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At least 523 records · Page 29Linked to original sources

Waste-assimilation capacity of the Arkansas River in Pueblo County, Colorado, as it relates to water-quality guidelines and stream classification

The waste-assimilation capacity of a 42-mile reach of the Arkansas River in Pueblo County, Colo., was evaluated using a one-dimensional steady-state water-quality model. The model was calibrated and verified using hydraulic and water-quality data collected in 1976 and 1979. The water-quality con-stituents modeled were 5-day carbonaceous biochemical oxygen demand, total organic nitrogen, total ammonia, total nitrite, total nitrate, and dissolved oxygen. Model calibration was acceptable for all constituents except total organic nitrogen, and verification was acceptable for all constituents except total organic nitrogen and total nitrite. A relationship between nonionized and total ammonia was defined to provide simulation capability for nonionized ammonia. The model was used to simulate the water-quality effects of 63 combinations of wastewater treatment. The water-quality effects were evaluated with respect to water-quality guidelines that may be applied based on possible stream-use classifications. Model simulations were based on a 7-day low flow with a 10-year recurrence interval that occurs between August 15 and October 15 and on a winter low-flow period that occurs as a result of upstream storage of water. The mixing zone downstream from the Pueblo Wastewater Treatment Plant outfall was evaluated to determine where the water-quality guidelines should apply for the model simulations. Complete lateral mixing of the effluent from the Pueblo Wastewater Treatment Plant occurred 2.7 river miles downstream from the outfall. Model simulations indicated a water-quality guideline of 0.06 milligram per liter nonionized ammonia nitrogen would be exceeded at the end of the mixing zone for Q7,10 conditions with secondary treatment at the Pueblo Wastewater Treatment Plant and a projected effluent discharge for the year 2000, and that a water-quality guideline of 0.5 milligram per liter total nitrite nitrogen would be exceeded for winter conditions and the same waste-water-treatment possibility. Wastewater-treatment possibilities with a pro-jected discharge for the year 2000 which would result in both water-quality guidelines being met include land application of treated effluent and advanced secondary treatment at the Pueblo Wastewater Treatment Plant with conversion of ammonia to nitrate to result in an effluent total ammonia nitrogen concentration of 5.4 to 10.6 milligrams per liter, depending on the quality of effluent from the downstream discharge from the CF&I Steel Corp. Model simulations also included an evaluation of flow augmentation necessary to meet a water-quality guideline of 0.06 milligram per liter non-ionized ammonia nitrogen. The evaluation was made for the n,7,10 period, secondary treatment at the Pueblo Wastewater Treatment Plant with a projected discharge for the year 2000, and effluent water quality at a downstream discharge which could contain twice the estimated ammonia concentration allowable for best available technology treatment for the iron and steel industry. The flow augmentation necessary to meet the water-quality guideline, based on the model simulations, is approximately 140 cubic feet per second.

Colorado↗

Observed and forecast flood-inundation mapping application-A pilot study of an eleven-mile reach of the White River, Indianapolis, Indiana

Near-real-time and forecast flood-inundation mapping products resulted from a pilot study for an 11-mile reach of the White River in Indianapolis. The study was done by the U.S. Geological Survey (USGS), Indiana Silver Jackets hazard mitigation taskforce members, the National Weather Service (NWS), the Polis Center, and Indiana University, in cooperation with the City of Indianapolis, the Indianapolis Museum of Art, the Indiana Department of Homeland Security, and the Indiana Department of Natural Resources, Division of Water. The pilot project showed that it is technically feasible to create a flood-inundation map library by means of a two-dimensional hydraulic model, use a map from the library to quickly complete a moderately detailed local flood-loss estimate, and automatically run the hydraulic model during a flood event to provide the maps and flood-damage information through a Web graphical user interface. A library of static digital flood-inundation maps was created by means of a calibrated two-dimensional hydraulic model. Estimated water-surface elevations were developed for a range of river stages referenced to a USGS streamgage and NWS flood forecast point colocated within the study reach. These maps were made available through the Internet in several formats, including geographic information system, Keyhole Markup Language, and Portable Document Format. A flood-loss estimate was completed for part of the study reach by using one of the flood-inundation maps from the static library. The Federal Emergency Management Agency natural disaster-loss estimation program HAZUS-MH, in conjunction with local building information, was used to complete a level 2 analysis of flood-loss estimation. A Service-Oriented Architecture-based dynamic flood-inundation application was developed and was designed to start automatically during a flood, obtain near real-time and forecast data (from the colocated USGS streamgage and NWS flood forecast point within the study reach), run the two-dimensional hydraulic model, and produce flood-inundation maps. The application used local building data and depth-damage curves to estimate flood losses based on the maps, and it served inundation maps and flood-loss estimates through a Web-based graphical user interface.

Indiana↗

National Assessment of Oil and Gas Project: geologic assessment of undiscovered gas hydrate resources on the North Slope, Alaska

Scientists with the U.S. Geological Survey have completed the first assessment of the undiscovered, technically recoverable gas hydrate resources beneath the North Slope of Alaska. This assessment indicates the existence of technically recoverable gas hydrate resources—that is, resources that can be discovered, developed, and produced using current technology. The approach used in this assessment followed standard geology-based USGS methodologies developed to assess conventional oil and gas resources. In order to use the USGS conventional assessment approach on gas hydrate resources, three-dimensional industry-acquired seismic data were analyzed. The analyses indicated that the gas hydrates on the North Slope occupy limited, discrete volumes of rock bounded by faults and downdip water contacts. This assessment approach also assumes that the resource can be produced by existing conventional technology, on the basis of limited field testing and numerical production models of gas hydrate-bearing reservoirs. The area assessed in northern Alaska extends from the National Petroleum Reserve in Alaska on the west through the Arctic National Wildlife Refuge on the east and from the Brooks Range northward to the State-Federal offshore boundary (located 3 miles north of the coastline). This area consists mostly of Federal, State, and Native lands covering 55,894 square miles. Using the standard geology-based assessment methodology, the USGS estimated that the total undiscovered technically recoverable natural-gas resources in gas hydrates in northern Alaska range between 25.2 and 157.8 trillion cubic feet, representing 95 percent and 5 percent probabilities of greater than these amounts, respectively, with a mean estimate of 85.4 trillion cubic feet.

