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At least 541 records · Page 30Linked to original sources

Detecting the spatial and temporal variability of chlorophyll-a concentration and total suspended solids in Apalachicola Bay, Florida using MODIS imagery

Apalachicola Bay, Florida, accounts for 90% of Florida's and 10% of the nation's eastern oyster ( Crassostrea virginica ) harvesting. Chlorophyll- a concentration and total suspended solids (TSS) are two important water quality variables, among other environmental factors such as salinity, for eastern oyster production in Apalachicola Bay. In this research, we developed regression models of the relationships between the reflectance of the Moderate-Resolution Imaging Spectroradiometer (MODIS) Terra 250 m data and the two water quality variables based on the Bay-wide field data collected during 14–17 October 2002, a relatively dry period, and 3–5 April 2006, a relatively wet period, respectively. Then we selected the best regression models (highest coefficient of determination, R 2 ) to derive Bay-wide maps of chlorophyll- a concentration and TSS for the two periods. The MODIS-derived maps revealed large spatial and temporal variations in chlorophyll- a concentration and TSS across the entire Apalachicola Bay.

Florida↗

It is the time for oceanic seabirds: Tracking year-round distribution of gadfly petrels across the Atlantic Ocean

Aim Anthropogenic activities alter and constrain the structure of marine ecosystems with implications for wide-ranging marine vertebrates. In spite of the environmental importance of vast oceanic ecosystems, most conservation efforts mainly focus on neritic areas. To identify relevant oceanic areas for conservation, we assessed the year-round spatial distribution and spatio-temporal overlap of eight truly oceanic seabird species of gadfly petrels ( Pterodroma spp.) inhabiting the Atlantic Ocean. Location Atlantic Ocean. Methods Using tracking data (mostly from geolocators), we examined year-round distributions, the timing of life-cycle events, and marine habitat overlap of eight gadfly petrel species that breed in the Atlantic Ocean. Results We compiled 125 year-round tracks. Movement strategies ranged from non-migratory to long-distance migrant species and from species sharing a common non-breeding area to species dispersing among multiple non-breeding sites. Gadfly petrels occurred throughout the Atlantic Ocean but tended to concentrate in subtropical regions. During the boreal summer, up to three species overlapped spatio-temporally over a large area around the Azores archipelago. During the austral summer, up to four species coincided in a core area in subtropical waters around Cape Verde, and three species shared habitat over two distinct areas off Brazil. The petrels used many national Exclusive Economic Zones, although they also exploited offshore international waters. Main conclusions Tracking movements of highly mobile vertebrates such as gadfly petrels can provide a powerful tool to evaluate and assess the potential need for and location of protected oceanic areas. As more multispecies, year-round data sets are collected from wide-ranging vertebrates, researchers and managers will have greater insight into the location of biodiversity hotspots. These can subsequently inform and guide marine spatial planning efforts that account for both conservation and sustainable use of resources such as commercial fisheries.

