range = 3–10%) and delayed twinning until moose reached 60 months of age; 3) the lowest average mass of female short-yearlings in Alaska ( x̄ = 155 ± 1.6 [SE] kg in the Tanana Flats subpopulation, up to 58 kg below average masses found elsewhere); and 4) high removal (42%) of current annual browse biomass compared to 9–26% elsewhere in boreal forests. When average multiyear twinning rates in GMU 20A (sampled during 1960–2005) declined to <10% in the mid- to late 1990s, we began encouraging liberal antlerless harvests, but only conservative annual harvests of 61–76 antlerless moose were achieved during 1996–2001. Using data in the context of our broader ranking system, we convinced skeptical citizen advisory committees to allow liberal antlerless harvests of 600–690 moose in 2004 and 2005, with the objective of halting population growth of the 16,000–17,000 moose; total harvests were 7–8% of total prehunt numbers. The resulting liberal antlerless harvests served to protect the moose population's health and habitat and to fulfill a mandate for elevated yield. Liberal antlerless harvests appear justified to halt population growth when multiyear twinning rates average ≤10% and ≥1 of the following signals substantiate low nutritional status: <50% of 36-month-old moose are parturient, average multiyear short-yearling mass is <175 kg, or >35% of annual browse biomass is removed by moose.

Journal of Wildlife Management↗

Subsurface-water flow and solute transport: federal glossary of selected terms

The purpose of this report is to provide a glossary of selected terms for saturated and unsaturated flow and related processes involved in transport of contaminants in the subsurface. The glossary contains five tables. Table 1 is a list of parameters with associated symbols and units. Tables 2 to 5 are conversion charts. The original manuscript was prepared by Thomas J. Nicholson, U.S. Nuclear Regulatory Commission. It was subsequently examined by the Ground-Water Glossary Working Group and experts within and outside the Federal Government, whose recommendations were accommodated where appropriate in the glossary. It is hoped that the glossary will aid in the communications between soil scientists, hydrologists, and hydrogeologists. The terms defined in the glossary were selected after an extensive survey of glossaries and reports in the areas of (1) ground-water geology, hydraulics, and chemistry, (2) soil-water physics and chemistry, (3) contaminant transport, (4) unsaturated-zone hydrology, (5) chemistry and transport of solutes, and (6) ground-water quality. Some of the definitions have been modified for clarity from a variety of technical sources. Where more than one definition appears for the selected term, the first one was determined by the working group to be the most appropriate general definition, followed by other, more specialized, definitions. Some terms and definitions are not currently in use by all agencies; however, they are included in the glossary because they can be found in the literature. The reader is encouraged to consult with the original source cited for more explanatory comments. Additional regulatory definitions, which are underlined and are taken directly from the Code of Federal Regulations (CFR) and Federal laws (USC), were added following review by the various Federal agencies in May 1986. The definitions and conversion charts are from two principal sources provided herein. The first is the 11Glossary11 compiled by A. I. Johnson in the 1981 report by the American Society of Testing and Materials titled Permeability and Groundwater Contaminant Transport. The second is Manu a 1 40, 11Ground-water Management, 11 produced by the American Society of Civil Engineers in 1985.

Report↗

Genotypic clustering of H5N1 avian Influenza viruses in North America evaluated by ordination analysis

The introduction of HPAI H5N1 clade 2.3.4.4b viruses to North America in late 2021 resulted in avian influenza outbreaks in poultry, mortality events in many wild bird species, and spillover into many mammalian species. Reassortment events with North American low pathogenic virus were identified as early as February 2022 and over 100 genotypes have been characterized. Such diversity increases the complexity and time required for monitoring virus evolution. Here, we performed ordination and clustering analyses on sequence data from H5N1 viruses identified in North America between January 2020 to December 2023 to visualize virus genotypic diversity in poultry and wildlife populations. Our results reveal that ordination and cluster-based approaches can complement traditional phylogenetic analyses specifically for the preliminary assignment of H5N1 viruses to genotypic groups or to identify novel genotypes. Our study expands current knowledge on genotype diversity of H5N1 viruses in North America and describes a rapid approach for early virus genotype assignment.

