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At least 541 records · Page 30Linked to original sources

Ground-water resources of the Clifton Park area, Saratoga County, New York

Ground water is the sole source of public water supply for Clifton Park, a growing suburban community north of Albany, New York. Increasing water demand, coupled with concerns over ground-water quantity and quality, led the Clifton Park Water Authority in 1995 to initiate a cooperative study with the U.S. Geological Survey to update and refine the understanding of ground-water resources in the area. Ground-water resources are largely associated with three aquifers in the eastern half of the area. These aquifers overlie or encompass the Colonie Channel, a north-south-oriented bedrock channel that is filled primarily with lacustrine glacial deposits. The three aquifers are: (1) an unconfined lacustrine sand aquifer, (2) the Colonie Channel aquifer, which is confined within the deepest parts of the channel and variably confined and unconfined within the shallower, peripheral channel areas, and (3) an unconfined alluvial aquifer beneath the Mohawk River flood plain, which represents the southern limit of the study area. The lacustrine sand aquifer has little potential for large-scale withdrawals because it is predominantly fine grained and is susceptible to contamination from human activities at land surface. Water from this aquifer can, however, recharge the underlying peripheral parts of the Colonie Channel aquifer where hydraulic connections are present. The Colonie Channel aquifer consists of thin sand and gravel and (or) shallow, fractured bedrock over much of the channel area; discontinuous deposits of thicker (more than 20 feet) sand and gravel are common in the peripheral channel areas. The deepest, or central, channel area of this aquifer is isolated from the overlying lacustrine sand aquifer by a continuous lacustrine silt and clay unit, which is the primary channel-fill deposit. The most productive areas of the Colonie Channel aquifer are typically the shallow peripheral areas, where conditions range from unconfined to confined. The most productive aquifer within the area is the alluvial aquifer, which is sustained to an unknown extent by induced infiltration of Mohawk River water. The chemical composition of ground water within the Clifton Park area varies widely in response to hydrogeologic setting, pumpage, and contamination from human activities. These chemical differences can be used to deduce ground-water flow paths within and between the unconfined and confined areas of the aquifer system. Six water types are defined; three are naturally occurring and three are the result of human activities. Precipitation that infiltrates the land surface is the sole source of recharge to the lacustrine sand aquifer; precipitation also recharges the alluvial aquifer and unconfined parts of the Colonie Channel aquifer. Ground-water withdrawals from confined or unconfined peripheral areas of the Colonie Channel aquifer induce flow from recharge areas, from the underlying bedrock, or from other confined aquifer areas. The rate of recharge to the confined central area of the Colonie Channel aquifer appears to be low. Potentiometric levels as much as 100 feet below water-table levels in the overlying lacustrine sand aquifer indicate two large depressions in the potentiometric surface; these depressions indicate that withdrawals from this aquifer have cumulatively exceeded the recharge rates. Localized recharge of the central channel area apparently occurs from two peripheral channel areas that are characterized by zones of elevated water levels and (or) by water chemistry that differs from those within the central channel area. Recharge from, or hydraulic connection with, adjoining segments of the Colonie Channel aquifer to the north and south is likely, but the potential for significant recharge is low because the aquifer is thin and poorly permeable.

New York↗

Fire and forests in the 21st century: Managing resilience under changing climates and fire regimes in USA forests

Higher temperatures, lower snowpacks, drought, and extended dry periods have contributed to increased wildfire activity in recent decades. Climate change is expected to increase the frequency of large fires, the cumulative area burned, and fire suppression costs and risks in many areas of the USA. Fire regimes are likely to change due to interactions among climate, fire, and other stressors and disturbances; resulting in persistent changes in forest structure and function. The remainder of the twenty-first century will present substantial challenges, as natural resource managers are faced with higher fire risk and the difficult task of maintaining ecological function in a rapidly changing biophysical and social landscape. Fuel treatments will continue to be important for minimizing the undesirable ecological effects of fire, and for enhancing firefighter safety; however, treatments must be implemented strategically across large areas. Collaboration among agencies, private landowners, and other organizations will be critical for ensuring resilience and sustainable forest management.