Diversity and Distributions↗

Documenting Arctic sea ice dynamics with Global Fiducials Program imagery

For more than 25 years, the U.S. Geological Survey (USGS) has used the remote-sensing capabilities of United States National Imagery Systems (USNIS) to obtain high-resolution electro-optical imagery to monitor Earth’s response to global environmental change. A major focus has been monitoring sea ice behavior in the Arctic Ocean and its marginal seas. In 1997 and 1998, under the direction of the Global Fiducials Program (GFP), USNIS imagery was collected during the Surface Heat Budget of the Arctic Ocean (SHEBA) Project. In 1999, collection of USNIS imagery of six static sea ice sites in the Arctic Ocean and its marginal seas began, and the imagery was archived in the USGS-hosted Global Fiducials Library (GFL). The static sites were imaged through 2014, creating time series of geographically referenced images which scientists have used to study seasonal changes in Arctic ice over the same locations for extended time periods. In early 2009, the Central Intelligence Agency’s MEDEA Program requested that the USGS use USNIS imagery to track movements of sea ice floes during an entire Arctic summer (April through September). The goal was to improve researchers’ understanding of seasonal changes in Arctic sea ice. In order to track and repeatedly capture imagery of the same ice as it drifted across the Arctic Ocean, the USGS developed a methodology and a series of protocols to use data from telemetering drift buoys deployed at locations across the Arctic Ocean by the International Arctic Buoy Programme (IABP) to track the drift of targeted ice masses for periods that exceeded a year. Resulting time series of sea ice imagery, captured while monitoring 38 individual buoys, were archived in the GFL. In 2013 and 2014, in support of the Seasonal Ice Zone Reconnaissance Surveys (SIZRS) Program led by the University of Washington, Seattle, Washington, the USGS requested the collection of USNIS imagery of selected sites in the Beaufort and Chukchi Seas located at every degree of latitude between 70º and 80º N. along a north-south transect. This was done to track and understand the interplay among the ice, atmosphere, and ocean and what it contributes to the rapid decline in summer ice extent that has occurred in recent years. Under the auspices of the GFP, thousands of sea ice images have been collected. Many of those that pass a quality and cloud-cover screening are archived in the GFL. Of these, more than 1,750 sea ice images have been publicly released, following an editing and processing procedure that produces high-resolution degraded images, known as “literal imagery-derived products” or LIDPs. These LIDPs have been approved for free, unrestricted public distribution and scientific analysis. The LIDPs can be downloaded from the USGS Global Fiducials Library Data Access Portal (USGS GFLDAP) at https://www.usgs.gov/global-fiducials-library-data-access-portal . In addition, nonliteral imagery-derived products (nonliteral IDPs), such as metadata, maps, charts, and graphs, have also been released.

Open-File Report↗

A strategy for assessing potential future changes in climate, hydrology, and vegetation in the Western United States

Historical and geological data indicate that significant changes can occur in the Earth's climate on time scales ranging from years to millennia. In addition to natural climatic change, climatic changes may occur in the near future due to increased concentrations of carbon dioxide and other trace gases in the atmosphere that are the result of human activities. International research efforts using atmospheric general circulation models (AGCM's) to assess potential climatic conditions under atmospheric carbon dioxide concentrations of twice the pre-industrial level (a '2 X CO2' atmosphere) conclude that climate would warm on a global basis. However, it is difficult to assess how the projected warmer climatic conditions would be distributed on a regional scale and what the effects of such warming would be on the landscape, especially for temperate mountainous regions such as the Western United States. In this report, we present a strategy to assess the regional sensitivity to global climatic change. The strategy makes use of a hierarchy of models ranging from an AGCM, to a regional climate model, to landscape-scale process models of hydrology and vegetation. A 2 X CO2 global climate simulation conducted with the National Center for Atmospheric Research (NCAR) GENESIS AGCM on a grid of approximately 4.5o of latitude by 7.5o of longitude was used to drive the NCAR regional climate model (RegCM) over the Western United States on a grid of 60 km by 60 km. The output from the RegCM is used directly (for hydrologic models) or interpolated onto a 15-km grid (for vegetation models) to quantify possible future environmental conditions on a spatial scale relevant to policy makers and land managers.

Circular↗

An integrated moral obligation model for landowner conservation norms

This study applies an integrated moral obligation model to examine the role of environmental and cultural values, and beliefs in the activation of landowner conservation norms. Data for this study were collected through a self-administered survey of riparian landowners in two Minnesota watersheds: Sand Creek and Vermillion River watersheds. Study findings suggest that collectivistic and biospheric–altruistic values form the bases for the activation of personal norms. Further, beliefs about local responsibility and ability to act influence personal norms to protect water resources. Findings suggest that landowners’ personal norms of water conservation are more likely to be activated by conservation strategies that appeal to biospheric–altruistic and collectivistic values, emphasize adverse consequences of water pollution, highlight water resource protection as a local responsibility, and provide the resources needed to protect water resources.

