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At least 541 records · Page 30Linked to original sources

Efficacy of otoliths and first dorsal spines for preliminary age and growth determination in Atlantic Tripletails

The Atlantic Tripletail Lobotes surinamensis is a popular sport fish for which age and growth data are scarce in general and nonexistent for Georgia (GA), USA, waters. These data are necessary to ensure that management regulations are adequate to protect this species, especially given its popularity as a sport fish. We evaluated whether otoliths and spines were suitable for determining the estimated age (hereafter, “age”) and growth rates of Atlantic Tripletails, and we ascertained whether one method was more accurate than the other. Atlantic Tripletails were sampled by angling and trawling during March 30–August 10, 2009, and March 14–August 6, 2010, in nearshore GA waters of the Atlantic Ocean. During the study, 243 Atlantic Tripletails were captured and sampled for aging structures. Sagittal otoliths and the first dorsal spine were removed from each fish and used to estimate the age and growth rate. Mean differences in TL at age for spine and otolith data were evaluated with ANOVA. Estimated ages for males and females ranged from 1 to 5 years based on otoliths and spines. Both otolith and spine mean TLs at ages 1 and 2 were significantly different from each other as well as all other age‐classes, whereas mean TLs for ages 3–5 were not significantly different. Differences in Atlantic Tripletail TL among the otolith‐ and spine‐derived age‐classes were not significant. Each method used to age Atlantic Tripletails had advantages and disadvantages. Otoliths had higher initial reader agreement than spines, although agreement between the structures was 84.1%. However, otoliths require sacrifice of the fish, whereas a spine can be taken without sacrificing the fish. The lack of concrete life history data and population estimates suggests that when feasible, nonlethal aging methods would be preferred over lethal methods to ensure the survival of Atlantic Tripletail populations.

Georgia↗

National Assessment of Shoreline Change; historical shoreline change along the New England and Mid-Atlantic coasts

Beach erosion is a chronic problem along many open-ocean shores of the United States. As coastal populations continue to grow and community infrastructures are threatened by erosion, there is increased demand for accurate information regarding past and present trends and rates of shoreline movement. There is also a need for a comprehensive analysis of shoreline movement that is consistent from one coastal region to another. To meet these national needs, the U.S. Geological Survey (USGS) is conducting an analysis of historical shoreline changes along open-ocean sandy shores of the conterminous United States and parts of Hawaii, Alaska, and the Great Lakes. One purpose of this work is to develop standard, repeatable methods for mapping and analyzing shoreline movement so that periodic, systematic, internally consistent updates regarding coastal erosion and land loss can be made nationally. In the case of this study, the shoreline is the interpreted boundary between the ocean water surface and the sandy beach. This report on the New England and Mid-Atlantic coasts is the fifth in a series of reports on historical shoreline change. Previous investigations include analyses and descriptive reports of the Gulf of Mexico, the Southeast Atlantic, and, for California, the sandy shoreline and the coastal cliffs. The rates of change presented in this report represent conditions up to the date of the most recent shoreline data and therefore are not intended for predicting future shoreline positions or rates of change. Because of the geomorphology of the New England and Mid-Atlantic (rocky coastlines, large embayments and beaches) as well as data gaps in some areas, this report presents beach erosion rates for 78 percent of the 1,360 kilometers of the New England and Mid-Atlantic coasts. The New England and Mid-Atlantic shores were subdivided into a total of 10 analysis regions for the purpose of reporting regional trends in shoreline change rates. The average rate of long-term shoreline change for the New England and Mid-Atlantic coasts was -0.5 meters per year with an uncertainty in the long-term trend of plus or minus 0.09 meters per year. The rate is based on shoreline change rates averaged from 21,184 individual transects, of which 68 percent were eroding. In both the long and short term, the average rates of shoreline change for New England and the Mid-Atlantic were erosional. Long-term erosion rates were generally lower in New England than in the Mid-Atlantic. This is a function of the dominant coastal geomorphology; New England has a greater percentage of shore types that tend to erode more slowly (rocky coasts, pocket beaches, and mainland beaches), whereas the Mid-Atlantic is dominated by more vulnerable barrier islands and dynamic spit/inlet environments. However, the percentage of coastline eroding was higher in New England than in the Mid-Atlantic, highlighting that although rates of shoreline erosion may not be extreme, coastal erosion is still widespread along this region of the U.S. coastline. The average rate of short-term shoreline change for the New England and Mid-Atlantic coasts was also erosional but the rate of erosion decreased in comparison to long-term rates. The net short-term rate as averaged along 17,045 transects was -0.3 meters per year. Uncertainties for these rates range from 0.06 to 0.1 meters per year depending on the data sources used in the rate calculations. Of transects used to measure short-term change, 60 percent were erosional, as compared to 65 percent of coast eroding in the long term. The slight decrease (5 percent) in the amount of coastline eroding may be related to an increase in the frequency and extent of nourishment programs and (or) the effects of hardened structures during the more recent time period. The most stable (lower rates of erosion) beaches were more commonly found in New England. Despite an overall lowering of the average rates of erosion from long-term to short-term, the amount