Book chapter↗

Home range, seasonality, and the importance of canopy cover for Texas Tortoises (Gopherus berlandieri)

Texas Tortoises ( Gopherus berlandieri ) are understudied compared to federally protected congeners. Despite important early studies on the basic ecology of G. berlandieri , quantitative identification of habitat associations with specific environmental conditions has been limited. Gopherus berlandieri inhabits Tamaulipan thornscrub across its range, and coastal populations are historically associated with low-relief clay ridges with thick mesquital scrub surrounded by salt prairie grasslands. Our study examined tortoise home range size and association with canopy cover and potential ground moisture at a protected natural area in Cameron County, TX, USA. Twelve tortoises were outfitted with GPS loggers that recorded location once an hour from March 2020 to March 2022. To delineate home ranges, we estimated utilization distributions (UDs) for tortoises as autocorrelated kernel density estimates (AKDEs) at low-use (95%) and core-use (50%) levels for each tortoise. UDs were estimated for the entire study period and during seasons of sustained heat or cold to determine if tortoises used space differently across these seasons over the study period. Applying a use-availability study design, we compared canopy cover and potential mesic ground condition (i.e., precipitation flow accumulation) within each tortoise's UD (“use”) to the area within 1 day's movement around the boundary of the UD (“available”). Tortoise UD sizes were significantly different across seasons for low-use (95%) but not for core-use (50%) AKDE levels. Tortoise UDs had greater canopy cover compared to available-but-unused areas at both AKDE levels. Potential mesic ground condition did not significantly differ between available and used areas. Our study revealed that tortoises vary the size of their home ranges throughout the year, whereas areas of intensive use or occupation tended to remain remarkably stable throughout the year. In seasons of extreme weather (hot or cold), tortoises seem to seek out areas of denser canopy cover that likely serve as thermal refugia. Based on our results, effective habitat identification may best be served by ensuring that canopy cover is at least equivalent to the values reported here to ensure sufficient refugia during extreme seasonal temperatures.

Texas↗

Method for estimating potential wetland extent by utilizing streamflow statistics and flood-inundation mapping techniques: Pilot study for land along the Wabash River near Terre Haute, Indiana

Potential wetland extents were estimated for a 14-mile reach of the Wabash River near Terre Haute, Indiana. This pilot study was completed by the U.S. Geological Survey in cooperation with the U.S. Department of Agriculture, Natural Resources Conservation Service (NRCS). The study showed that potential wetland extents can be estimated by analyzing streamflow statistics with the available streamgage data, calculating the approximate water-surface elevation along the river, and generating maps by use of flood-inundation mapping techniques. Planning successful restorations for Wetland Reserve Program (WRP) easements requires a determination of areas that show evidence of being in a zone prone to sustained or frequent flooding. Zone determinations of this type are used by WRP planners to define the actively inundated area and make decisions on restoration-practice installation. According to WRP planning guidelines, a site needs to show evidence of being in an "inundation zone" that is prone to sustained or frequent flooding for a period of 7 consecutive days at least once every 2 years on average in order to meet the planning criteria for determining a wetland for a restoration in agricultural land. By calculating the annual highest 7-consecutive-day mean discharge with a 2-year recurrence interval (7MQ2) at a streamgage on the basis of available streamflow data, one can determine the water-surface elevation corresponding to the calculated flow that defines the estimated inundation zone along the river. By using the estimated water-surface elevation ("inundation elevation") along the river, an approximate extent of potential wetland for a restoration in agricultural land can be mapped. As part of the pilot study, a set of maps representing the estimated potential wetland extents was generated in a geographic information system (GIS) application by combining (1) a digital water-surface plane representing the surface of inundation elevation that sloped in the downstream direction of flow and (2) land-surface elevation data. These map products from the pilot study will aid the NRCS and its partners with the onsite inundation-zone verification in agricultural land for a potential restoration and will assist in determining at what elevation to plant hardwood trees for increased survivability on ground above frequently flooded terraces.