Viruses↗

SYBR green-based real-time reverse transcription-PCR for typing and subtyping of all hemagglutinin and neuraminidase genes of avian influenza viruses and comparison to standard serological subtyping tests

Continuing outbreaks of H5N1 highly pathogenic (HP) avian influenza virus (AIV) infections of wild birds and poultry worldwide emphasize the need for global surveillance of wild birds. To support the future surveillance activities, we developed a SYBR green-based, real-time reverse transcriptase PCR (rRT-PCR) for detecting nucleoprotein (NP) genes and subtyping 16 hemagglutinin (HA) and 9 neuraminidase (NA) genes simultaneously. Primers were improved by focusing on Eurasian or North American lineage genes; the number of mixed-base positions per primer was set to five or fewer, and the concentration of each primer set was optimized empirically. Also, 30 cycles of amplification of 1:10 dilutions of cDNAs from cultured viruses effectively reduced minor cross- or nonspecific reactions. Under these conditions, 346 HA and 345 NA genes of 349 AIVs were detected, with average sensitivities of NP, HA, and NA genes of 10 1.5 , 10 2.3 , and 10 3.1 50% egg infective doses, respectively. Utility of rRT-PCR for subtyping AIVs was compared with that of current standard serological tests by using 104 recent migratory duck virus isolates. As a result, all HA genes and 99% of the NA genes were genetically subtyped, while only 45% of HA genes and 74% of NA genes were serologically subtyped. Additionally, direct subtyping of AIVs in fecal samples was possible by 40 cycles of amplification: approximately 70% of HA and NA genes of NP gene-positive samples were successfully subtyped. This validation study indicates that rRT-PCR with optimized primers and reaction conditions is a powerful tool for subtyping varied AIVs in clinical and cultured samples.

Journal of Clinical Microbiology↗

Fate of carbon in Alaskan Landscapes Project: Database for soils from eddy covariance tower sites, Delta Junction, AK

Soils in Alaska, and in high latitude terrestrial ecosystems in general, contain significant amounts of organic carbon, most of which is believed to have accumulated since the start of the Holocene about 10 ky before present. High latitude soils are estimated to contain 30-40% of terrestrial soil carbon (Melillo et al., 1995; McGuire and Hobbie, 1997), or ~ 300-400 Gt C (Gt = 1015 g), which equals about half of the current atmospheric burden of carbon. Boreal forests in particular are estimated to have more soil carbon than any other terrestrial biome (Post et al., 1982; Chapin and Matthews, 1993). The relations among net primary production, soil carbon storage, recurrent fire disturbance, nutrients, the hydrologic cycle, permafrost and geomorphology are poorly understood in boreal forest. Fire disturbance has been suggested to play a key role in the interactions among the complex biogeochemical processes influencing carbon storage in boreal forest soils (Harden et al., 2000; Zhuang et al., 2002). There has been an observed increase in fire disturbance in North American boreal black spruce (Picea mariana) forests in recent decades (Murphy et al., 1999; Kasichke et al., 2000), concurrent with increases in Alaskan boreal and arctic surface temperatures and warming of permafrost (Osterkamp and Romanofsky, 1999). Understanding the role of fire in long term carbon storage and how recent changes in fire frequency and severity may influence future high latitude soil carbon pools is necessary for those working to understand or mitigate the effects of global climate change.

Alaska↗

The importance of wetland carbon dynamics to society: Insight from the Second State of the Carbon Cycle Science Report

The Second State of the Carbon Cycle Report (SOCCR2) culminated in 19 chapters that spanned all North American sectors – from Energy Systems to Agriculture and Land Use – known to be important for understanding carbon (C) cycling and accounting. Wetlands, both inland and coastal, were found to be significant components of C fluxes along the terrestrial to aquatic hydrologic continuum. In this chapter, we synthesize the role of wetlands in the overall C footprint of North America (from Canada to Mexico) as one metric of the societal values placed on these terrestrial-aquatic interfaces. We also summarize the effects of management activities and climate change on the wetland C cycle and give some perspectives on the current and future importance of wetlands to society.