Open-File Report↗

Modeling surface wave dynamics in upper Delaware Bay with living shorelines

Living shorelines gain increasing attention because they stabilize shorelines and reduce erosion. This study leverages physics-based models and bagged regression tree (BRT) machine learning algorithm to simulate wave dynamics at a living shoreline composed of constructed oyster reefs (CORs) in upper Delaware Bay. The physics-based models consist of coupled Delft3D-FLOW and SWAN in four-level nested domains. The model accuracy converges with increasing mesh resolution. The simulated wave-induced current circulation substantiates the effectiveness of CORs in trapping sediments. The simulated yearly-averaged wave power correlates qualitatively with historical shoreline retreat rates. BRT is adopted to improve the model accuracy, identify key processes responsible for simulation errors in wave height ( H 8 ) and wave period ( T p ), and quantify their importance. In the CORs sheltered area, BRT reveals that simulation errors of wind seas mainly arise from wind forcing, wave breaking and wave triad interactions. Wave breaking is seven times more important than wind forcing for simulating H 8 , while wind forcing and triad interactions are of equal importance for simulating T p . Simulation errors of swells mostly stem from bottom friction and offshore wave boundary conditions. Results from this study can help the assessment and adaptive management of CORs-based living shoreline restoration projects under climate change.

New Jersey↗

Sediment transport in the presence of large reef bottom roughness

The presence of large bottom roughness, such as that formed by benthic organisms on coral reef flats, has important implications for the size, concentration, and transport of suspended sediment in coastal environments. A 3 week field study was conducted in approximately 1.5 m water depth on the reef flat at Ningaloo Reef, Western Australia, to quantify the cross-reef hydrodynamics and suspended sediment dynamics over the large bottom roughness (∼20–40 cm) at the site. A logarithmic mean current profile consistently developed above the height of the roughness; however, the flow was substantially reduced below the height of the roughness (canopy region). Shear velocities inferred from the logarithmic profile and Reynolds stresses measured at the top of the roughness, which are traditionally used in predictive sediment transport formulations, were similar but much larger than that required to suspend the relatively coarse sediment present at the bed. Importantly, these stresses did not represent the stresses imparted on the sediment measured in suspension and are therefore not relevant to the description of suspended sediment transport in systems with large bottom roughness. Estimates of the bed shear stresses that accounted for the reduced near-bed flow in the presence of large roughness vastly improved the relationship between the predicted and observed grain sizes that were in suspension. Thus, the impact of roughness, not only on the overlying flow but also on bed stresses, must be accounted for to accurately estimate suspended sediment transport in regions with large bottom roughness, a common feature of many shallow coastal ecosystems.