Indiana↗

Temporal variation in development of ecosystem services from oyster reef restoration

Restoration ecology relies heavily on ecosystem development theories that generally assume development of fully functioning natural systems over time, but often fail to identify the time-frame required for provision of desired functions, or acknowledge different pathways of functional development. In estuaries, a decline of overall habitat quality and functioning has led to significant efforts to restore critical ecosystem services, recently through the creation and restoration of oyster reefs. Oyster reef restoration generally occurs with goals of (1) increasing water quality via filtration through sustainable oyster recruitment, (2) stabilizing shorelines, and (3) creating and enhancing critical estuarine habitat for fish and invertebrates. We restored over 260 m 2 of oyster reef habitat in coastal Louisiana and followed the development and provision of these ecosystem services from 2009 through 2012. Oysters recruited to reefs immediately, with densities of oysters greater than 75 mm exceeding 80 ind m −2 after 3 years, and provision of filtration rates of 1002 ± 187 L h −1 m −2 ; shoreline stabilization effects of the created reefs were minimal over the three years of monitoring, with some evidence of positive shoreline stabilization during higher wind/energy events only; increased nekton abundance of resident, but not larger transient fish was immediately measurable at the reefs, however, this failed to increase through time. Our results provide critical insights into the development trajectories of ecosystem services provided by restored oyster reefs, as well as the mechanisms mediating these changes. This is critical both ecologically to understand how and where a reef thrives, and for policy and management to guide decision-making related to oyster reef restoration and the crediting and accounting of ecosystem services.

Louisiana↗

Progress and lessons learned from water-quality monitoring networks

Stream-quality monitoring networks in the United States were initiated and expanded after passage of successive federal water-pollution control laws from 1948 to 1972. The first networks addressed information gaps on the extent and severity of stream pollution and served as early warning systems for spills. From 1965 to 1972, monitoring networks expanded to evaluate compliance with stream standards, track emerging issues, and assess water-quality status and trends. After 1972, concerns arose regarding the ability of monitoring networks to determine if water quality was getting better or worse and why. As a result, monitoring networks adopted a hydrologic systems approach targeted to key water-quality issues, accounted for human and natural factors affecting water quality, innovated new statistical methods, and introduced geographic information systems and models that predict water quality at unmeasured locations. Despite improvements, national-scale monitoring networks have declined over time. Only about 1%, or 217, of more than 36,000 US Geological Survey monitoring sites sampled from 1975 to 2014 have been operated throughout the four decades since passage of the 1972 Clean Water Act. Efforts to sustain monitoring networks are important because these networks have collected information crucial to the description of water-quality trends over time and are providing information against which to evaluate future trends.

Chemistry and Water↗

The human dimension of fire regimes on Earth

Humans and their ancestors are unique in being a fire‐making species, but ‘natural’ (i.e. independent of humans) fires have an ancient, geological history on Earth. Natural fires have influenced biological evolution and global biogeochemical cycles, making fire integral to the functioning of some biomes. Globally, debate rages about the impact on ecosystems of prehistoric human‐set fires, with views ranging from catastrophic to negligible. Understanding of the diversity of human fire regimes on Earth in the past, present and future remains rudimentary. It remains uncertain how humans have caused a departure from ‘natural’ background levels that vary with climate change. Available evidence shows that modern humans can increase or decrease background levels of natural fire activity by clearing forests, promoting grazing, dispersing plants, altering ignition patterns and actively suppressing fires, thereby causing substantial ecosystem changes and loss of biodiversity. Some of these contemporary fire regimes cause substantial economic disruptions owing to the destruction of infrastructure, degradation of ecosystem services, loss of life, and smoke‐related health effects. These episodic disasters help frame negative public attitudes towards landscape fires, despite the need for burning to sustain some ecosystems. Greenhouse gas‐induced warming and changes in the hydrological cycle may increase the occurrence of large, severe fires, with potentially significant feedbacks to the Earth system. Improved understanding of human fire regimes demands: (1) better data on past and current human influences on fire regimes to enable global comparative analyses, (2) a greater understanding of different cultural traditions of landscape burning and their positive and negative social, economic and ecological effects, and (3) more realistic representations of anthropogenic fire in global vegetation and climate change models. We provide an historical framework to promote understanding of the development and diversification of fire regimes, covering the pre‐human period, human domestication of fire, and the subsequent transition from subsistence agriculture to industrial economies. All of these phases still occur on Earth, providing opportunities for comparative research.