Geophysical Monograph Series↗

Influences of riparian vegetation on trout stream temperatures in central Wisconsin

Summer stream temperatures limit the distribution of Brook Trout Salvelinus fontinalis and are affected by riparian vegetation. We used riparian and instream habitat surveys along with stream temperature loggers placed throughout streams to determine the potential for riparian vegetation shading to increase the length of stream that is thermally suitable for Brook Trout. Twelve streams located throughout central Wisconsin were evaluated in the summers of 2007 and 2008. Across all streams, nonparametric ANCOVA modeling was used to identify spatial temperature patterns within a year for individual stream segments. Riparian tree-vegetated segments had a significantly lower mean change in stream temperature per kilometer of stream compared with grass-vegetated segments during the periods of maximum daily and weekly average temperatures, when we accounted for upstream temperature. Riparian grass-vegetated segments increased on average 1.19&deg;C/km (SE, 0.44) during the maximum daily average temperature period and 0.93&deg;C/km (SE, 0.39) during the maximum weekly average temperature period, whereas tree-vegetated segments decreased 0.48&deg;C/km (SE, 0.39) and 0.30&deg;C/km (SE, 0.25) during those respective time periods. Maximum weekly average temperatures were also modeled with different shading levels using a heat budget temperature model, U.S. Fish and Wildlife Service's Stream Segment Temperature Model. Across 11 study streams (one stream model could not be calibrated), modeled stream temperatures in equilibrium with their environmental conditions ranging from 23.2&deg;C to 28.3&deg;C at 0% shading could be reduced to 18.8&ndash;23.5&deg;C with 75% shading. Modeled increases in shade up to 75% from the current average of 34% increased the length of surveyed stream thermally suitable to Brook Trout by 4.9 km on Sucker Creek. We conclude that riparian forests are important for maintaining thermal conditions suitable for Brook Trout in central Wisconsin streams and can be managed to increase the amount of stream habitat thermally suitable for Brook Trout.

Wisconsin↗

Species richness and relative abundance of breeding birds in forests of the Mississippi Alluvial Valley

In 1992, the Vicksburg Field Research Station of the National Wetlands Research Center initiated research on the ecology of migratory birds within forests of the Mississippi Alluvial Valley (MAV). The MAV was historically a nearly contiguous bottomland hardwood forest, however, only remnants remain. These remnants are fragmented and often influenced by drainage projects, silviculture, agriculture, and urban development. Our objectives are to assess species richness and relative abundance, and to relate these to the size, quality, and composition of forest stands. Species richness and relative abundance were estimated for 53 randomly selected forest sites using 1 to 8 point counts per site, depending on the size of the forest fragment. However, statistical comparisons among sites will be restricted to an equal number ofpoint counts within the sites being compared. Point counts, lasting five minutes, were conducted from 11 May to 29 June 1992, foltowing Ralph, Sauer, and Droege (Point Count Standards; memo dated 9 March 1992). Vegetation was measured at the first three points on each site using a modification of the methods employed by Martin and Roper (Condor 90: 5 1-57; 1988). During 252 counts, 7 1 species were encountered, but only 62 species were encountered within a 50-m radius of point center. The mean number of species encountered within 50 m of a point, was 7.3 (s.d. = 2.7) and the mean number of individuals was 11.2 (s.d. = 4.2). The mean number of species detected at any distance was 9.6 (s.d, = 2.8) and the mean number of individuals was 15.6 (s.d. = 7.9). The most frequently encountered warblers in the MAV were Prothonotary Warbler and Northern Parula. Rarely encountered warblers were American Redstart and Worm-eating Warbler. The genera, Quercus, Ulmus, Carya, and Celtis were each encountered at 80 or more of the 152 points at which vegetation was sampled. Species most frequentlyencountered were: sugarberry (Celtis laevagata), water hickory (Caqa aquatica), American elm (Ulmus arnericana), sweetgum (Liquidambar styraciflua) and willow oak (Quercus phellos) The mean basal area of all trees 10 cm diameter-at-breast height (dbh) was 28 m2 /ha (range 7-70). The mean canopy cover was 87 percent, mean canopy height was 20 m, ground cover was 60 percent, and vegetation density (2-7 m) was 47 percent. The most frequently encountered understory species were sugarberry, ash (Fraxinus spp.), maple (Acer spp.), and elm (Ulnrus spp.). A cooperative GIs effort among the U.S. Fish and Wildlife Service, the Nature Conservancy, and the University of Arkansas is currently classifying forested habitats within the MAV. This effort will provide information on stand size and topology which will be used in concert with our current data, and data from visits to additional forest stands in 1993, to assess the relationship between the size, quatity, and composition of forests within the MAV and their breeding bird community.