Alaska↗

Contributions of erosion, deposition, and human activities to a change in sand storage in the bed of San Francisco Bay, California, 1980s to 2010s

This study by the U.S. Geological Survey (USGS) provides estimates of the change in sand storage in bed sediments from the 1980s to 2010s in the San Francisco Bay area, California. The study is part of a larger project called “Research to Understand Impacts of Bay Sand Mining on Sand Transport in San Francisco Bay and the Outer Coast” that has the goal of providing information for the California Coastal Conservancy to inform decision making regarding sand mining activities. Information from this study will contribute to the sand budget for the San Francisco Bay system by accounting for sand made available by erosion of bay sediment and sequestered by deposition in the bay. Sediment budgets for estuaries typically account for change in sediment storage in the bed without discriminating for sediment size. However, the physics of mud and sand erosion, deposition, and transport differ. Sediment budgets that treat mud and sand separately give a more complete understanding of the system, including how human activities related to sediment size, such as sand mining, affect the system. We used bathymetric change analysis in combination with a three-dimensional model to generate estimates of net change in sand storage within the San Francisco Bay floor. We document sediment volume change from a 1980s bathymetric surface to a 2010s bathymetric surface, in combination with information on the sand content of the bed sediment derived from sediment cores and surface samples from six different sediment studies, to estimate the net change in sand volume in the bed of San Francisco Bay. This analysis includes areas heavily affected by human activities (such as sand mining, dredging, and sediment disposal) as well as regions more representative of natural transport processes. Overall, the sediment bed of San Francisco Bay is losing sand. Across the total area surveyed in San Francisco Bay, including areas affected by natural processes, oyster shell beds, and human activities, a net loss of about 17 million cubic meters (Mm 3 ) of sand from the sediment bed occurred from the 1980s to 2010s, at a rate of about 0.8 Mm 3 per year. For the period of this study, sand loss from bed level changes in permitted sand-lease mining areas (about 11 Mm 3 ) accounts for about two-thirds of the total sand loss throughout the study area. It is important to consider potential uncertainty bounds when interpreting these findings. A key part of the report is an assessment of the uncertainties in our estimates of sand volumes. We estimate that variability in modeled sand content values of Bay floor sediments could result in an uncertainty of approximately 25 percent of the net sand volume change. Even larger uncertainty amounts may be associated with uncertainty in the systematic errors in the bathymetric surveys. Further refining estimates of uncertainty in bathymetric change is important in guiding the use of this study. The results presented here can fill a critical gap that may enable the creation of the first comprehensive sand budget of San Francisco Bay.

California↗

Design and methods of the California stream quality assessment (CSQA), 2017

During 2017, as part of the National Water-Quality Assessment Project, the U.S. Geological Survey conducted the California Stream Quality Assessment to investigate the quality of streams in the Central California Foothills and Coastal Mountains ecoregion, United States. The goal of the California Stream Quality Assessment study was to assess the health of wadeable streams in the region by characterizing multiple water-quality factors that are stressors to aquatic biota and by evaluating the relation between these stressors and biological indicators of stream health. Urbanization, agriculture, and modifications to streamflow are anthropogenic changes that affect water quality in the region; consequently, the study design primarily targeted sites and specific stressors associated with these activities. For the study, 85 stream sites were selected to represent the types and intensity of land use in the watershed; categories of site types were undeveloped, urban (low, medium, high), agriculture (low, high), and mixed (urban and agriculture). Most sites (about 70 percent) represent a gradient of urbanization from undeveloped to 99-percent urbanized. At most of the sites, streamgages or pressure transducers were used to monitor stream discharge and stage, as well as temperature. Water-quality samples were collected routinely at all sites and were analyzed for major ions, organic contaminants, nutrients, and suspended sediment. Sampling frequency varied on the basis of site type and location. Discrete water samples were collected weekly and generally 6 times per site, except for 11 undeveloped sites that were sampled only 4 times (during the last 4 weeks). Water sampling began at sites in the southern part of the study on March 13, 2017, and at sites in the northern part of the study on April 3, 2017. Passive samplers were deployed at most sites for measurement of polar organic contaminants (pesticides and pharmaceuticals). In May 2017, coincident with completion of water-quality sampling, an ecological survey was conducted at each site to assess benthic algal and macroinvertebrate communities and instream habitat. During the ecological surveys, a single composite streambed-sediment sample was collected for chemical analysis and toxicity testing. In addition, a few focused studies were done at subsets of sites, namely, measuring pesticides using small-volume automated samplers, measuring pesticides in biofilms, and sampling suspended sediments using passive samplers. This report describes the various study components and methods of the California Stream Quality Assessment, including measurements of water quality, sediment chemistry, habitat assessments, and ecological surveys, as well as procedures for sample analysis, quality assurance and quality control, and data management.

California↗

Results of a Two-Dimensional Hydrodynamic and Sediment-Transport Model to Predict the Effects of the Phased Construction and Operation of the Olmsted Locks and Dam on the Ohio River near Olmsted, Illinois

The Olmsted two-dimensional hydrodynamic and sediment-transport model was developed in cooperation with the U.S. Army Corps of Engineers, Louisville District. The model was used to estimate the effects that the phased-construction sequence and operation of the Olmsted Locks and Dam had on sediment-transport patterns in the 11.9-mile study reach (Ohio River miles 962.6 to 974.5), particularly over an area of endangered orange-footed pearly mussel (Plethobasus cooperianus) beds beginning approximately 2 miles downstream of the dam construction. A Resource Management Associates?2 (RMA-2) two-dimensional hydrodynamic model for the reach was calibrated to a middle-flow hydraulic survey (350,000 cubic feet per second) and verified with data collected during low- and high-flow hydraulic surveys (72,500 and 770,000 cubic feet per second, respectively). The calibration and validation process included matching water-surface elevations at the construction site and velocity profiles at 15 cross sections throughout the study reach. The sediment-transport aspect of the project was simulated with the Waterways Experiment Station's Sed2D model for a 6-year planned-construction period (construction-phase modeling) and a subsequent 3-year operational period (operational-phase modeling). The sediment-transport results from the construction and operational models both were compared to results of concurrent baseline simulations to determine the changes in erosional and depositional patterns induced by the dam construction and operation throughout the study reach and more importantly over the area of the endangered mussel beds. Simulation of the phased-in-the-wet Olmsted Locks and Dam construction and subsequent operation period resulted in a maximum additional deposition of approximately 2 feet over a localized region of the mussel beds when compared to the bed change simulated with baseline conditions (river conditions that included only the completed locks section). Most areas on the mussel beds experienced less than 0.5 feet of cumulative bed change between the baseline and construction phases during the nine annual hydrographs. The bed change over the 9 year Olmsted Locks and Dam simulation reveals a continuous downstream progression and deepening of the main channel and deposition along the right bank with limited lateral migration toward the more densely populated mussel-bed areas. The sensitivity of the mussels to sediment deposition is difficult to quantify; therefore, the effect of simulated deposition on the welfare of the mussels is uncertain. The model also will provide the U.S. Army Corps of Engineers a tool to predict the locations of high deposition in navigable sections, which can save engineers time and resources when monitoring the need for dredging operations.