Journal of Geophysical Research C: Oceans↗

A geochemical hypothesis for dolomitization by ground water

Most modern disordered dolomite has been found in dynamic environments. However, solutions associated with modern dolomite formation do not have a common Mg/Ca ratio; the ratio ranges from about 3 to 100. Ground-water circulation may have a significant role in formation of regional dolomites; one of the primary requirements for regional dolomite formation is a large supply of magnesium ions. An X-ray study of well cuttings from the Tertiary limestone aquifer of central Florida indicates that it is composed primarily of calcite and dolomite with minor amounts of quartz and apatite. The magnesium content of the calcite is slightly lower (0-2 percent MgC03) in the recharge areas than in the deeper confined parts of the aquifer system (2-4 percent MgC03). Our data support other recent work and indicate an equilibrium constant for dolomite of 2 X 10-17. Inasmuch as this value is exactly the square of the calcite equilibrium constant (10~8-35), the Mg/Ca ratio must be unity for the three-phase equilibrium, calcite-dolomite-water. The Mg/Ca ratio in water from the aquifer is as low as 0.05 in the recharge area where the water is also undersaturated with respect to both calcite and dolomite. With time and length of travel path in the system, the water increases systematically in Mg/Ca ratio, which approaches unity; saturation with respect to the two carbonates also increases downgradient until the solution apparently becomes over-saturated with respect to both carbonates. In Tertiary limestones of the Yucatan Peninsula, the Mg/Ca range in water is similar to that for Florida. The small amount of magnesium available from the solution of magnesium calcites and dolomite in the potable zone of active circulation is insufficient to provide the amount required for extensive dolomitization unless enormous quantities of rock are available for dissolution. However, dolomite may be forming in the zones of brackish water that underlie the Florida and Yucatan Peninsulas. The required magnesium may be derived from the readily available ocean water or reflux brines as the hydrologic regimen is changed because of relative fluctuations of sea level.

Florida↗

Preface—Evaluating the response of critical zone processes to human impacts with sediment source fingerprinting

1) Background: Critical Zone Processes in the Anthropocene The Earth’s Critical Zone encompasses a suite of interconnected processes in the near-surface lithosphere, pedosphere, biosphere, atmosphere, and hydrosphere (Brantley et al., 2007; Lin, 2010) (Fig. 1). Processes and interactions both within and between these various Critical Zone components supports life-sustaining ecosystem services and resources that establish the foundation for humanity (NRC, 2001). This includes the formation production of fertile soils, flourishing vegetation, productive rivers, lakes and oceans, and our life-sustaining atmosphere (Gaillardet, 2014; Guo and Lin, 2016). Rapid population growth, land use intensification, and global environmental change are disturbing many of these fundamental Critical Zone processes. More than half of the Earth’s terrestrial surface is now impacted by anthropogenic activities (e.g., clearing, grazing, plowing, mining, and logging) (Hooke et al., 2012; Richter and Mobley, 2009). These changes are so widespread and pervasive that the great acceleration of socioeconomic development that occurred around 1950 (Fig. 2) has been recommended to delineate the dawn of the Anthropocene (Waters et al., 2016). Although the utility of adopting and delineating the Anthropocene as the current epoch is subject to debate (Crutzen, 2002; Ruddiman et al., 2015; Smith and Zeder, 2013), the concept effectively highlights both the nature and the extent of our global impact on Earth’s Critical Zone. Soil forming processes and ecosystem services provided by the pedosphere are central to the Critical Zone (Banwart et al., 2011; Lin, 2010). Many of these processes have been disturbed by the agricultural intensification that coincided with the great acceleration resulting in unsustainable land use practices now outpacing soil formation processes (Brantley et al., 2007). As agricultural landscapes now cover an area equivalent to what was scoured during the last glacial maximum (Amundson et al., 2007), the broad-scale intensification of anthropogenic activities has resulted in significant on- and off-site impacts. On-site, soil loss has resulted in decreases in soil fertility and agricultural yields (Ladha et al., 2009) threatening the ability to feed the world’s growing population (Brantley et al., 2007). Off-site, the excess delivery of particulate matter downstream is degrading riverine, lacustrine, and estuarine ecosystems (Bilotta and Brazier, 2008; Clark, 1985; Owens et al., 2005). The challenge, as noted by Brantley et al., (2007), is that despite our society having over 10,000 years of experience working with soils, our conceptual and quantitative models remain inadequate at predicting Critical Zone dynamics under current conditions. Notwithstanding growing pressure for improved environmental management, we still have a limited capacity to predict changes in the Critical Zone in response to anthropogenic activities owing to the multiple spatial and temporal scales at which these complex processes and feedbacks are manifest. As river basin systems are impacted by many of these processes, a deep understanding of soil-sediment continuum dynamics may provide a valuable framework for evaluating the disturbance response of Critical Zone processes. Understanding these processes may also provide land and resource managers with the information necessary to manage both the on-site and off-site effects of accelerated soil erosion.