Book chapter↗

Status of river herring stocks in large rivers

We examined long-term data sets from large rivers in the northern, central, and southern parts of the ranges of anadromous river herring (alewife Alosa pseudoharengus and blueback herring A. aestivalis) to assess the current status of these species and for evidence of fishery-induced effects on their demographic characteristics. Both species show signs of overexploitation in all rivers examined, such as reductions in mean age, decreases in percentage of returning spawners, and decreases in abundance. These two species should be managed separately since exploitation within a given river is often biased toward one or the other and there are enough differences in their biology so that a single management option will affect them differently. These species are not distinguished in commercial catches, which hinders understanding of their exploitation. ?? 2003 by the American Fisheries Society.

American Fisheries Society Symposium↗

Novel application of explicit dynamics occupancy models to ongoing aquatic invasions

Identification of suitable habitats, where invasive species can establish, is an important step towards controlling their spread. Accurate identification is difficult for new or slow invaders because unoccupied habitats may be suitable, given enough time for dispersal, while occupied habitats may prove to be unsuitable for establishment. To identify the suitable habitat of a recent invader, I used an explicit dynamics occupancy modelling framework to evaluate habitat covariates related to successful and failed establishments of American bullfrogs ( Lithobates catesbeianus ) within the Yellowstone River floodplain of Montana, USA from 2012-2016. During this five-year period, bullfrogs failed to establish at most sites they colonized. Bullfrog establishment was most likely to occur and least likely to fail at sites closest to human-modified ponds and lakes and those with emergent vegetation. These habitat covariates were generally associated with the presence of permanent water. Suitable habitat for bullfrog establishment is abundant in the Yellowstone River floodplain, though many sites with suitable habitat remain uncolonized. Thus, the maximum distribution of bullfrogs is much greater than their current distribution. Synthesis and applications. Focused control efforts on habitats with or proximate to permanent waters are most likely to reduce the potential for invasive bullfrog establishment and spread in the Yellowstone River. The novel application of explicit dynamics occupancy models is a useful and widely applicable tool for guiding management efforts towards those habitats where new or slow invaders are most likely to establish and persist.

Montana↗

The bioeconomic impact of different management regulations on the Chesapeake Bay blue crab fishery