Water-Resources Investigations Report↗

Management of ground water and evolving hydrogeologic studies in New Jersey : a heavily urbanized and industrialized state in the northeastern United States

New Jersey is the most densely populated and one of the most industrialized states in the United States. An abundance of freshwater and proximity to major northeastern metropolitan centers has facilitated this development. Pumpage of freshwater from all aquifers in the State in 1980 was 730 million gallons per day (2.76 million cubic meters per day). Management and efficient development of the ground-water resources of the State are the responsibility of the New Jersey Department of Environmental Protection. Laws have been enacted and updated by the State legislature to manage water allocation and to control the disposal of hazardous wastes. Present resource management is guided by the New Jersey Water-Supply Master Plan of 1981. Funding for management activities is partially derived from the sale of state-approved bonds. Effective planning and regional management require accurate and up-to-date hydrologic information and analyses. The U.S. Geological Survey, in cooperation with the New Jersey Geological Survey, is conducting three intensive ground-water studies involving the collection and interpretation of hydrologic data to meet the urgent water-management needs of New Jersey. These studies are part of a long-term cooperative program and are funded through the Water-Supply Bond Act of 1981. They began in 1983 and are scheduled to be completed in 1988. The project areas are situated in the New Jersey part of the Atlantic Coastal Plain in and near Atlantic City, Camden, and South River. They range in size from 400 to 1,200 mil (1,040 to 3,120 km2). The studies are designed to define the geology, hydrology, and geochemistry of the local ground-water systems. The results of these studies will enable the State to address more effectively major problems in these areas such as declining water levels, overpumping, saltwater intrusion, and ground-water contamination resulting from the improper disposal of hazardous wastes. Specific objectives of these studies by the U.S. Geological Survey are to (1) develop an accurate and up-to-date hydrogeologic data base, (2) design and implement a data-collection program and establish a computerized information management system, (3) refine the conceptualization of the ground-water flow system, and (4) define the geochemistry of the aquifer system by conducting a water-quality appraisal. The objectives are accomplished by standard hydrogeologic methods. Information concerning hydrogeologic framework, ground-water levels, water use, hydraulic characteristics, and water quality in the study areas is compiled from all available sources. Additional data needed are collected through well inventories, surface geophysical surveys, water-quality samplings, water-level measurements, and a well-drilling program. Interpretation of the flow system is based on the use of standard analytical techniques and digital flow modeling. Calibrated flow models will provide ground-water managers with a mechanism to develop and test regional water-supply strategies. Definition of the geochemistry of the aquifer system is accomplished through a variety of methods which depend on the problems and available data in the particular study area. The approach includes statistical analysis of water-quality data, reaction-path modeling, and determination of the movement of chemical constituents using analytical and numerical modeling techniques. A combined staff of 25 to 30 professionals and technicians from the New Jersey District office of the U.S. Geological Survey is committed to the three studies. The staff has specialists in geohydrology, numerical modeling, geochemistry, geophysics, and computer science. The findings of these studies will be published in data reports, interpretive reports, instructional manuals and journal articles.

New Jersey↗

Effects of equipment performance on data quality from the National Atmospheric Deposition Program/National Trends Network and the Mercury Deposition Network

The U.S. Geological Survey Branch of Quality Systems operates the Precipitation Chemistry Quality Assurance project (PCQA) to provide independent, external quality-assurance for the National Atmospheric Deposition Program (NADP). NADP is composed of five monitoring networks that measure the chemical composition of precipitation and ambient air. PCQA and the NADP Program Office completed five short-term studies to investigate the effects of equipment performance with respect to the National Trends Network (NTN) and Mercury Deposition Network (MDN) data quality: sample evaporation from NTN collectors; sample volume and mercury loss from MDN collectors; mercury adsorption to MDN collector glassware, grid-type precipitation sensors for precipitation collectors, and the effects of an NTN collector wind shield on sample catch efficiency. Sample-volume evaporation from an NTN Aerochem Metrics (ACM) collector ranged between 1.1–33 percent with a median of 4.7 percent. The results suggest that weekly NTN sample evaporation is small relative to sample volume. MDN sample evaporation occurs predominantly in western and southern regions of the United States (U.S.) and more frequently with modified ACM collectors than with N-CON Systems Inc. collectors due to differences in airflow through the collectors. Variations in mercury concentrations, measured to be as high as 47.5 percent per week with a median of 5 percent, are associated with MDN sample-volume loss. Small amounts of mercury are also lost from MDN samples by adsorption to collector glassware irrespective of collector type. MDN 11-grid sensors were found to open collectors sooner, keep them open longer, and cause fewer lid cycles than NTN 7-grid sensors. Wind shielding an NTN ACM collector resulted in collection of larger quantities of precipitation while also preserving sample integrity.