Society & Natural Resources: An International Jour↗

Landsat: The cornerstone of global land imaging

Since 1972, the joint NASA/ U.S. Geological Survey Landsat series of Earth Observation satellites have provided an uninterrupted space-based data record of the Earth’s land surface to help advance scientific research towards the understanding of our planet and the environmental impact of its inhabitants. Early Landsat satellites offered a wealth of new data that improved mapping of remote areas and geologic features along with digital analysis of vegetation. The utility of Landsat’s spatial and spectral resolution has advanced its use for applications that benefit society such as global crop forecasting, forest monitoring, water use, carbon assessments, and the base for Google Maps. Landsat’s long-term data record provides an unrivaled resource for observing land cover and land-use change over a timescale of decades. The free and open Landsat data policy in 2008 was a paradigm shift for the world. Today, due to improved analytical and computing capabilities, the Landsat archive is poised to shift into a more real-time monitoring and understanding of the Earth.

GIM International↗

Connecticut and Landsat

Connecticut, the third-smallest State by land area, is the fourth most densely populated in the United States. Connecticut’s tightly packed cities serve as international hubs for the finance and insurance industries. These same urban enclaves host highly regarded institutions of higher learning, such as Yale, the University of Connecticut, and Quinnipiac and Wesleyan Universities. Yet Connecticut has surprisingly varied natural features. Its residents are never far from pristine environments that teem with wildlife and convey the sounds, scents, and scenery of the natural world. The Connecticut River, the longest in New England at 407 miles, cuts through the State’s center and drains into Long Island Sound, as do the Thames and Housatonic Rivers. Together, these rivers form an estuary spawning ground for hundreds of freshwater and saltwater aquatic species. North and east of the coastal lowlands that hug the estuary are the highlands of the Southern Taconic Range and the Berkshires. North and west of the coastline, smaller rivers and valleys weave through densely forested landscapes dotted with State parks and scenic lakes. Imagery from the U.S. Geological Survey Landsat archive, a trusted public resource with more than 50 years of worldwide Earth observations, provides a powerful tool for analyzing the interplay of human habitation and natural landscapes in Connecticut. Landsat data also offer land managers a critical information source for managing damage from invasive species and monitoring the local landscape effects of changing environmental conditions .

Connecticut↗

Stormwater-quality performance of line permeable pavement systems

Three permeable pavements were evaluated for their ability to improve the quality of stormwater runoff over a 22-month period in Madison, Wisconsin. Using a lined system with no internal water storage, permeable interlocking concrete pavers (PICP), pervious concrete (PC), and porous asphalt (PA) were able to significantly remove sediment and sediment-bound pollutant loads from runoff originating from an asphalt parking lot five times larger than the receiving permeable pavement area. Reductions in total suspended solids were similar for all three surfaces at approximately 60 percent. Clogging occurred after approximately one year, primarily due to winter sand application that led to high sediment load in spring runoff. Winter road salt application resulted in high chloride load that was initially attenuated in all three permeable pavements but later released during subsequent spring runoff events. Total phosphorus load was reduced by nearly 20 percent for PICP and PA, and 43 percent for PC. These values were likely tempered by the export of dissolved phosphorus observed in PICP and PA, but not PC. Average removal efficiencies for metals were 40, 42, and 49 percent in PA, PICP, and PC, respectively. A median pH of 10.2 in PC effluent could explain elevated removal efficiency of phosphorus and select metals in PC over PICP and PA (median = 7.5 and 7.8, respectfully) through enhanced precipitation. Elevated pH values in PC may also have led to higher removal efficiencies for select metals than PICP or PA. The environmental benefits as well as potential unintended consequences of stormwater practices like permeable pavement that utilize infiltration as a form of treatment warrant consideration in management of urban runoff.