The harvest of blue crabs Callinectes sapidus in Chesapeake Bay declined 46% between 1993 and 2001 and remained low through 2008. Because the total market value of this fishery has declined by an average of US $ 3.3 million per year since 1993, the commercial fishery has been challenged to maintain profitability. We developed a bioeconomic simulation model of the Chesapeake Bay blue crab fishery to aid managers in determining which regulations will maximize revenues while ensuring a sustainable harvest. We compared 15 different management scenarios, including those implemented by Maryland and Virginia between 2007 and 2009, that sought to reduce female crab harvest and nine others that used seasonal closures, different size regulations, or the elimination of fishing for specific market categories. Six scenarios produced the highest revenues: the 2008 and 2009 Maryland regulations, spring and fall closures for female blue crabs, and 152- and 165-mm maximum size limits for females. Our most important finding was that for each state the 2008 and 2009 scenarios that implemented early closures of the female crab fishery produced higher revenues than the 2007 scenario, in which no early female closures were implemented. We conclude that the use of maximum size limits for female crabs would not be feasible despite their potentially high revenue, given the likelihood that the soft-shell and peeler fisheries cannot be expanded beyond their current capacity and the potentially high mortality rate for culled individuals that are the incorrect size. Our model results support the current use of seasonal closures for females, which permit relatively high exploitation of males and soft-shell and peeler blue crabs (which have high prices) while keeping the female crab harvest sustainable. Further, our bioeconomic model allows for the inclusion of an economic viewpoint along with biological data when target reference points are set by managers.

Chesapeake Bay↗

After site selection and before data analysis: sampling, sorting, and laboratory procedures used in stream benthic macroinvertebrate monitoring programs by USA state agencies

A survey of methods used by US state agencies for collecting and processing benthic macroinvertebrate samples from streams was conducted by questionnaire; 90 responses were received and used to describe trends in methods. The responses represented an estimated 13,000-15,000 samples collected and processed per year. Kicknet devices were used in 64.5% of the methods; other sampling devices included fixed-area samplers (Surber and Hess), artificial substrates (Hester-Dendy and rock baskets), grabs, and dipnets. Regional differences existed, e.g., the 1-m kicknet was used more often in the eastern US than in the western US. Mesh sizes varied among programs but 80.2% of the methods used a mesh size between 500 and 600 (mu or u)m. Mesh size variations within US Environmental Protection Agency regions were large, with size differences ranging from 100 to 700 (mu or u)m. Most samples collected were composites; the mean area sampled was 1.7 m 2 . Samples rarely were collected using a random method (4.7%); most samples (70.6%) were collected using "expert opinion", which may make data obtained operator-specific. Only 26.3% of the methods sorted all the organisms from a sample; the remainder subsampled in the laboratory. The most common method of subsampling was to remove 100 organisms (range = 100-550). The magnification used for sorting ranged from 1 (sorting by eye) to 30x, which results in inconsistent separation of macroinvertebrates from detritus. In addition to subsampling, 53% of the methods sorted large/rare organisms from a sample. The taxonomic level used for identifying organisms varied among taxa; Ephemeroptera, Plecoptera, and Trichoptera were generally identified to a finer taxonomic resolution (genus and species) than other taxa. Because there currently exists a large range of field and laboratory methods used by state programs, calibration among all programs to increase data comparability would be exceptionally challenging. However, because many techniques are shared among methods, limited testing could be designed to evaluate whether procedural differences affect the ability to determine levels of environmental impairment using benthic macroinvertebrate communities.

Journal of the North American Benthological Societ↗

Ecological consequences of hydropower development in Central America: Impacts of small dams and water diversion on neotropical stream fish assemblages

Small dams for hydropower have caused widespread alteration of Central American rivers, yet much of recent development has gone undocumented by scientists and conservationists. We examined the ecological effects of a small hydropower plant (Dona Julia Hydroelectric Center) on two low-order streams (the Puerto Viejo River and Quebradon stream) draining a mountainous area of Costa Rica. Operation of the Dona Julia plant has dewatered these streams, reducing discharge to ~ 10% of average annual flow. This study compared fish assemblage composition and aquatic habitat upstream and downstream of diversion dams on two streams and along a ~ 4 km dewatered reach of the Puerto Viejo River in an attempt to evaluate current instream flow recommendations for regulated Costa Rican streams. Our results indicated that fish assemblages directly upstream and downstream of the dam on the third order Puerto Viejo River were dissimilar, suggesting that the small dam (< 15 in high) hindered movement of fishes. Along the ~ 4 km dewatered reach of the Puerto Viejo River, species count increased with downstream distance from the dam. However, estimated species richness and overall fish abundance were not significantly correlated with downstream distance from the dam. Our results suggested that effects of stream dewatering may be most pronounced for a subset of species with more complex reproductive requirements, classified as equilibrium-type species based on their life-history. In the absence of changes to current operations, we expect that fish assemblages in the Puerto Viejo River will be increasingly dominated by opportunistic-type, colonizing fish species. Operations of many other small hydropower plants in Costa Rica and other parts of Central America mirror those of Doha Julia; the methods and results of this study may be applicable to some of those projects.