Journal of Soils and Sediments↗

Mitigating flood risks in urban estuaries: Tidal dynamics, shoreline hardening, nature-based solutions, and floodgates in San Francisco Bay

Hydrodynamic models are valuable tools for understanding the primary factors influencing daily and peak water levels and for guiding discussions on potential adaptation strategies for managing flood risk in coastal areas. This analysis uses the Delft3D San Francisco Bay-Delta Community Model to simulate water levels and incorporates the effects of a number of adaptation measures in the urban San Francisco Bay estuary, California. In particular, we examine the influence of shoreline hardening, nature-based solutions, and subregional floodgates on regional water levels. The result shows that under present conditions, tidal amplification is responsible for generating a wide distribution of extreme water levels across San Francisco Bay. Tidal amplification is found to decrease under sea level rise, thereby producing a relative damping effect on extremes. A comparison of different shoreline scenarios demonstrates that hard frontal shorelines result in higher tidal amplification, whereas restored (soft) shorelines lower amplification. The current shoreline configuration has both hard and soft characteristics and results in an intermediate tidal response. In some areas, wetland restoration reduces extreme water levels by as much as 20 cm, whereas hard-shoreline addition elevates them by as much as 10 cm for 1.5 m of sea level rise. Furthermore, local floodgates can significantly reduce high water levels without major adverse effects elsewhere in San Francisco Bay. These findings point toward the justification for a range of adaptive measures across political boundaries, weighing hard and soft options in addressing the mounting danger of sea level rise.

California↗

Evaluation of reproductive status in Atlantic Tripletail by traditional and nonlethal approaches

Reproductive biology information is an important tool for fishery management actions such as the identification of spawning areas and the development of protective size limits, bag limits, and seasons. Such information for the management of Atlantic Tripletail Lobotes surinamensis is currently limited, particularly in the western Atlantic Ocean, as information regarding the reproductive biology of this species is sparse in the published literature. To this end, we determined the reproductive status of tripletail and compared the results of a nonlethal sampling method, plasma vitellogenin (VTG) analysis, with those of two traditional (lethal) methods, gonadosomatic index (GSI) and gonad histology. A total of 223 (122 male and 101 female) tripletail were sampled over 2 years near Jekyll Island, Georgia. Gonad histology indicated that 107 (94%) of the male tripletail were in the spawning-capable reproductive phase. Female tripletail were found in all reproductive phases, but only nine (8.9%) were in the spawning-capable phase. Plasma VTG was strongly related to GSI in females ( R 2 = 0.832, n = 77), and female GSI differed significantly among reproductive phases ( p < 0.0001). The estimated length at which 50% (L50) of female tripletail reached maturity was 463 mm; however, the L50 for male tripletail could not be determined because of the lack of immature fish within the study sample. Our study provides valuable information for the management of tripletail and indicates that a nonlethal approach (plasma VTG) may be useful for differentiating developing and spawning-capable females from males and from females in other reproductive phases.

Georgia↗

Utilizing multichannel electrical resistivity methods to examine the dynamics of the fresh water–seawater interface in two Hawaiian groundwater systems

Multichannel electrical resistivity (ER) measurements were conducted at two contrasting coastal sites in Hawaii to obtain new information on the spatial scales and dynamics of the fresh water&ndash;seawater interface and rates of coastal groundwater exchange. At Kiholo Bay (located on the dry, Kona side of the Big Island) and at a site in Maunalua Bay (Oahu), there is an evidence for abundant submarine groundwater discharge (SGD). However, the hydrologic and geologic controls on coastal groundwater discharge are likely to be different at these two sites. While at Kiholo Bay SGD is predominantly through lava tubes, at the Maunalua Bay site exchange occurs mostly through nearshore submarine springs. In order to calculate SGD fluxes, it is important to understand the spatial and temporal scales of coastal groundwater exchange. From ER time series data, subsurface salinity distributions were calculated using site-specific formation factors. A salinity mass balance box model was then used to calculate rates of point source (i.e., spatially discreet) and total fresh water discharge. From these data, mean SGD rates were calculated for Kiholo Bay (&sim;9,200 m 3 /d) and for the Maunalua Bay site (&sim;5,900 m 3 /d). While such results are on the same order of magnitude to geochemical tracer-derived SGD rates, the ER SGD rates provide enhanced details of coastal groundwater exchange that can enable a more cohesive whole watershed perspective.