Open-File Report↗

Settlement of the USS Arizona, Pearl Harbor, Hawaii

The U.S. Geological Survey, in collaboration with the National Park Service Submerged Resources Center, undertook investigations at the USS Arizona Memorial at Pearl Harbor, Hawaii, in 2002, 2003, and 2005 to characterize geological factors affecting the deterioration and movement of the hull of the USS Arizona. Since sinking on the morning of December 7, 1941, the hull of the USS Arizona has been slowly but steadily disappearing below the surface of Pearl Harbor. Continuous sediment coring at three of four locations around the hull of the Arizona was only partially successful, but it was sufficient to identify a varied sedimentary substrate beneath the hull. A boring near the stern reveals a thick, continuous sequence of soft, gray clay to the bottom of the boring. In contrast, borings near the bow and starboard side, below about 5 meters subbottom depth, indicate the presence of very stiff, brown clay and coral debris and an absence of soft clay. Multisensor core logger scanning of the recovered cores distinguishes the lower density of the soft, gray clay at the stern from the higher density of the stiff, brown clays and coral debris at the bow and starboard side. Uniaxial consolidation testing of the soft gray clay indicates a normally consolidated sequence, whereas the stiff, brown clay and coral debris are overconsolidated. Profiles of shear wave velocity vs. depth obtained through spectral analysis of interface wave testing around the perimeter of the hull in 2005 identified areas of higher velocity, stiffer sediment at the bow and starboard side, which correspond to the dense, stiff clay recovered near the bow and starboard borings. Low shear-wave velocities at the port midship and quarter of the hull correlate with the lower density, softer sediment recovered from the boring at the stern. Cross sections of the subbottom of the Memorial combine results from the sediment borings and geophysical surveys and depict a wedge of soft clay unconformably overlying the stiff clays and coral debris beneath the aft half of the USS Arizona and thickening toward the stern. The 2008 position of the hull has been documented using both tide-based and differential Global Positioning System (GPS) measuring systems. Analysis of historical and recent photographs was done to create a record of settlement from the time of sinking in 1941 to the present. By examining shadows in suitable photos, the sun azimuth, local time of day, and tide levels were determined to derive tide-adjusted and sea-level-rise-corrected elevations for structures on the hull and from these elevations to obtain settlement and tilt trends. The settlement trends, most complete for barbette 3, have two components. An early, nonlinear component ends on December 9, 1941, and represents the initial penetration and displacement of the bottom sediment by the hull. A linear, long-term trend of normal consolidation continues to the present day. Long-term settlement rates are greatest at the stern and decrease linearly to the midship, showing that the aft half of the hull is moving as an intact, rigid body. The recent rate of settlement at the stern is about 3.5 mm/year; rates at the starboard midship and forward part of the hull are less than one-third of the stern rate. The aft half of the USS Arizona hull presently tilts about 2 degrees to port, an increase of at least 1.5 degrees since the initial sinking of the ship. The results of this study identify differential settlement of the Arizona hull, due to the wedge of soft clay underlying the aft half of the hull, as the cause of the movement of the hull beneath the surface of Pearl Harbor. Calculation of sediment consolidation using lab-determined properties of the soft clay demonstrates that the observed settlements can be reproduced by projecting appropriate clay thicknesses beneath the hull. Several of the high-quality photographs analyzed for the historical settlement analysis highlight some of the limitations of this retrospective technique for determining tide-based elevations. In these cases, calculated structure elevations do not conform to the settlement trend, indicating that there can be complicating factors affecting the interpretation of the photos. Conflicting dates for events during the salvage operations were also encountered.

Hawai'i↗

Case definitions for wildlife diseases

Welcome to the first manual of “Case Definitions for Wildlife Diseases,” a “living” electronic publication. The plan is to add and update this manual’s case definitions periodically as warranted; thus, this manual will never be completed, and readers should download the latest versions of specific chapters (that is, definitions) when available. Constructive suggestions from readers are welcome and will help guide adjustments as this project progresses. The purpose of this manual is to provide case definitions for selected diseases of importance to wildlife in Canada and the United States. Case definitions provide standard sets of criteria for classifying the degree of certainty of a particular diagnosis and help improve surveillance data quality and comparability. Better data and standardization allow for improved data sharing, which increases geographic and species surveillance coverage and permits more robust analyses. The definitions included in this manual have been developed by veterinary pathologists, epidemiologists, and wildlife biologists primarily from the U.S. Geological Survey National Wildlife Health Center (NWHC) and Canadian Wildlife Health Cooperative (CWHC). Pathologists from each organization reviewed and finalized the definitions. Each case definition has been peer reviewed by two scientific experts before publication. This manual begins with the case definition template. This generic template includes four sections: “Individual, Place, and Time Criteria for Diagnosis and Testing,” “Field Criteria for Diagnosis,” “Laboratory Criteria for Diagnosis,” and “Epidemiological Linkage Criteria for Diagnosis” and can be used to guide development of new case definitions. Information in each section is then combined to provide an overall case classification. Disease diagnoses are classified as “Confirmed,” “Presumptive,” or “Suspected;” and evidence of a pathogen or toxin is classified as “Exposed” or “Present/Detected.” Each subsequent chapter is then a case definition for a specific disease of wildlife, and infectious and non-infectious diseases are included.