River Research and Applications↗

Evaluating legacy effects of hyperabundant white-tailed deer (Odocoileus virginianus) in forested stands of Harriman and Bear Mountain State Parks, New York

Executive Summary White-tailed deer (Odocoileus virginianus) are among the most impactful herbivores in the eastern United States. Legacy forest effects, those accrued from intense herbivory over time, manifest as low seedling regeneration, high cover of plant species that are infrequently browsed by deer, presence or expansion of nonnative or invasive plant species, few herbaceous species, and diminished capacity for recovery. Interfering vegetation (that is, species that increase in cover and density due to avoidance by deer, such as American beech sprouts, Pennsylvania sedge, and hay-scented fern) increase competition for light and hinder recruitment of trees into the forest canopy. The lower Hudson Valley in New York has been heavily browsed by white-tailed deer since the early 20th century. The region has some of the lowest tree regeneration rates in New York State as a result of deer browsing and subsequent increases in interfering vegetation. The U.S. Geological Survey and the State University of New York College of Environmental Science and Forestry studied sites where deer hunting is permitted (case sites) and nearby sites where hunting is currently prohibited (control sites) to assess and identify forest structure and composition differences. Instead of using deer exclosures, which are time-consuming and expensive to install and maintain, we used a case-control study because such studies are well-suited to effects with long latency and rare outcomes. Case-control studies seek to describe the relation between an outcome of interest (in this study, forest understory recovery from chronic herbivory) and forest condition. We inferred recovery by comparing these characteristics on adjacent sites in the lower Hudson Valley with similar forest communities and land uses but different deer population management histories. Case plots were on lands where deer management has taken place annually for several decades. Control plots were on lands where deer populations have not been consistently managed to lowered abundance. We accounted for differences in forest recovery not attributable to deer by first matching case and control plots along several important environmental gradients (slope, aspect, elevation, moisture, canopy openness). By controlling for these gradients, we looked for associations between measured forest conditions and deer herbivory reduction through population management. We surveyed more than 200 plots in upland forest types across case and control sites where we assessed forest condition by estimating density (number per unit area) and composition and cover (percent) of important vegetation constituents in ground, shrub, subcanopy, and canopy layers of the forest. We recorded 37 tree species, 22 shrub species, 57 herbaceous species, and 19 species of grasses and sedges in our plot surveys, including a number of nonnative and invasive plants. We also estimated the ages of a number of common canopy trees by counting rings from cores extracted from individual stems. Effects of more than 100 years of chronic deer browsing manifested in low herbaceous ground cover and little to no tree recruitment (saplings) on lands without deer management. In contrast, sustained deer management resulted in forests with conditions that indicated substantial recovery from chronic herbivory in the ground, shrub, and subcanopy layers. Sites with ongoing deer management exhibited greater ground cover of tree seedlings and herbs and less ground cover of interfering vegetation and nonnative species. The well-developed sub-canopy layer of small trees, saplings, and tall shrubs on sites with deer management indicates a high potential for sapling recruitment to the canopy of the future forest. Of the 25 subcanopy trees sampled on control sites, most were more than 100 years old, indicating little to no regeneration in areas sampled for more than 100 years. The forest canopy, a relic of land uses of bygone days, requires a source of young trees to replace itself as older trees die. Without an abundant layer of young trees in the subcanopy, a forest cannot be sustained over time. Reduction in deer herbivory promotes forest recovery and could benefit Harriman and Bear Mountain State Parks (the control sites for the study), but removal of interfering vegetation may be necessary to mitigate legacy effects where they currently hinder ground layer recovery. To successfully promote a more desirable forest condition that includes elimination of nonnative plant species, promotion of tree recruitment into the forest canopy, and development of diverse and abundant herbaceous cover in ground layer vegetation, future management decisions could include information on herbivory reduction and management of interfering vegetation where necessary.