Journal of Biogeography↗

Aquatic fulvic acids in microbially based ecosystems: results from two desert lakes in Antarctica

These lakes receive very limited input of organic material from the surrounding barren desert, but they sustain algal and bacterial populations under permanent ice cover. One lake has an extensive anoxic zone and high salinities; the other is oxic and has low salinities. Despite these differences, fulvic acids from both lakes had similar elemental compositions, carbon distributions, and amino acid contents, indicating that the chemistry of microbially derived fulvic acvids is not strongly influenced by chemical conditions in the water column. Compared to fulvic acids from other natural waters, these fulvic acids have low C:N atomic ratios (19-25) and low contents of aromatic carbons (5-7% of total carbon atoms); they are most similar to marine fulvic acids. -from Authors

Limnology and Oceanography↗

Earthquake shaking and damage to buildings

Ground shaking close to the causative fault of an earthquake is more intense than it was previously believed to be. This raises the possibility that large numbers of buildings and other structures are not sufficiently resistant for the intense levels of shaking that can occur close to the fault. Many structures were built before earthquake codes were adopted; others were built according to codes formulated when less was known about the intensity of near-fault shaking. Although many building types are more resistant than conventional design analyses imply, the margin of safety is difficult to quantify. Many modern structures, such as freeways, have not been subjected to and tested by near-fault shaking in major earthquakes (magnitude 7 or greater). Damage patterns in recent moderate-sized earthquakes occurring in or adjacent to urbanized areas, however, indicate that many structures, including some modern ones designed to meet earthquake code requirements, cannot withstand the severe shaking that can occur close to a fault. It is necessary to review the ground motion assumed and the methods utilized in the design of important existing structures and, if necessary, to strengthen or modify the use of structures that are found to be weak. New structures situated close to active faults should be designed on the basis of ground motion estimates greater than those used in the past. The ultimate balance between risk of earthquake losses and cost for both remedial strengthening and improved earthquake-resistant construction must be decided by the public. Scientists and engineers must inform the public about earthquake shaking and its effect on structures. The exposure to damage from seismic shaking is steadily increasing because of continuing urbanization and the increasing complexity of lifeline systems, such as power, water, transportation, and communication systems. In the near future we should expect additional painful examples of the damage potential of moderate-sized earthquakes in urban areas. Over a longer time span, however, we can significantly reduce the risk to life and property from seismic shaking through better land utilization, improved building codes and construction practices, and at least the gradual replacement of poor buildings by more resistant buildings. Progress toward reducing risk from seismic shaking through better building design is slowed by deficiencies in our knowledge about the nature of damaging ground motion and the failure mechanisms in structures. For example, lacking observational data, seismologists must rely on simplified theoretical and numerical models of the earthquake process to estimate near-fault ground motion, especially for earthquakes as large as magnitude 7 and 8. Because such models have not been adequately tested against data, their reliability is unknown. Engineers lack detailed information about failure processes in structures during an earthquake. Although many structures have been instrumented to measure their response to an earthquake, few records have been obtained from buildings that actually sustained significant structural damage and few structures are properly instrumented to measure all the modes of deformation that are likely to contribute to failure. Moreover, the fact that many structures have withstood ground motion more intense than that assumed in their design indicates that conventional methods of design do not take into account important contributions to earthquake resistance by nonstructural elements and by the ability of structural elements to deform inelastically without necessarily causing failure of the structure. It is fortunate when such reserve resistance exists, but better understanding of the sources of reserve strength is needed to determine how large a margin of safety they confer and how they might be affected by changes in construction practices and materials with time. In the next few years we look forward to significant advances in knowledge and to more effective application of what is already known, largely because of substantial funding of research related to seismic engineering by the National Science Foundation . The increasing number of strong-motion seismographs operating in seismically active regions will likely provide for the first time a number of records of damaging levels of ground motion. Significant effort is being directed toward obtaining near-fault records, although many probable sites of future large earthquakes remain inadequately instrumented, especially outside the conterminous United States. New and more complete information on building response and damage mechanisms will be obtained by improved instrumentation of structures and through laboratory investigations of failure in structures and structural elements. Further developments in computer technology and in computer modeling techniques will permit more realistic simulations of the seismic response of soils and structures that take into account their inelastic behavior and their strain-dependent properties. Earthquake design codes will continually be revised to better utilize existing knowledge concerning the nature of strong ground motion and the dynamic behavior of buildings during earthquakes and to incorporate new knowledge and also experiences gained from future earthquakes. We believe that application of new knowledge, improvements in earthquake-resistant design and construction, and remedial strengthening or replacement of weak existing structures can significantly reduce our current level of exposure to earthquake hazards.