Techniques and Methods↗

Gear comparison study for sampling nekton in Barataria Basin marshes

This project was funded by the Louisiana Trustee Implementation Group (LA TIG) to support decisions related to investments in long-term monitoring. The LA TIG seeks to ensure long-term monitoring informs coastal restoration activities with the goal of sustaining and improving fisheries impacted by the Deepwater Horizon (DWH) Oil Spill. The project objective was to compare nekton catch across an estuarine gradient using different sampling gear with the goal of identifying trade-offs among nekton sampling approaches. To accomplish this objective, Louisiana Department of Wildlife and Fisheries (LDWF), The Water Institute of the Gulf (the Institute), Dynamic Solutions, LLC, Louisiana State University Agricultural Center (LSU AgCenter), and the U.S. Geological Survey (USGS) completed a field gear comparison study from 2018 to 2019. This work compared electrofisher and seine sampling at 12 fixed stations in Barataria Basin using data collected by LDWF. In addition, and in conjunction with LDWF monthly sampling, the same 12 fixed stations were sampled in May 2019 using a throw trap to compare nekton catch and assemblages collected with the throw trap, seine and electrofisher. LDWF has been conducting seine sampling since 1986, and seine data are used by the State of Louisiana to assess juvenile shrimp, crab and fish abundances, sizes and overall assemblages. In 2018, LDWF began conducting electrofisher sampling at 12 Barataria Basin seine stations in order to determine if the two gear types sample similar species and assemblages for potential future replacement of long-term seine sampling with electrofishing. Throw traps were included as they provide density estimates, which are ultimately the desired statistic used in modeling trophic webs, and are used in assessing habitat restoration outcomes. The project compared the nekton catch and assemblages collected using seine, electrofisher, and throw trap data from marsh edge habitats located across the estuarine gradient in Barataria Basin. Specifically, catch per unit effort (CPUE), species richness, species-specific total length (mm) distribution and nekton assemblages were compared between gear types. The first dataset was collected in May 2019 with throw trap (Appendix A), seine (LDWF data), and electrofisher (LDWF data) gear, and the second dataset (collected by LDWF) spanned 14 months of seine and electrofisher monthly sampling occurring from May 2018 through June 2019 at 12 stations in Barataria Basin. Key findings include that gear bias was not evident across the range of water quality conditions (salinity, temperature, o C, dissolved oxygen, mg L-1 , turbidity, NTU; Appendix B: scatter plots) captured during this pilot study, but differences in nekton catch per unit effort (CPUE) and assemblages were evident between gear types. However, those differences largely depended on the parameter examined. For example, the overall CPUE was highest for electrofishing, followed by seine, and then throw trap. When grass shrimp (the most abundant taxon collected) were removed from CPUE, the electrofisher and seine results were similar in CPUE. When CPUE was corrected for gear efficiency and total area sampled, the throw trap had the highest reported density of nekton sampled, followed by electrofisher and seine results. Electrofishing captured the highest number of species, which included more unique species compared to seine or throw trap catches, though all gear types captured at least one unique species. These highlight a need for caution in interpreting assemblage and density data when comparing datasets derived from different sampling methodologies. These key findings can help inform implementation and interpretation of long-term monitoring data in Louisiana as management decisions are made about coastal restoration projects to sustain and improve fisheries. There are trade-offs in selecting gear types for estuarine nekton monitoring of density, abundance, species richness, and assemblages. The table below (Table 1) summarizes some considerations when selecting gear types for long-term monitoring of estuarine nekton. In addition to biological and ecological considerations, other important considerations include cost, the labor required to conduct sampling, logistics, and potential uncertainties related to how effective each gear type is for sampling the wide variety of conditions found across Louisiana’s coastal habitats. For example, although electrofishing may capture higher CPUE, the equipment is more expensive to obtain and maintain compared to the other gear types. Most importantly, this table highlights differences in the nekton assemblages sampled by each gear type; this consideration is critical when designing the goals of a long-term monitoring program as it will inform how the data can be used and interpreted in the future. This report provides caveats, assumptions, and recommendations that can help support the Louisiana Coastal Protection and Restoration Authority (CPRA), LDWF and the LA TIG in comparing data from different gear types, and in making decisions for future monitoring. Findings from this study are limited to the range of water quality conditions occurring during these data collection events; these data and analyses could benefit from sampling across a wider range of water quality conditions, and collection of habitat structure and bottom type data which are not routinely collected but critically influence nekton. Further investigation examining how relative differences detected in key species abundances between gear types might impact ecosystem indicators and energetics in a modeled food web would provide valuable input to understand outputs of the Comprehensive Aquatic System Model for Barataria Basin, including the potential impacts of nekton monitoring decisions on food web models.

Louisiana↗

Combined multibeam and LIDAR bathymetry data from eastern Long Island Sound and westernmost Block Island Sound-A regional perspective

Detailed bathymetric maps of the sea floor in Long Island Sound are of great interest to the Connecticut and New York research and management communities because of this estuary's ecological, recreational, and commercial importance. The completed, geologically interpreted digital terrain models (DTMs), ranging in area from 12 to 293 square kilometers, provide important benthic environmental information, yet many applications require a geographically broader perspective. For example, individual surveys are of limited use for the planning and construction of cross-sound infrastructure, such as cables and pipelines, or for the testing of regional circulation models. To address this need, we integrated 12 multibeam and 2 LIDAR (Light Detection and Ranging) contiguous bathymetric DTMs, produced by the National Oceanic and Atmospheric Administration during charting operations, into one dataset that covers much of eastern Long Island Sound and extends into westernmost Block Island Sound. The new dataset is adjusted to mean lower low water, is gridded to 4-meter resolution, and is provided in UTM Zone 18 NAD83 and geographic WGS84 projections. This resolution is adequate for sea floor-feature and process interpretation but is small enough to be queried and manipulated with standard Geographic Information System programs and to allow for future growth. Natural features visible in the grid include exposed bedrock outcrops, boulder lag deposits of submerged moraines, sand-wave fields, and scour depressions that reflect the strength of the oscillating and asymmetric tidal currents. Bedform asymmetry allows interpretations of net sediment transport. Anthropogenic artifacts visible in the bathymetric data include a dredged channel, shipwrecks, dredge spoils, mooring anchors, prop-scour depressions, buried cables, and bridge footings. Together the merged data reveal a larger, more continuous perspective of bathymetric topography than previously available, providing a fundamental framework for research and resource management activities in this major east-coast estuary.

Open-File Report↗

An integrated hydrologic model to support the Central Platte Natural Resources District Groundwater Management Plan, central Nebraska