New York↗

Combining genetic, isotopic, and field data to better describe the influence of dams and diversions on Burbot Movement in the Wind River Drainage, Wyoming

Dams and water diversions fragment habitat, entrain fish, and alter fish movement. Many Burbot Lota lota populations are declining, with dams and water diversions thought to be a major threat. We used multiple methods to identify Burbot movement patterns and assess entrainment into an irrigation system in the Wind River, Wyoming. We assessed seasonal movement of Burbot with a mark–recapture (PIT tagging) study, natal origins of entrained fish with otolith microchemistry, and historic movement with genotyping by sequencing. We found limited evidence of entrainment in irrigation waters across all approaches. The mark–recapture study indicated that out‐migration from potential source populations could be influenced by flow regime but was generally low. Otolith and genomic results suggested the presence of a self‐sustaining population within the irrigation network. We conclude that emigration from natural tributary populations is not the current source of the majority of Burbot found in irrigation waters. Instead, reservoir and irrigation canal construction has created novel habitat in which Burbot have established a population. Using a multi‐scale approach increased our inferential abilities and mechanistic understanding of movement patterns between natural and managed systems.

Wyoming↗

Expanded stream gauging includes groundwater data and trends

Population growth has increased water scarcity to the point that documenting current amounts of worldwide water resources is now as critical as any data collection in the Earth sciences. As a key element of this data collection, stream gauges yield continuous hydrologic information and document long-term trends, recording high-frequency hydrologic information over decadal to centennial time frames.