Hawai'i↗

An evaluation of density-dependent and density-independent influences on population growth rates in Weddell seals

Much of the existing literature that evaluates the roles of density-dependent and density-independent factors on population dynamics has been called into question in recent years because measurement errors were not properly dealt with in analyses. Using state-space models to account for measurement errors, we evaluated a set of competing models for a 22-year time series of mark-resight estimates of abundance for a breeding population of female Weddell seals (Leptonychotes weddellii) studied in Erebus Bay, Antarctica. We tested for evidence of direct density dependence in growth rates and evaluated whether equilibrium population size was related to seasonal sea-ice extent and the Southern Oscillation Index (SOI). We found strong evidence of negative density dependence in annual growth rates for a population whose estimated size ranged from 438 to 623 females during the study. Based on Bayes factors, a density-dependence-only model was favored over models that also included en! vironmental covariates. According to the favored model, the population had a stationary distribution with a mean of 497 females (SD = 60.5), an expected growth rate of 1.10 (95% credible interval 1.08-1.15) when population size was 441 females, and a rate of 0.90 (95% credible interval 0.87-0.93) for a population of 553 females. A model including effects of SOI did receive some support and indicated a positive relationship between SOI and population size. However, effects of SOI were not large, and including the effect did not greatly reduce our estimate of process variation. We speculate that direct density dependence occurred because rates of adult survival, breeding, and temporary emigration were affected by limitations on per capita food resources and space for parturition and pup-rearing. To improve understanding of the relative roles of various demographic components and their associated vital rates to population growth rate, mark-recapture methods can be applied that incorporate both environmental covariates and the seal abundance estimates that were developed here. An improved understanding of why vital rates change with changing population abundance will only come as we develop a better understanding of the processes affecting marine food resources in the Southern Ocean.

Ecology↗

Rock mechanics observations pertinent to the rheology of the continental lithosphere and the localization of strain along shear zones

Emphasized in this paper are the deformation processes and rheologies of rocks at high temperatures and high effective pressures, conditions that are presumably appropriate to the lower crust and upper mantle in continental collision zones. Much recent progress has been made in understanding the flexure of the oceanic lithosphere using rock-mechanics-based yield criteria for the inelastic deformations at the top and base. At mid-plate depths, stresses are likely to be supported elastically because bending strains and elastic stresses are low. The collisional tectonic regime, however, is far more complex because very large permanent strains are sustained at mid-plate depths and this requires us to include the broad transition between brittle and ductile flow. Moreover, important changes in the ductile flow mechanisms occur at the intermediate temperatures found at mid-plate depths. Two specific contributions of laboratory rock rheology research are considered in this paper. First, the high-temperature steady-state flow mechanisms and rheology of mafic and ultramafic rocks are reviewed with special emphasis on olivine and crystalline rocks. Rock strength decreases very markedly with increases in temperature and it is the onset of flow by high temperature ductile mechanisms that defines the base of the lithosphere. The thickness of the continental lithosphere can therefore be defined by the depth to a particular isotherm Tc above which (at geologic strain rates) the high-temperature ductile strength falls below some arbitrary strength isobar (e.g., 100 MPa). For olivine Tc is about 700??-800??C but for other crustal silicates, Tc may be as low as 400??-600??C, suggesting that substantial decoupling may take place within thick continental crust and that strength may increase with depth at the Moho, as suggested by a number of workers on independent grounds. Put another way, the Moho is a rheological discontinuity. A second class of laboratory observations pertains to the general phenomenon of ductile faulting in which ductile strains are localized into shear zones. Ductile faults have been produced in experiments of five different rock types and is generally expressed as strain softening in constant-strain-rate tests or as an accelerating-creep-rate stage at constant differential stress. A number of physical mechanisms have been identified that may be responsible for ductile faulting, including the onset of dynamic recrystallization, phase changes, hydrothermal alteration and hydrolytic weakening. Microscopic evidence for these processes as well as larger-scale geological and geophysical observations suggest that ductile faulting in the middle to lower crust and upper mantle may greatly influence the distribution and magnitudes of differential stresses and the style of deformation in the overlying upper continental lithosphere.