The groundwater and surface-water supply of the Central Platte Natural Resources District supports a large agricultural economy from the High Plains aquifer and Platte River, respectively. This study provided the Central Platte Natural Resources District with an advanced numerical modeling tool to assist with the update of their Groundwater Management Plan. An integrated hydrologic model, called the Central Platte Integrated Hydrologic Model, was constructed using the MODFLOW-One-Water Hydrologic Model code with the Newton solver. This code integrates climate, landscape, surface water, and groundwater-flow processes in a fully coupled approach. Model framework included 163 rows; 327 columns; 2,640 feet cell sides; and 3 vertical layers. A predevelopment model simulated steady-state hydrologic conditions prior to April 30, 1895, and a development period model discretized into 610 stress periods simulated transient hydrologic conditions from May 1, 1895, to December 31, 2016, using 170 biannual stress periods from 1895 to 1980, and monthly stress periods from May 1, 1980, to December 31, 2016. Calibration of the Central Platte Integrated Hydrologic Model involved two phases: a manual adjustment of parameters, followed by the automated calibration completed using BeoPEST that was facilitated by the employment of the singular value decomposition-assist features of PEST that specified 50 super parameters assembled from the 435 adjustable parameters and Tikhonov regularization. The average absolute groundwater-level residuals for model layers one, two, and three were 6.1, 12.4, and 7.4 feet, respectively. Calibrated horizontal hydraulic conductivity was about 70, 32, and 35 feet per day for layers 1, 2, and 3, respectively. The largest development period inflow to groundwater was recharge from deep percolation past the root zone, averaging 1,122,257 acre-feet per year (2.7 inches per year), and the largest outflow was to irrigation wells, averaging 693,171 acre-feet per year (10.2 inches per year for the Central Platte Natural Resources District). Other substantial groundwater outflows included evapotranspiration and base flow. For the total development period, there was a net change in storage of −122,393 acre-feet per year (−0.3 inch per year). The calibrated Central Platte Integrated Hydrologic Model was used to simulate eight different potential future climate and irrigation pumping conditions from January 1, 2017, to December 31, 2049. Simulated future groundwater levels within the Central Platte Natural Resources District varied significantly between scenarios and locally, from 13.8 feet below to 7.6 feet above baseline 1982 groundwater levels. Most areas exhibited groundwater-level declines for the drought scenarios and rises for the alternate irrigation scenarios. Changes in scenario groundwater levels correlated with the relations between farm net recharge and irrigation pumping. Linear “first order second moment” techniques indicated that the uncertainty in projected groundwater altitudes was reduced by 15.33 feet through model calibration.

Nebraska↗

Macroinvertebrate communities evaluated prior to and following a channel restoration project in Silver Creek, Blaine County, Idaho, 2001-16

The U.S. Geological Survey, in cooperation with Blaine County and The Nature Conservancy, evaluated the status of macroinvertebrate communities prior to and following a channel restoration project in Silver Creek, Blaine County, Idaho. The objective of the evaluation was to determine whether 2014 remediation efforts to restore natural channel conditions in an impounded area of Silver Creek caused declines in local macroinvertebrate communities. Starting in 2001 and ending in 2016, macroinvertebrates were sampled every 3 years at two long-term trend sites and sampled seasonally (spring, summer, and autumn) in 2013, 2015, and 2016 at seven synoptic sites. Trend-site communities were collected from natural stream-bottom substrates to represent locally established macroinvertebrate assemblages. Synoptic site communities were sampled using artificial (multi-plate) substrates to represent recently colonized (4–6 weeks) assemblages. Statistical summaries of spatial and temporal patterns in macroinvertebrate taxonomic composition at both trend and synoptic sites were completed. The potential effect of the restoration project on resident macroinvertebrate populations was determined by comparing the following community assemblage metrics: Total taxonomic richness (taxa richness); Total macroinvertebrate abundance (total abundance); Ephemeroptera, Plecoptera, Trichoptera (EPT) richness; EPT abundance; Simpson’s diversity; and Simpson’s evenness for periods prior to and following restoration. A significant decrease in one or more metric values in the period following stream channel restoration was the basis for determining impairment to the macroinvertebrate communities in Silver Creek. Comparison of pre-restoration (2001–13) and post‑restoration (2016) macroinvertebrate community composition at trend sites determined that no significant decreases occurred in any metric parameter for communities sampled in 2016. Taxa and EPT richness of colonized assemblages at synoptic sites increased significantly from pre-restoration in 2013 to post-restoration in 2015 and 2016. Similarly, total and EPT abundances at synoptic sites showed non-significant increases from 2013 to 2015 and 2016. Significant seasonal differences in macroinvertebrate assemblages were apparent at synoptic site locations and likely reflected typical life-history patterns of increased insect emergence and development in the late spring and early summer months. Taxa and EPT richness were each significantly higher in spring and summer than in autumn, and total abundances were significantly higher in spring than in summer and autumn. No significant differences in community diversity or evenness of colonized communities were noted at synoptic site locations between pre- and post-restoration years or among seasons. Select community-metric results from the trend- and synoptic ‑ site sampling indicated that the Silver Creek restoration effort in 2014 did not result in a significant decline in resident macroinvertebrate communities.

Idaho↗

First investigations on lamprey responses to elevated total dissolved gas exposure and risk of gas bubble trauma