Science↗

Identifying sustainable winter habitat for whooping cranes

The only self-sustaining population of endangered whooping cranes ( Grus americana ) requires a network of conservation lands for wintering along the Texas Gulf Coast (USA), so that this increasing population can reach downlisting under the Endangered Species Act (1,000 birds). We identify locations providing the highest quality and most sustainable wintering habitat for these whooping cranes through 2100 by predicting future habitats under three projections of sea level rise (0.6, 1.0 and 2.0 m by 2100), while incorporating two scenarios of future urban development. Our method combines predictions of future habitat quality with current whooping crane density estimates to calculate the potential carrying capacity of whooping cranes for each 10 m pixel within this 17,725 km 2 area. We found whooping cranes used locations with salt marsh at twice the rate of places lacking marsh. Areas > 15 km from development or < 2 km from estuarine water had increased crane use. Predicted area of salt marsh habitat oscillated across time given different rates of sea level rise. One urbanization scenario predicted 3% and the other 1% of the area converting to development by 2100. We estimated the study area can support 4414 (95% CI: 4096-4789) whooping cranes currently, 4795 (95% CI: 4402-5269) with 0.6 m sea level rise, 3559 (95% CI: 3352-3791) with 1 m sea level rise, and 2480 (95% CI: 2375-2592) with 2 m sea level rise by 2100, under the more aggressive urban development scenario. By anticipating climate-induced habitat loss with species population expansion we provide the requisite spatial information for conservation planners to build a sustainable conservation estate for downlisting whooping cranes. By coupling wildlife biology with conservation planning and on-the-ground implementation, our work exemplifies a proactive approach to recover endangered species.