Eos, Transactions, American Geophysical Union↗

Tectonic map of the Circum-Pacific region, Pacific basin sheet

Circum-Pacific Map Project : The Circum-Pacific Map Project was a cooperative international effort designed to show the relationship of known energy and mineral resources to the major geologic features of the Pacific basin and surrounding continental areas. Available geologic, mineral, and energy-resource data are being complemented by new, project-developed data sets such as magnetic lineations, seafloor mineral deposits, and seafloor sediment. Earth scientists representing some 180 organizations from more than 40 Pacific-region countries are involved in this work. Six overlapping equal-area regional maps at a scale of 1:10,000,000 form the cartographic base for the project: the four Circum-Pacific Quadrants (Northwest, Southwest, Southeast, and Northeast), and the Antarctic and Arctic Sheets. There is also a Pacific Basin Sheet at a scale of 1:17,000,000. The Base Map Series and the Geographic Series (published from 1977 to 1990), the Plate-Tectonic Series (published in 1981 and 1982), the Geodynamic Series (published in 1984 and 1985), and the Geologic Series (published from 1984 to 1989) all include six map sheets. Other thematic map series in preparation include Mineral-Resources, Energy-Resources and Tectonic Maps. Altogether, more than 50 map sheets are planned. The maps were prepared cooperatively by the Circum-Pacific Council for Energy and Mineral Resources and the U.S. Geological Survey and are available from the Branch of Distribution, U. S. Geological Survey, Box 25286, Federal Center, Denver, Colorado 80225, U.S.A. The Circum-Pacific Map Project is organized under six panels of geoscientists representing national earth-science organizations, universities, and natural-resource companies. The six panels correspond to the basic map areas. Current panel chairmen are Tomoyuki Moritani (Northwest Quadrant), R. Wally Johnson (Southwest Quadrant), Ian W.D. Dalziel (Antarctic Region), vacant. (Southeast Quadrant), Kenneth J. Drummond (Northeast Quadrant), and George W. Moore (Arctic Region). Project coordination and final cartography was being carried out through the cooperation of the Office of the Chief Geologist of the U.S. Geological Survey, under the direction of General Chairman, George Gryc of Menlo Park, California. Project headquarters were located at 345 Middlefield Road, MS 952, Menlo Park, California 94025, U.S.A. The framework for the Circum-Pacific Map Project was developed in 1973 by a specially convened group of 12 North American geoscientists meeting in California. The project was officially launched at the First Circum-Pacific Conference on Energy and Mineral Resources, which met in Honolulu, Hawaii, in August 1974. Sponsors of the conference were the AAPG, Pacific Science Association (PSA), and the Coordinating Committee for Offshore Prospecting for Mineral Resources in Offshore Asian Areas (CCOP). The Circum-Pacific Map Project operates as an activity of the Circum-Pacific Council for Energy and Mineral Resources, a nonprofit organization that promotes cooperation among Circum-Pacific countries in the study of energy and mineral resources of the Pacific basin. Founded by Michel T. Halbouty in 1972, the Council also sponsors conferences, topical symposia, workshops and the Earth Science Series books. Tectonic Map Series : The tectonic maps distinguish areas of oceanic and continental crust. Symbols in red mark active plate boundaries, and colored patterns show tectonic units (volcanic or magmatic arcs, arc-trench gaps, and interarc basins) associated with active plate margins. Well-documented inactive plate boundaries are shown by symbols in black. The tectonic development of oceanic crust is shown by episodes of seafloor spreading. These correlate with the rift and drift sequences at passive continental margins and episodes of tectonic activity at active plate margins. The recognized episodes of seafloor spreading seem to reflect major changes in plate kinematics. Oceanic plateaus and other prominences of greater than normal oceanic crustal thickness such as hotspot traces are also shown. Colored areas on the continents show the ages of deformation and metamorphism of basement rocks and the emplacement of igneous rocks. Transitional tectonic (molassic) and reactivation basins are shown by a colored boundary, and if they are deformed, a colored horizontal line pattern indicates the age of deformation. Colored bands along basin boundaries indicate age of inception, and isopachs indicate thickness of platform strata on continental crust and cover on oceanic crust. Colored patterns at separated continental margins show the age of inception of rift and drift (breakup) sequences. Symbols mark folds and faults, and special symbols show volcanoes and other structural features. Affiliations are as of compilation of the data. This map was created in quadrants and then compiled together. They are the Northwest land, Northwest Marine (different compilers), Northeast, Southwest and Southeast, and parts in plate-boundary sections.

Circum-Pacific Map↗

Birds of a feather

Greater sage-grouse ( Centrocercus urophasiunus , hereafter sage-grouse) are broadly distributed, occupy a diversity of sagebrush habitats, and face multiple threats. As a result of these threats, sage-grouse populations are declining and are now absent from almost one-half of their estimated range prior to Euro-American settlement. The risks to sage-grouse are significant enough to merit candidate status for this species for listing under the U.S. Endangered Species Act (Federal Register Notice, March 5, 2010). According to this decision by the U.S. Fish and Wildlife Service in 2010, population and habitat fragmentation coupled with lack of regulatory mechanisms warranted listing, although implementation of actions has been precluded by other priorities. Candidate status for listing under the Endangered Species Act and possible regulatory action in the near future provide strong motivation to better understand the dynamics of sage-grouse populations and their habitat requirements. The general approach currently taken by managers focuses on maintaining or enhancing sage-grouse populations across their distribution in regions containing the highest densities of breeding birds and their important seasonal habitats, also known as priority areas for conservation (PACs). The rationale behind this approach is that it permits limited resources to be applied in regions that have the greatest potential to benefit the largest proportion of sage-grouse. Development and other forms of land use can then proceed under standard regulations in areas outside PACs. Implementation of this approach requires detailed information about habitat, connections among sage-grouse populations, and approaches to restore and maintain sagebrush. These are important topics of study by the U.S. Geological Survey (USGS) and its research partners.

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