Wisconsin↗

Fishes of Harney Basin revisited: An assessment of the distribution of native and nonnative fishes over a half century

The Harney Basin is Oregon's largest internally draining basin and contains a unique native fish assemblage. The first and only comprehensive study of the origin and distribution of Harney Basin fishes occurred in 1971. Here, we update this study and identify potential threats to the basin's native fishes a half century later. Our assessment documents that all species of native fishes are still present, and with some exceptions distributed as originally reported. The distinctive fish assemblages in each of the 3 major subbasins within the Harney Basin (Silvies River, Silver Creek, and Donner und Blitzen River) support the hypothesis that terminal lakes in the Harney Basin (Malheur, Mud, and Harney Lakes) act as dispersal barriers, at least for native species. More than half of the fish species in the basin at present are introduced, primarily inhabiting low-elevation sites. We suggest that native non-salmonid species cohabiting these sites face the most immediate threats from climate change, water demands, and impacts from introduced fishes. Overall, our results show that native fish are still relatively widespread across the Harney Basin, but also face increasing threats despite the basin having experienced less development than many other areas in the Pacific Northwest. Improved understanding of the unique fishes of the Harney Basin, along with more detailed assessments of likely future trajectories of environmental risks are proactive measures that could improve conservation outcomes.

Oregon↗

A not so sudden impact—Historical relations between conifers and insects can help predict damage by nonnative insects

The arrival and establishment of nonnative insects in North America is increasingly problematic. International trade has created opportunities to move wood products and nursery stock worldwide, which has increased the risk of insect introduction to regions or countries where they are not native. One group of researchers, the High-impact Insect Invasions Working Group (HIIWG), has developed a predictive model that can be used to estimate the likelihood that a newly arriving nonnative insect may significantly impact North American conifers. The HIIWG examined several traits and factors associated with nonnative insects feeding on conifers (a conifer specialist) already established in North America. Using these data, the HIIWG identified which combination of factors best predicted the risk that a conifer specialist would have a high impact. The researchers then developed a statistical model to predict the probability that a conifer specialist yet to arrive in North America would cause significant damage to conifers if the insect became established. Using three factors, the model calculates the odds of any particular conifer specialist having a high impact on a North American conifer in a range between 1 in 6.5 to 1 in 2,858. This model is a valuable tool to help identify invading insects with the potential to be the most damaging if the insect becomes established in North America. In addition, application of tools like this model can increase positive environmental outcomes for land managers by focusing their efforts on conifer populations that are deemed most vulnerable to extensive mortality

Fact Sheet↗

Comparison of methods to monitor the distribution and impacts of unauthorized travel routes in a border park

The distribution and abundance of human-caused disturbances vary greatly through space and time and are cause for concern among land stewards in natural areas of the southwestern border-lands between the USA and Mexico. Human migration and border protection along the international boundary create Unauthorized Trail and Road (UTR) networks across National Park Service lands and other natural areas. UTRs may cause soil erosion and compaction, damage to vegetation and cultural resources, and may stress wildlife or impede their movements. We quantify the density and severity of UTR disturbances in relation to soils, and compare the use of previously established targeted trail assessments (hereafter — targeted assessments) against randomly placed transects to detect trail densities at Coronado National Memorial in Arizona in 2011. While trail distributions were similar between methods, targeted assessments estimated a large portion of the park to have the lowest density category (0–5 trail encounters per/km 2 ), whereas the random transects in 2011 estimated more of the park as having the higher density categories (e.g., 15–20 encounters per km 2 category). Soil vulnerability categories that were assigned, a priori, based on published soil texture and composition did not accurately predict the impact of UTRs on soil, indicating that empirical methods may be better suited for identifying severity of compaction. While the estimates of UTR encounter frequencies were greater using the random transects than the targeted assessments for a relatively short period of time, it is difficult to determine whether this difference is dependent on greater cross-border activity, differences in technique, or from confounding environmental factors. Future surveys using standardized sampling techniques would increase accuracy.