Texas↗

PDCD-DAT: A global database of pyroclastic density current deposit field data

Pyroclastic density currents represent one of the deadliest hazards posed by active volcanoes. Analysis of their deposits provides valuable insights into their internal dynamics and informs numerical simulations of pyroclastic density currents which underpin many volcanic hazard assessments. We present PDCD-DAT, a global database of pyroclastic density current deposit characteristics compiled from peer-reviewed literature. The database includes both quantitative datasets (e.g., grain size, density, bedform dimensions, thickness) and qualitative descriptors (e.g., sedimentary structures, lithofacies). PDCD-DAT includes data from 85 source publications, covering 97 eruptions or eruptive phases, and 214 individual depositional units from 55 globally distributed volcanoes. Eruptions recorded in the database range from VEI 1–8. We highlight examples of potential applications of the database, which include (i) comparison of single deposit case studies to global datasets, (ii) informing input parameters and conditions for numerical and analogue models of pyroclastic density currents, (iii) validation of numerical and analogue models against a wide variety of natural case study deposit architectures, and (iv) estimating hazard impact metrics of pyroclastic density currents from past eruptions. We show that the database represents a useful tool for improving our ability to model pyroclastic density currents, predict their associated hazards, and understand the relationships between the internal dynamics of pyroclastic density currents and the properties of their deposits. PDCD-DAT is integrated with the FlowDat Mass Flow Database, which provides a sustainable platform for the database. We aim for PDCD-DAT to be expanded in the future through addition of pyroclastic density current deposit datasets from new field studies conducted by the volcanology research community.

Journal of Applied Volcanology↗

The needs of salmon and steelhead in balancing their conservation and use

Over the past 100 years, Pacific salmon Oncorhynchus spp. and steelhead trout O. mykiss populations in the Pacific Northwest have experienced dramatic declines as a result of human population growth and associated development of the region's natural resources. Any strategy to reverse those declines will depend on achieving consensus among a diverse group of stakeholders willing to (1) restore damaged habitats and watersheds; (2) consider the biological needs of salmonid fishes; and (3) understand, conserve, and manage existing levels of biodiversity within an ecosystem context. The objective of this chapter is to review and summarize the needs of Pacific salmon and steelhead trout from perspectives that promote their sustainability and perpetuity, and, within that context, provide a framework, for the development of a sustainable fisheries strategy. Although volumes of information are available on the life histories and habitat requirements of Pacific salmonids, new concepts have begun to address the importance of habitat complexity, genetic diversity among locally adapted populations, and the need for appropriate units of conservation. Habitat variability and complexity are the templates that produce diverse, locally adapted populations of Pacific salmon and steelhead trout. Molded by conditions in the environments they colonized, salmon and steelhead have unique adaptations they may have taken hundred i?? perhaps thousands i?? of years to evolve. Any strategy to reverse the declines of salmon and steelhead must focus on conserving both current levels of genetic diversity as well as restoration and maintenance of habitats compatible with the specific needs of individual populations. An argument can be made that we know enough already about the needs of our salmon and steelhead to allow us to make appropriate decisions. There is strong need to integrate what we know about local salmonid adaptations and habitat needs with conservation and management strategies that address the problems we have created. It may be possible to have healthy, sustainable salmonid populations coastwide if we do not wait too long to make up our minds.

Book chapter↗

Mapping cropland fallow areas in myanmar to scale up sustainable intensification of pulse crops in the farming system

Cropland fallows are the next best-bet for intensification and extensification, leading to increased food production and adding to the nutritional basket. The agronomical suitability of these lands can decide the extent of usage of these lands. Myanmar’s agricultural land (over 13.8 Mha) has the potential to expand by another 50% into additional fallow areas. These areas may be used to grow short-duration pulses, which are economically important and nutritionally rich, and constitute the diets of millions of people as well as provide an important source of livestock feed throughout Asia. Intensifying rice fallows will not only improve the productivity of the land but also increase the income of the smallholder farmers. The enhanced cultivation of pulses will help improve nutritional security in Myanmar and also help conserve natural resources and reduce environmental degradation. The objectives of this study was to use remote sensing methods to identify croplands in Myanmar and cropland fallow areas in two important agro-ecological regions, delta and coastal region and the dry zone. The study used moderate-resolution imaging spectroradiometer (MODIS) 250-m, 16-day normalized difference vegetation index (NDVI) maximum value composite (MVC), and land surface water index (LSWI) for one 1 year (1 June 2012–31 May 2013) along with seasonal field-plot level information and spectral matching techniques to derive croplands versus cropland fallows for each of the three seasons: the monsoon period between June and October; winter period between November and February; and summer period between March and May. The study showed that Myanmar had total net cropland area (TNCA) of 13.8 Mha. Cropland fallows during the monsoon season account for a meagre 2.4% of TNCA. However, in the winter season, 56.5% of TNCA (or 7.8 Mha) were classified as cropland fallows and during the summer season, 82.7% of TNCA (11.4 Mha) were cropland fallows. The producer’s accuracy of the cropland fallow class varied between 92 and 98% (errors of omission of 2 to 8%) and user’s accuracy varied between 82 and 92% (errors of commission of 8 to 18%) for winter and summer, respectively. Overall, the study estimated 19.2 Mha cropland fallows from the two major seasons (winter and summer). Out of this, 10.08 Mha has sufficient moisture (either from rainfall or stored soil water content) to grow short-season pulse crops. This potential with an estimated income of US\$ 300 per hectare, if exploited sustainably, is estimated to bring an additional net income of about US\$ 1.5 billion to Myanmar per year if at least half (5.04 Mha) of the total cropland fallows (10.08 Mha) is covered with short season pulses.