Tectonophysics↗

The regional forcing of Northern hemisphere drought during recent warm tropical west Pacific Ocean La Niña events

Northern Hemisphere circulations differ considerably between individual El Ni&ntilde;o-Southern Oscillation events due to internal atmospheric variability and variation in the zonal location of sea surface temperature forcing over the tropical Pacific Ocean. This study examines the similarities between recent Northern Hemisphere droughts associated with La Ni&ntilde;a events and anomalously warm tropical west Pacific sea surface temperatures during 1988&ndash;1989, 1998&ndash;2000, 2007&ndash;2008 and 2010&ndash;2011 in terms of the hemispheric-scale circulations and the regional forcing of precipitation over North America and Asia during the cold season of November through April. The continental precipitation reductions associated with recent central Pacific La Ni&ntilde;a events were most severe over North America, eastern Africa, the Middle East and southwest Asia. High pressure dominated the entire Northern Hemisphere mid-latitudes and weakened and displaced storm tracks northward over North America into central Canada. Regionally over North America and Asia, the position of anomalous circulations within the zonal band of mid-latitude high pressure varied between each La Ni&ntilde;a event. Over the northwestern and southeastern United States and southern Asia, the interactions of anomalous circulations resulted in consistent regional temperature advection, which was subsequently balanced by similar precipitation-modifying vertical motions. Over the central and northeastern United States, the spatial variation of anomalous circulations resulted in modest inter-seasonal temperature advection variations, which were balanced by varying vertical motion and precipitation patterns. Over the Middle East and eastern Africa, the divergence of moisture and the advection of dry air due to anomalous circulations enhanced each of the droughts.

Climate Dynamics↗

Use of vertical temperature gradients for prediction of tidal flat sediment characteristics

Sediment characteristics largely govern tidal flat morphologic evolution; however, conventional methods of investigating spatial variability in lithology on tidal flats are difficult to employ in these highly dynamic regions. In response, a series of laboratory experiments was designed to investigate the use of temperature diffusion toward sediment characterization. A vertical thermistor array was used to quantify temperature gradients in simulated tidal flat sediments of varying compositions. Thermal conductivity estimates derived from these arrays were similar to measurements from a standard heated needle probe, which substantiates the thermistor methodology. While the thermal diffusivities of dry homogeneous sediments were similar, diffusivities for saturated homogeneous sediments ranged approximately one order of magnitude. The thermal diffusivity of saturated sand was five times the thermal diffusivity of saturated kaolin and more than eight times the thermal diffusivity of saturated bentonite. This suggests that vertical temperature gradients can be used for distinguishing homogeneous saturated sands from homogeneous saturated clays and perhaps even between homogeneous saturated clay types. However, experiments with more realistic tidal flat mixtures were less discriminating. Relationships between thermal diffusivity and percent fines for saturated mixtures varied depending upon clay composition, indicating that clay hydration and/or water content controls thermal gradients. Furthermore, existing models for the bulk conductivity of sediment mixtures were improved only through the use of calibrated estimates of homogeneous end-member conductivity and water content values. Our findings suggest that remotely sensed observations of water content and thermal diffusivity could only be used to qualitatively estimate tidal flat sediment characteristics.