Arizona↗

Draft comprehensive conservation plan and environmental impact statement-Rocky Mountain Arsenal National Wildlife Refuge

The Rocky Mountain Arsenal National Wildlife Refuge Complex, consisting of some of the newer properties in the National Wildlife Refuge System, is a work in progress. Offering unique assets to surrounding communities, these lands promise to become some of the premier urban wildlife refuges in the country. At the heart of the refuge complex is the Rocky Mountain Arsenal National Wildlife Refuge: 16,000 acres of shortgrass and mixed-grass prairie that is home to bison, bald eagles, migratory songbirds, prairie dogs, and much more—all within the Denver Metropolitan area. This comprehensive conservation plan will be the first in the country designed to begin implementing the Refuge System’s new Urban Refuge Initiative. To accomplish this, we analyzed a wide range of options on how best to support up to one million visitors per year without compromising our principal purposes to protect and preserve fish and wildlife and their habitats. We are fortunate to have inherited a great deal of infrastructure from the U.S. Army, but we are also constrained by the current condition and layout of these facilities. Some of this infrastructure may be acting as barriers to the public—a condition inconsistent with the purposes of the refuge. Accordingly, we have developed a goal to increase and improve suitable access to the refuge, develop sustainable transportation options, and provide more connections among the units of the refuge complex. This increased access will enable people from all walks of life to visit the refuge. The vision we have developed for the refuge complex calls for the restoration of the refuge’s historical habitats, and the reconnection of people with the natural lands of the refuge and of the region at large using a network consisting of multimodal trails, a far-reaching light-rail system, and the Denver International Airport. This refuge is well positioned to leverage and catalyze early investments to create world-class wildlife habitat and a conservation education facility in the heart of a rapidly growing urban metropolis. So positioned, the refuge represents the ideal intersection of nature and education to transmit the message of conservation, outdoor recreation, and stewardship to future generations. Toward this end, collaboration is essential to the refuge’s future success. We will continue to foster and improve our strong public and private partnerships in the surrounding communities. These partnerships will enable us to act quickly and effectively as we invest in education and outreach efforts to fulfill our potential as a conservation catalyst in neighboring communities, the larger Intermountain West, and the world.

Report↗

Estimation of gonad volume, fecundity, and reproductive stage of shovelnose sturgeon using sonography and endoscopy with application to the endangered pallid sturgeon

Most species of sturgeon are declining in the Mississippi River Basin of North America including pallid ( Scaphirhynchus albus F. and R.) and shovelnose sturgeons ( S. platorynchus R.). Understanding the reproductive cycle of sturgeon in the Mississippi River Basin is important in evaluating the status and viability of sturgeon populations. We used non-invasive, non-lethal methods for examining internal reproductive organs of shovelnose and pallid sturgeon. We used an ultrasound to measure egg diameter, fecundity, and gonad volume; endoscope was used to visually examine the gonad. We found the ultrasound to accurately measure the gonad volume, but it underestimated egg diameter by 52%. After correcting for the measurement error, the ultrasound accurately measured the gonad volume but it was higher than the true gonad volume for stages I and II. The ultrasound underestimated the fecundity of shovelnose sturgeon by 5%. The ultrasound fecundity was lower than the true fecundity for stage III and during August. Using the endoscope, we viewed seven different egg color categories. Using a model selection procedure, the presence of four egg categories correctly predicted the reproductive stage ± one reproductive stage of shovelnose sturgeon 95% of the time. For pallid sturgeon, the ultrasound overestimated the density of eggs by 49% and the endoscope was able to view eggs in 50% of the pallid sturgeon. Individually, the ultrasound and endoscope can be used to assess certain reproductive characteristics in sturgeon. The use of both methods at the same time can be complementary depending on the parameter measured. These methods can be used to track gonad characteristics, including measuring Gonadosomatic Index in individuals and/or populations through time, which can be very useful when associating gonad characteristics with environmental spawning triggers or with repeated examinations of individual fish throughout the reproductive cycle.