GIScience and Remote Sensing↗

Growing pains of crowdsourced stream stage monitoring using mobile phones: The development of CrowdHydrology

Citizen science-based approaches to monitor the natural environment tend to be bimodal in maturity. Older and established programs such as the Audubon’s Christmas bird count and Community Collaborative Rain, Hail, and Snow Network (CoCoRaHS) have thousands of participants across decades of observations, while less mature citizen science projects have shorter lifespans often focused on local or regional observations with tens or hundreds of participants. For the latter, it can be difficult to transition into a more mature and sustainable citizen science-based research program. This paper focuses on this transition by evaluating CrowdHydrology (ca. 2010), a citizen science project that has transitioned from a regional to national network. It evaluates the data accuracy, citizen participation, and station popularity. The CrowdHydrology network asks citizens to send in text messages of water levels in streams and lakes, which has resulted in 16,294 observations submitted by over 8,000 unique participants at 120 unique locations. Using water level data and participation records from CrowdHydrology, we analyze the expansion and citizen participation from a regional to national citizen science network. We identify barriers to participation and evaluate why some citizen science observation stations are popular while others are not. We explore our chosen contributory program model for CrowdHydrology and the influence this model has had on long-term participation. Results demonstrate a highly variable rate of contributions of citizen scientists. This paper proposes hypotheses on why many of our observations are from one-time participants and why some monitoring stations are more popular than others. Finally, we address the future expansion of the CrowdHydrology network by evaluating successful monitoring locations and growing interest of watershed groups to expand the network of gauges.

Frontiers in Earth Science↗

The availability of ground water for irrigation in the Rice Lake-Eau Claire Area, Wisconsin

An abundance of ground water of excellent chemical quality for irrigating crops is available from glacial outwash sand and gravel and from the underlying sandstones in the Rice Lake-Eau Claire area. Thick deposits of glacial outwash sand and gravel in the valleys of the Red Cedar and lower Chippewa Rivers yield more than 1,000 gallons per minute (63 lit res per second) to many wells. Large tracts of irrigable soils, delineated in two subareas (Rice Lake and Cameron) in Barron County and one subarea (Menomonie) in Dunn County, lie within the outwash plains where ground water is available in large quantities. Yields are especially large in the Rice Lake and Cameron subareas where the sand and gravel is highly permeable and the thickness of saturated aquifer exceeds 250 feet (75 metres). Yields generally are less than 1,000 gallons per minute (63 litres per second) in the Menomonie subarea where large amounts of clay locally reduce the permeability of the aquifer and the thickness of saturated aquifer is less than 200 feet (60 metres). Adequate water for irrigation is available also from sandstone underlying the glacial outwash plains. Because the two aquifers generally are connected hydraulically, wells penetrating the sandstone also withdraw water indirectly from the glacial drift. Most irrigation wells in Barron County withdraw water from glacial outwash; more than half the irrigation wells in Dunn County withdraw water from sandstone. In most years, recharge to the ground-water reservoir is 6 to 8 inches (150 to 200 millimetres), which is more than ample to sustain pumping for irrigation without lowering the water table significantly. Ground water in the area is a calcium bicarbonate water that ranges in dissolved-solids concentration from 35 to 330 milligrams per litre. Concentrations of sodium and' boron are very low.