A flexible spill program in the federal Columbia River power system increased the total dissolved gas (TDG) water quality standards (i.e., the gas cap) from 120% to 125%. Spill is used to pass juvenile salmon (Oncorhynchus spp.) over dams, but it can generate elevated TDG, and exposed fish can develop gas bubble trauma (GBT) or experience mortality. Juvenile salmon are monitored for GBT through the Fish Passage Center’s (FPC), and under the flexible spill program, native non-salmonid fishes are also monitored. Pacific Lamprey (Entosphenus tridentatus) are exposed to elevated TDG, but nothing is known about their risk for GBT. This project is the first to evaluate GBT in lamprey, beginning with larval and juvenile lamprey in a controlled laboratory setting. These early life stages were chosen for this initial work because they have been shown to be more sensitive to GBT in other fish species. We modified the FPC protocol for GBT exams to be specific to lamprey and ranked bubbles in the mouth, eyes (juveniles only), gill pores, first and second dorsal fins, caudal fin, anal fin, vent, and body. We followed the FPC ranking criteria and assigned rank based on the proportion of the area occluded with bubbles, as 0=no bubbles, 1=1-5%, 2=6-25%, 3=26-50%, and 4=>50%. Four experiments were completed with larval lamprey from January to September 2022 using small (70 mm total length or less) and large (86 mm total length or greater) larvae in approximately equal proportions. Experiments included: (1) 130% TDG for 31 d, (2) 125% TDG for 91 d, (3) 130% TDG for 20 d with assessments of burrowing performance, and (4) 128-138% TDG for 3-4 d with assessments of predator avoidance ability and the corresponding untreated control groups. The first and second experiments had similar study designs and findings. First, we tested an acute exposure at 130% TDG and then we tested a chronic exposure at 125%, to represent a full spill season. None of the controls (exposed to normally saturated water) experienced mortality or showed GBT signs. Few lamprey in the treatment groups (5% in Experiment 1; 0% in Experiment 2) showed GBT signs, and there were no mortalities (n=200 fish experiment 1; n=100 fish Experiment 2). Lamprey with GBT signs had bubbles on the body, with low severity ranks. During external exams for Experiment 2, we observed bubbles in the gut of several lamprey. The light coloration and transparency of the body made these observations possible, and we confirmed the finding with internal exams. From day 9 to day 91, 70.8% of the lamprey examined had bubbles in the gut. We observed five lamprey that were positively buoyant in the test tanks, and we likely underestimated the prevalence of floating as our procedures were not initially designed to document this sign. In our third experiment, burrowing performance was not significantly different between lamprey exposed to 130% TDG and controls. Mortality was 4.2% in the treatment group, but no GBT signs were observed. The proportion of lamprey with positive buoyancy increased through time, with 87.5% of fish floating on day 20 (end of the test). Bubbles in the gut were observed for some lamprey on each of five sampling dates (day 2 to 20), with prevalence ranging from 50-100%. Median burrow times ranged from 28 to 154 sec for treatment fish and from 40 to 100 sec for controls. We noted some atypical behaviors during burrow performance tests, including lamprey that were positively buoyant and unable to descend through 0.5 m of water to reach the sediment as well as lamprey that were unable to complete burrowing (within 10 min test period). These lamprey were so buoyant that they repeatedly floated to the surface of the water when they stopped or slowed their burrowing movements. Predator avoidance ability was assessed in our fourth experiment by exposing lamprey with GBT signs (floating) and controls to sculpin (Cottus spp.) until about 50% of the fish had been consumed or 2 h had passed. We completed five predation trials, testing the hypothesis that an equal proportion of treatment and control lamprey would be consumed. Treatment groups were generated by exposing 15 lamprey to 128-138% TDG for 3-4 d, until at least 10 lamprey were floating. Overall, 41 treatment and 46 control fish were eaten and there was no evidence that sculpin preferentially preyed upon lamprey with GBT signs. Additional tests with another predator are recommended. Two experiments were completed with juvenile lamprey from March to November 2022: Experiment 5 exposed fish to 125% TDG for 10 d and Experiment 6 exposed fish to 125% for 16 d. Mortality rates for the treatment groups were 21.7% and 20.0% for these experiments, respectively, and few lamprey (4 per experiment) showed GBT signs. With the results from experiments pooled, bubbles were observed in all body areas with low severity ranks (means 0-1). We observed some exophthalmia and bubbles behind the gill pores, in addition to bubbles in the gut and fish floating. The presence of bubbles in or near the gill pores was the likely cause of death as exam findings included enlarged gill pore areas and restricted openings. This project provided the first insights into lamprey responses to elevated TDG, but substantial learning opportunities remain. Our findings highlight that lamprey are vulnerable to GBT, but the effects are generally sublethal and would not be detected using FPC exam procedures. For example, we observed larval and juvenile lamprey that had bubbles in the gut and/or were floating, although these conditions were not consistently linked. More data are needed, but we surmise that it takes some time for bubbles to form in sufficient quantity to create the floatation required to overcome the mass of the lamprey. Positive buoyancy in natural settings could have substantial impacts to the risk of mortality for lamprey. Future studies could test GBT risk for larval lamprey in burrows, investigate the influence of lamprey size, measure performance (e.g., burrowing, swimming, predator avoidance ability) after elevated TDG exposure, and describe the rate that GBT signs dissipate when lamprey are returned to normally saturated water.

Report↗

Potassium-argon geochronology of the eastern Transverse Ranges and southern Mojave Desert, southern California

More than 200 potassium-argon apparent ages on minerals from crystalline rocks, chiefly from the San Bernardino and eastern San Gabriel Mountains and the southern Mojave Desert, define an area greater than 10,000 km 2 in which the potassium-argon isotopic systematics have been highly disturbed. The disturbance or disturbances appear to have culminated at different times in different parts of the region, ranging from 57 m.y. ago in the eastern San Gabriel Mountains to about 70 m.y. ago in the southern Mojave Desert. The region can be subdivided into three parts on the basis of potassium-argon dating: (1) An inner area of anomalous ages in which the rocks yield apparent potassium-argon ages that indicate complete or nearly complete resetting of the isotopic system. (2) An outer area in which the rocks yield apparent ages that are, or approach, emplacement ages. (3) A zone separating these two areas from which rocks yield discordant apparent ages on coexisting mineral pairs. This discordant zone varies in width from about 6 to 12 km and grades inward to rocks reset to the degree that they yield concordant potassium-argon apparent ages on coexisting mineral pairs and outward toward rocks that yield near-concordant apparent ages. Rocks from the center and the inner parts of the discordant zone yield the most discordant apparent ages. Contouring of the apparent ages defines the extent of the reset region that occurs on both sides of the San Andreas fault. The apparent ages can be contoured across the fault, although the position of the fault is well defined by abrupt deflection of the contours parallel to the fault. The reverse fault bounding the north side of the San Bernardino Mountains mayor may not be reflected by offset contours; correlation of possible offset features across the fault is uncertain. Several northwest-trending faults on the Mojave Desert strongly disrupt the contours but do not show the right-lateral displacements that have been attributed to them on the basis of apparent offsets of geologic features. These faults may have a component of vertical movement, and it is not known what effect this might have on the contours; even a small amount could be profound. The cause of the isotopic disturbance is not well understood, as the area of most complete resetting does not appear to be coincident with any single batholithic mass. The apparent-age contours cross the boundaries of individual plutons, and the configuration of the contours shows no apparent relation to the shapes of plutons or groups of plutons. Even though there does appear to be a lack of correlation between individual plutons or batholith-size collections of plutons, this lack of correlation may be more apparent than real. It is possible that some of the plutons within the area of anomalous ages are part of an extensive batholithic mass of which only the uppermost part is exposed. An alternative interpretation of the anomalous ages is that a continuing post-emplacement heat source generated by continued under thrusting of the Pacific plate beneath North America caused the region to remain at elevated temperatures such that argon retention by minerals datable by potassium-argon methods was not possible for some time after pluton emplacement. As suggested by Coney and Reynolds (1977), possibly the angle of underthrusting was shallower than when the Transverse Range plutons were emplaced. Locally, the youngest ages show a spatial relation to the Vincent thrust fault and its correlatives. If this fault is the cause of the region-wide resetting, it has to have extended under most of the western part of southern California. The configuration of the anomalous-age zone is roughly coincident with the position of the Transverse Ranges, the recently discovered southern California uplift, a relatively shallow high-velocity zone in southern California, and the projection of the Murray fracture zone. The eastward extent coincides roughly with the eastern limit of high seismicity in southern California.