Journal of Applied Ichthyology↗

Foreword: Contributions of Arctic PRISM to monitoring western hemispheric shorebirds

Long-term monitoring of populations is of paramount importance to understanding responses of organisms to global environmental change and to evaluating whether conservation practices are yielding intended results through time (Wiens 2009). The population status of many shorebird species, the focus of this volume, remain poorly known. Long-distance migrant shorebirds have proven particularly difficult to monitor, in part because of their highly inaccessible regions. As migrant shorebirds travel the length of the hemisphere, the congregate and disperse in ways that vary among species, locations, and years, presenting serious challenges to designing and implementing monitoring programs. Rigorous field and quantitative methods that estimate population size and monitor trends are vitally needed to direct and evaluate effective conservation measures. Many management efforts depend on unbiased population size estimates; for examples, the shorebird conservation plans for both Canada and the United States seek to restore populations to levels calculated for the 1970s based on the best information available from existing surveys. Further, federal wildlife agencies within the United States and Canada have mandates to understand the state of their nations' resources under various conventions for the protection of migratory birds. Accurate estimates of population size are vital statistics for a variety of conservation activities, such as prioritizing species for conservation action and setting management targets. Areas of essential habitat, such as those designated under the Western Hemisphere Shorebird Reserve Network, the Important Bird Areas program of BirdLife Internationals and the National Audubon Society, or Canada's National Wildlife Areas program, are all evaluated on the basis of proportions of species' populations which they contain. The size, and trends in size, of a species' population are considered key information for assessing its vulnerability and subsequent listing under the U.S. Endangered Species Act and the Canadian Species at Risk Act. To meet the need for information on population size and trends, shorebird biologists from Canada and the United States proposed a shared blueprint for shorebird monitoring across the Western Hemisphere in the late 1990s; this effort was undertaken in concert with the development of the Canadian and the U.S. Shorebird Conservation Plans. Soon thereafter, partners in the monitoring effort adopted the name "Program for Regional and International Shorebird Monitoring" (PRISM). Among the primary objectives of PRISM were to estimate the population sizes and trends of breeding North American shorebirds and describe their distributions. PRISM members evaluated ongoing and potential monitoring approached to address 74 taxa (including subspecies) and proposed a combination of arctic and boreal breeding surveys, temperate breeding and non-breeding surveys, and neotropical surveys.

Studies in Avian Biology↗

Next generation of global land cover characterization, mapping, and monitoring

Land cover change is increasingly affecting the biophysics, biogeochemistry, and biogeography of the Earth's surface and the atmosphere, with far-reaching consequences to human well-being. However, our scientific understanding of the distribution and dynamics of land cover and land cover change (LCLCC) is limited. Previous global land cover assessments performed using coarse spatial resolution (300 m–1 km) satellite data did not provide enough thematic detail or change information for global change studies and for resource management. High resolution (∼30 m) land cover characterization and monitoring is needed that permits detection of land change at the scale of most human activity and offers the increased flexibility of environmental model parameterization needed for global change studies. However, there are a number of challenges to overcome before producing such data sets including unavailability of consistent global coverage of satellite data, sheer volume of data, unavailability of timely and accurate training and validation data, difficulties in preparing image mosaics, and high performance computing requirements. Integration of remote sensing and information technology is needed for process automation and high-performance computing needs. Recent developments in these areas have created an opportunity for operational high resolution land cover mapping, and monitoring of the world. Here, we report and discuss these advancements and opportunities in producing the next generations of global land cover characterization, mapping, and monitoring at 30-m spatial resolution primarily in the context of United States, Group on Earth Observations Global 30 m land cover initiative (UGLC).