Wisconsin↗

Monitoring active volcanoes

One of the most spectacular, awesomely beautiful, and at times destructive displays of natural energy is an erupting volcano, belching fume and ash thousands of meters into the atmosphere and pouring out red-hot molten lava in fountains and streams. Countless eruptions in the geologic past have produced volcanic rocks that form much of the Earth's present surface. The gradual disintegration and weathering of these rocks have yielded some of the richest farmlands in the world, and these fertile soils play a significant role in sustaining our large and growing population. Were it not for volcanic activity, the Hawaiian Islands with their sugar cane and pineapple fields and magnificent landscapes and seascapes would not exist to support their residents and to charm their visitors. Yet, the actual eruptive processes are catastrophic and can claim life and property.

General Information Product↗

U.S. Geological Survey—Energy and wildlife research annual report for 2017

Introduction Terrestrial and aquatic ecosystems provide valuable services to humans and are a source of clean water, energy, raw materials, and productive soils. The Nation’s food supply is more secure because of wildlife. For example, native pollinators enhance agricultural crops, and insect-eating bats provide pest control services worth billions of dollars to farmers annually. Fish and wildlife are also vital to a vibrant outdoor recreation and tourism industry. Recreational activities, such as hunting, shooting, boating, and angling, generated \$1.1 billion in excise taxes paid to State wildlife agencies in 2017. National parks, wildlife refuges, and monuments accounted for $35 billion in economic output and 318,000 jobs nationwide in 2016. Additional economic benefits are generated from the use and enjoyment of wildlife in State-owned lands and waters. Although the United States is rich in natural resources, human activity continues to place new pressures on fish and wildlife and the habitats they rely on. The United States became the world’s top producer of petroleum and natural gas products in 2012, surpassing Russia’s natural gas production levels in 2009 and Saudi Arabia’s petroleum production in 2013. The U.S. Energy Information Administration projects that the demand for liquid fuel, natural gas, and renewable energy will show strong growth in the next 20 years. Wind energy has demonstrated consistent growth since 2007 with now more than 53,000 wind turbines contributing to power grids in 41 States, Guam, and Puerto Rico. Solar energy has seen rapid growth since 2013 and made up nearly one-third of the total electricity generation additions in 2016. Yet as our Nation works to advance energy security and sustain wildlife, some conflicts have surfaced. Impacts of an expanding energy infrastructure include fragmentation and loss of habitat as well as mortality of birds, bats, fish, and other animals from interactions with energy generation facilities. Because energy development can often occur in wildlife habitats, ecological science can help guide project siting and operational decisions to areas that present the lowest risk to wildlife and energy developers. To address these challenges and make the most of new opportunities, the U.S. Geological Survey is producing innovative science to develop workable solutions that can help sustain wildlife and the habitat they rely upon, while allowing informed development.

Circular↗

Conservation of Mexican wetlands: role of the North American Wetlands Conservation Act

Mexico's wetlands support a tremendous biological diversity and provide significant natural resource benefits to local communities. Because they are also critical stopover and wintering grounds for much of North America's waterfowl and other migratory birds, Mexico has become an important participant in continental efforts to conserve these resources through the North American Wetlands Conservation Act. Funding from the Act has supported partnerships in a number of Mexico's priority wetlands to conduct data analyses and dissemination, mapping, environmental education, wetland restoration, development of sustainable economic alternatives for local people, and reserve planning and management. These partnerships, with the close involvement of Mexico's Federal Government authority, the Instituto Nacional de Ecologia, have advanced conservation in a uniquely Mexican model that differs from that employed in the United States and Canada.

Wildlife Society Bulletin↗