California↗

Geotechnical soil characterization of intact Quaternary deposits forming the March 22, 2014 SR-530 (Oso) landslide, Snohomish County, Washington

During the late morning of March 22, 2014, a devastating landslide occurred near the town of Oso, Washington. The landslide with an estimated volume of 10.9 million cubic yards (8.3 x 10 6 m 3 ) of both intact glacially deposited and previously disturbed landslide sediments, reached speeds averaging 40 miles per hour (64 kilometers per hour) and crossed the entire 2/3-mile (~1100 m) width of the adjacent North Fork Stillaguamish River floodplain in approximately 60 seconds, resulting in the complete destruction of an entire neighborhood (Iverson and others, 2015). More than 40 homes were destroyed as the debris overran the neighborhood, resulting in the deaths of 43 people. Landslides in glacial deposits are common in the Pacific Northwest (for example, Baum and others, 2008), and in fact, the site of the March 22, 2014 SR-530 landslide had experienced significant reactivation several times in past decades, with the most recent event occurring in 2006 (for example, Miller and Sias, 1998). However, these previous landslides were of considerably less volume and mobility (Iverson and others, 2015), and debris had never reached the Steelhead Haven neighborhood. Further, no landslides with the type of mobility that the March 22, 2014 landslide underwent have been recorded in historic times within the North Fork Stillaguamish River valley. However, mapping performed immediately following the landslide indicates that several other slopes in the North Fork Stillaguamish River valley have experienced large-volume landslides exhibiting high mobility in prehistoric times (Haugerud, 2014). The presence of previous high-mobility landslides in the valley, and the now well-documented occurrence of one involving many fatalities, underscores both the hazard and risk for those that live and travel in this and other river valleys in the Pacific Northwest with similar glacial deposits and precipitation patterns. To understand the hazards posed by highly mobile landslides in the Pacific Northwest, the U.S. Geological Survey (USGS), together with its project partners, the University of California, Berkeley Department of Civil and Environmental Engineering (UCB), and the Washington State Department of Transportation (WSDOT), is undertaking a critically needed study to identify the geologic, hydrogeologic, and geotechnical conditions in which these large landslides initiate, as well as the processes responsible for the exceptional mobility of this, and potentially other, landslides in the region. One of the first study activities involves characterizing the stratigraphy and materials from which the landslide deposits are derived, so that the fundamental geotechnical nature of the soils can be understood. This understanding is required to begin identifying possible conditions leading to slope failure and their relation to the landslide's high mobility. In addition, detailed characterization of each stratigraphic unit encountered in initial geotechnical borings is needed to relate stratigraphy between borings for this study and as a part of ongoing investigations by WSDOT and other project partners. This report provides a description of the methods used to obtain and test the intact soil stratigraphy behind the headscarp of the March 22 landslide. Detailed geotechnical index testing results are presented for 24 soil samples representing the stratigraphy at 19 different depths along a 650 ft (198 m) soil profile. The results include (1) the soil's in situ water content and unit weight (where applicable); (2) specific gravity of soil solids; and (3) each sample's grain-size distribution, critical limits for fine-grain water content states (that is, the Atterberg limits), and official Unified Soil Classification System (USCS) designation. In addition, preliminary stratigraphy and geotechnical relations within and between soil units are presented.

Washington↗

Integrated rangeland fire management strategy actionable science plan completion assessment: Invasives topic, 2015–20

Loss and degradation of sagebrush rangelands due to an accelerated invasive annual grass-wildfire cycle and other stressors are significant management, conservation, and economic issues in the western United States. These sagebrush rangelands comprise a unique biome spanning 11 states, support over 350 wildlife species, and provide important ecosystem services that include stabilizing the economies of western communities. Impacts to sagebrush ecosystem processes over large areas due to the annual grass-wildfire cycle necessitated the development of a coordinated, science-based strategy for improving efforts to achieve long-term protection, conservation, and restoration of sagebrush rangelands, which was framed in 2015 under the Integrated Rangeland Fire Management Strategy (IRFMS). Central to this effort was the development of an Actionable Science Plan (Plan) that identified 37 priority science needs (Needs) for informing the actions proposed under the 5 topics (Fire, Invasives, Restoration, Sagebrush and Sage-Grouse, Climate and Weather) that were part of the collective focus of the IRFMS. Notable keys to this effort were identification of the Needs co-produced by managers and researchers, and a focus on resulting science being “actionable.” Substantial investments aimed at fulfilling the Needs identified in the Plan have been made since its release in 2016. While the state of the science has advanced considerably, the extent to which knowledge gaps remain relative to identified Needs is relatively unknown. Moreover, new Needs have likely emerged since the original strategy as results from actionable science reveal new questions and possible (yet untested) solutions. A quantifiable assessment of the progress made on the original science Needs can identify unresolved gaps and new information that can help inform prioritization of future research efforts. This report details a systematic literature review that evaluated how well peer-reviewed journal articles and formal technical reports published between January 1, 2015, and December 31, 2020, addressed six needs (hereinafter “Needs”) identified under the Invasives topic in the Plan. The topic outlined research Needs related to the control of invasive plant species in sagebrush rangelands, with a special emphasis on invasive annual grasses. We established the level of progress towards addressing each Need following a standardized set of criteria, and developed summaries detailing how research objectives nested within Needs identified in the Plan (“Next Steps”) were either addressed well, partially addressed, or remain outstanding (that is, addressed poorly) in the literature through 2020. Our searches resulted in the inclusion of 198 science products that at least partially addressed a Need identified in the Invasives topic. The Needs that were well and partially addressed included: studies of natural and anthropogenic factors influencing the distribution and spread; methods of preventing, eradicating and controlling invasive plant species; development of mapping techniques that provide regularly updated annual grass and fine fuel projections; and assessment of the efficacy of potential cheatgrass biocontrol agents. Needs that were addressed poorly included (1) investigations of livestock grazing as a tool for managing invasive plants and (2) investigations of cheatgrass die-offs and identification and subsequent study of potential biocontrol agents associated with those die-offs. The information provided in this assessment will assist updating the Plan along with other science strategies.

western United States↗