International Journal of Applied Earth Observation↗

A workshop model simulating fate and effect of drilling muds and cuttings on benthic communities

Oil and gas exploration and production at marine sites has generated concern over potential environmental impacts resulting from the discharge of spent drilling muds and cuttings. This concern has led to a broad array of publicly and privately sponsored research. This report described a cooperative modeling effort designed to focus information resulting from this research through construction of explicit equations that simulate the potential impacts of discharge drilling fluids (muds) and cuttings on marine communities. The model is the result of collaboration among more than 30 scientists. The principal cooperating organizations were the E.S. Environmental Protection Agency, the U.S. Minerals Management Service, the Offshore Operators Committee, and the Alaska Oil and Gas Association. The overall simulation model can be conceptualized as three connected submodels: Discharge and Plume Fate, Sediment Redistribution, and Benthic Community Effects. On each day of simulation, these submodels are executed in sequence, with flows of information between submodels. The Benthic Community Effects submodel can be further divided into sections that calculate mortality due to burial, mortality due to toxicity, mortality due to resuspension disturbance, and growth of the community. The model represents a series of seven discrete 1-m 2 plots at specified distances along a transect in one direction away from a discharge point. It consists of coupled difference equations for which parameter values can easily be set to evaluate different conditions or to examine the sensitivity of output to various assumptions. Sets of parameter values were developed to represent four general cases or scenarios: (1) a shallow (5 m), cold environment with ice cover during a substantial fraction of the year, such as might be encountered in the Beaufort Sea, Alaska; (2) a shallow (20 m), temperate environment, such as might be encountered in the Gulf of Mexico; (3) a deeper (80 m), temperate environment, such as might be encountered in the Gulf of Mexico; and (4) a very deep (1,000 m) environment, such as might be encountered on the Atlantic slope. The focus of the modeling effort was on the connection of a reasonable representation of physical fate to the biological responses of populations, rather than on highly detailed representations of individual processes. For example, the calculations of physical fate are not as detailed as those in the recently published model of Brandsma et al. (1983). The value of the model described herein is in the broad scope of processes that are explicitly represented and linked together. The model cannot be considered to produce reliable predictions of the quantitative impacts of discharged drilling fluids and cuttings on biological populations at a particular site. Limitations of the model in predicting integrated fate and effects can be traced to three general areas: level of refinement of the algorithms used in the model; lack of understanding of the processes determining fate and effects; and parameter and data values. Despite the limitations, several qualitative conclusions concerning both potential impacts and the importance of various remaining data gaps can be drawn from the modeling effort. These include: (1) Simple, unequivocal conclusions about fate and effects across geographical regions and drilling operations are difficult, if not misleading, due to the large amount of variability in characteristics of discharged materials (e.g., oil content and toxicity), discharge conditions (e.g., duration of drilling operations), physical environments (e.g., water depth, current direction, and sediment disturbance regimes), and biological communities (e.g., intrinsic growth rates). Different combinations of these characteristics can result in substantial differences in simulated environmental fate and biological effects. For examples, simulated recovery in some high-energy environments occurs within months after the cessation of discharge operations, even at heavily impacted sites, whereas simulated recover in some low-energy environments takes years at heavily impacted sites. <2) Considerable difficulties remain in the reliable extrapolation of results from laboratory toxicity experiments to predictions of population effects in the field. (3) The volume of material discharged and duration of operations in the production drilling operations simulated by the model are sufficient to produce substantial simulated biological impacts at some plots, both in terms of differences from a control plot during the period of discharge operations, and in terms of the recovery period following the perturbations. Evaluation of the significance of potential effects involves the following factors: • Definition of a specific spatial and temporal reference frame (e.g., What is the natural variation? Is 1 year to be considered a "long" or "short" time? Is 50 m to be considered a "large" or "trivial" distance? • Consideration of rare or unique resources and particularly sensitive biotic assemblages. • Consideration of the potential for long term, cumulative effects. Some of these aspects are clearly beyond the scope of this modeling efforts (e.g., the model does not simulate the long term fate of resuspended material). The model does, however, contain an internal "reference frame" by comparison to simulated behavior at a control plot. The model, in general, simulates substantial "natural" variation at the reference or control plots, both over time, due to sediment disturbance events in medium to high energy environments, and over space, due to geographically varying conditions, such as water depth and current regime.