Journal of Geophysical Research C: Oceans↗

Development of a two-stage life cycle model for Oncorhynchus kisutch (coho salmon) in the upper Cowlitz River Basin, Washington

Recovery of salmon populations in the upper Cowlitz River Basin depends on trap-and-haul efforts owing to impassable dams. Therefore, successful recovery depends on the collection of out-migrating juvenile salmon at Cowlitz Falls Dam (CFD) for transport below downstream dams, as well as the collection of adults for transport upstream from the dams. Tacoma Power began downstream fish collection efforts at CFD in the mid-1990s and has been working consistently since then to improve collection efficiency to support self-sustaining salmon and steelhead ( Onchorhynchus spp.) populations in the upper Cowlitz River Basin. Although much work has focused on estimating fish collection efficiency (FCE), there has been relatively little focus on modeling population dynamics to understand how fish collection efficiency and other factors drive production of both juvenile and adult salmon over their life cycle. As a first step towards understanding the factors affecting population dynamics of Oncorhynchus kisutch (coho salmon) in the upper Cowlitz River Basin, we developed a statistical life cycle model using adult escapement and age structure data, juvenile collection data, and juvenile fish collection efficiency estimates. The goal of the statistical life cycle model is to estimate annual production and survival during two critical life-stage transitions: the freshwater production from escapement of adults upstream from CFD to collection of juveniles at CFD, and the juvenile-to-adult survival from the time of collection at the dam to the return of adults. To structure the life cycle model, we used the Ricker stock-recruitment model to estimate juvenile production from the number of parent spawners. This approach allowed us to account for density dependence at high spawner abundances while estimating annual productivity, defined as the number of juveniles produced per spawner at low spawner abundance. We then expressed productivity as a function two key variables affecting the number of juveniles collected and transported at CFD: (1) annual FCE, and (2) the annual number of days that spill occurred at CFD from September 1 to April 30. Our key findings were as follows: FCE was the primary factor affecting productivity of coho salmon upstream from CFD because FCE affects the number of juveniles that survive to continue downstream migration; Juvenile-to-adult return (JAR) rates were relatively high considering that harvest was included in the estimate, averaging about 3.6 percent and ranging as high as 9.1 percent, suggesting that adult coho salmon may be able to return to CFD at sustainable population sizes; and Much variation in the estimates of juvenile fish production upriver of CFD was unexplained even after adult escapement and FCE were accounted for, suggesting that the model may be improved by exploring different covariates and model structures for juvenile production as well as JAR rates. Additionally, by including FCE in the model, we estimated that the median pre-collection productivity, defined as the number of juveniles produced per spawner when FCE=1, was 108.4 juveniles per spawner. Because this two-stage life cycle model partitions factors that affect fish production in river compared to the ocean environment and fish life stages, the model estimates should help inform fishery managers about the overall role that fish collection at CFD may have on the recovery and sustainability of coho salmon populations.

Washington↗

Rip currents and alongshore flows in single channels dredged in the surf zone

To investigate the dynamics of flows near nonuniform bathymetry, single channels (on average 30 m wide and 1.5 m deep) were dredged across the surf zone at five different times, and the subsequent evolution of currents and morphology was observed for a range of wave and tidal conditions. In addition, circulation was simulated with the numerical modeling system COAWST, initialized with the observed incident waves and channel bathymetry, and with an extended set of wave conditions and channel geometries. The simulated flows are consistent with alongshore flows and rip-current circulation patterns observed in the surf zone. Near the offshore-directed flows that develop in the channel, the dominant terms in modeled momentum balances are wave-breaking accelerations, pressure gradients, advection, and the vortex force. The balances vary spatially, and are sensitive to wave conditions and the channel geometry. The observed and modeled maximum offshore-directed flow speeds are correlated with a parameter based on the alongshore gradient in breaking-wave-driven-setup across the nonuniform bathymetry (a function of wave height and angle, water depths in the channel and on the sandbar, and a breaking threshold) and the breaking-wave-driven alongshore flow speed. The offshore-directed flow speed increases with dissipation on the bar and reaches a maximum (when the surf zone is saturated) set by the vertical scale of the bathymetric variability.