Report↗

Optimal exploitation strategies for an animal population in a stochastic serially correlated environment

Optimal exploitation strategies were studied for an animal population in a stochastic, serially correlated environment. This is a general case and encompasses a number of important cases as simplifications. Data on the mallard (Anas platyrhynchos) were used to explore the exploitation strategies and test several hypotheses because relatively much is known concerning the life history and general ecology of this species and extensive empirical data are available for analysis. The number of small ponds on the central breeding grounds was used as an index to the state of the environment. Desirable properties of an optimal exploitation strategy were defined. A mathematical model was formulated to provide a synthesis of the existing literature, estimates of parameters developed from an analysis of data, and hypotheses regarding the specific effect of exploitation on total survival. Both the literature and the analysis of data were inconclusive concerning the effect of exploitation on survival. Therefore, alternative hypotheses were formulated: (1) exploitation mortality represents a largely additive form of mortality, or (2 ) exploitation mortality is compensatory with other forms of mortality, at least to some threshold level. Models incorporating these two hypotheses were formulated as stochastic dynamic programming models and optimal exploitation strategies were derived numerically on a digital computer. Optimal exploitation strategies were found to exist under rather general conditions. Direct feedback control was an integral component in the optimal decision-making process. Optimal exploitation was found to be substantially different depending upon the hypothesis regarding the effect of exploitation on the population. Assuming that exploitation is largely an additive force of mortality, optimal exploitation decisions are a convex function of the size of the breeding population and a linear or slightly concave function of the environmental conditions. Optimal exploitation under this hypothesis tends to reduce the variance of the size of the population. Under the hypothesis of compensatory mortality forces, optimal exploitation decisions are approximately linearly related to the size of the breeding population. Environmental variables may be somewhat more important than the size of the breeding population to the production of young mallards. In contrast, the size of the breeding population appears to be more important in the exploitation process than is the state of the environment. The form of the exploitation strategy appears to be relatively insensitive to small changes in the production rate. In general, the relative importance of the size of the breeding population may decrease as fecundity increases. The optimal level of exploitation in year t must be based on the observed size of the population and the state of the environment in year t unless the dynamics of the population, the state of the environment, and the result of the exploitation decisions are completely deterministic. Exploitation based on an average harvest, harvest rate, or designed to maintain a constant breeding population size is inefficient.

Dissertation Abstracts International↗

Water quality and ecological risk assessment of intermittent streamflow through mining and urban areas of San Marcos River sub-basin, Mexico

Intermittent rivers are becoming more ecologically stressed worldwide. Flow cessation occurs naturally and spatiotemporally in these systems and anthropogenic activities such as wastewater discharges can have considerable impacts. Public entities mostly monitor water quality in permanent streams, leading to insufficient monitoring of intermittent streams and consequently to their potentially inadequate management.. This study analyzed spatiotemporal patterns of water quality and associated ecological risk through the quantification of physicochemical and microbiological pollutants in the intermittent river system of El Novillo and San Marcos in Northeast Mexico. Results showed that water quality varied geographically and seasonally. Based on national and international criteria, annual averages of water quality parameters analyzed suggested that streamflow in these river systems is of poor quality and poses high ecological risk to aquatic life. In the urban area, annual mean concentrations of Cd and Pb (0.14 and 0.4 mg/L) were 77- and 10-fold higher than their respective water quality criteria (<0.0018 and 0.04 mg/L). Statistically significant (q < 0.05) correlations were identified in concentrations of cyanide, Cd, Cu and Pb between wastewater seeping into the river and streamflow within the urban area. These observations highlight the unique sensitivity of intermittent urban streams to anthropogenic activities and may provide useful information to enhance current water management plans for the El Novillo-San Marcos River system for the protection of ecosystem integrity and human health.

El Novillo Canyon↗