Journal of Geophysical Research: Oceans↗

Past and future changes in climate and hydrological indicators in the US Northeast

To assess the influence of global climate change at the regional scale, we examine past and future changes in key climate, hydrological, and biophysical indicators across the US Northeast (NE). We first consider the extent to which simulations of twentieth century climate from nine atmosphere-ocean general circulation models (AOGCMs) are able to reproduce observed changes in these indicators. We then evaluate projected future trends in primary climate characteristics and indicators of change, including seasonal temperatures, rainfall and drought, snow cover, soil moisture, streamflow, and changes in biometeorological indicators that depend on threshold or accumulated temperatures such as growing season, frost days, and Spring Indices (SI). Changes in indicators for which temperature-related signals have already been observed (seasonal warming patterns, advances in high-spring streamflow, decreases in snow depth, extended growing seasons, earlier bloom dates) are generally reproduced by past model simulations and are projected to continue in the future. Other indicators for which trends have not yet been observed also show projected future changes consistent with a warmer climate (shrinking snow cover, more frequent droughts, and extended low-flow periods in summer). The magnitude of temperature-driven trends in the future are generally projected to be higher under the Special Report on Emission Scenarios (SRES) mid-high (A2) and higher (A1FI) emissions scenarios than under the lower (B1) scenario. These results provide confidence regarding the direction of many regional climate trends, and highlight the fundamental role of future emissions in determining the potential magnitude of changes we can expect over the coming century. ?? Springer-Verlag 2006.

Climate Dynamics↗

Seasonal variation in sediment delivery across the bay-marsh interface of an estuarine salt marsh

Sediment transport across bay–marsh interfaces depends on wave energy, vegetation, and marsh-edge morphology, and varies over a range of timescales. We investigated these dynamics in a tidal salt marsh with a gently-sloped, vegetated edge adjacent to northern San Francisco Bay. Spartina foliosa (cordgrass) inhabits the lower marsh and Salicornia pacifica (pickleweed) predominates on the marsh plain. We measured suspended-sediment concentration (SSC) and hydrodynamics in bay shallows and along a 100-m cross-shore transect in the marsh, during winter and summer. Four-year averaged accretion measured with marker-horizon plots was twice as great along the marsh transect as adjacent to a tidal creek, 50 m from the bay. We estimated deposition and trapping efficiency from the time-series data to assess its variation with season and wave energy. At high tide the transition zone (between cordgrass and pickleweed) was usually erosional, the pickleweed zone was depositional, and both erosion and deposition increased with wave energy, as did the landward position of maximum deposition. Erosion from the transition zone accounted for approximately one-third of the sediment flux into the pickleweed. In the pickleweed zone, SSC, the difference between flood- and ebb-tide SSC and trapping efficiency were greater in summer than winter for comparable wave conditions, which we attribute to increased sediment trapping by dense summer cordgrass. Moderate waves in summer (46%) accounted for more annual accretion in the pickleweed zone than larger waves in winter (28%), although the contribution of winter storms was diminished by the dry winter during the study.

California↗

Observations of wave transformation over a fringing coral reef and the importance of low-frequency waves and offshore water levels to runup, overwash, and coastal flooding

Many low-lying tropical islands are susceptible to sea level rise and often subjected to overwash and flooding during large wave events. To quantify wave dynamics and wave-driven water levels on fringing coral reefs, a 5 month deployment of wave gauges and a current meter was conducted across two shore-normal transects on Roi-Namur Island in the Republic of the Marshall Islands. These observations captured two large wave events that had waves with maximum heights greater than 6 m with peak periods of 16 s over the fore reef. The larger event coincided with a peak spring tide, leading to energetic, highly skewed infragravity (0.04&ndash;0.004 Hz) and very low frequency (0.004&ndash;0.001 Hz) waves at the shoreline, which reached heights of 1.0 and 0.7 m, respectively. Water surface elevations, combined with wave runup, reached 3.7 m above the reef bed at the innermost reef flat adjacent to the toe of the beach, resulting in flooding of inland areas. This overwash occurred during a 3 h time window that coincided with high tide and maximum low-frequency reef flat wave heights. The relatively low-relief characteristics of this narrow reef flat may further drive shoreline amplification of low-frequency waves due to resonance modes. These results (1) demonstrate how the coupling of high offshore water levels with low-frequency reef flat wave energetics can lead to large impacts along fringing reef-lined shorelines, such as island overwash, and (2) lend support to the hypothesis that predicted higher sea levels will lead to more frequent occurrences of these extreme events, negatively impacting coastal resources and infrastructure.

Journal of Geophysical Research C: Oceans↗