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Technical Analysis of In-Valley Drainage Management Strategies for the Western San Joaquin Valley, California

The western San Joaquin Valley is one of the most productive farming areas in the United States, but salt-buildup in soils and shallow groundwater aquifers threatens this area?s productivity. Elevated selenium concentrations in soils and groundwater complicate drainage management and salt disposal. In this document, we evaluate constraints on drainage management and implications of various approaches to management considered in: *the San Luis Drainage Feature Re-Evaluation (SLDFRE) Environmental Impact Statement (EIS) (about 5,000 pages of documentation, including supporting technical reports and appendices); *recent conceptual plans put forward by the San Luis Unit (SLU) contractors (i.e., the SLU Plans) (about 6 pages of documentation); *approaches recommended by the San Joaquin Valley Drainage Program (SJVDP) (1990a); and *other U.S. Geological Survey (USGS) models and analysis relevant to the western San Joaquin Valley. The alternatives developed in the SLDFRE EIS and other recently proposed drainage plans (refer to appendix A for details) differ from the strategies proposed by the San Joaquin Valley Drainage Program (1990a). The Bureau of Reclamation (USBR) in March 2007 signed a record of decision for an in-valley disposal option that would retire 194,000 acres of land, build 1,900 acres of evaporation ponds, and develop a treatment system to remove salt and selenium from drainwater. The recently proposed SLU Plans emphasize pumping drainage to the surface, storing approximately 33% in agricultural water re-use areas, treating selenium through biotechnology, enhancing the evaporation of water to concentrate salt, and identifying ultimate storage facilities for the remaining approximately 67% of waste selenium and salt. The treatment sequence of reuse, reverse osmosis, selenium bio-treatment, and enhanced solar evaporation is unprecedented and untested at the scale needed to meet plan requirements. All drainage management strategies that have been proposed seek to reduce the amount of drainage water produced. One approach is to reduce the amount of drainage per irrigated acre. From modeling simulations performed for the SLDFRE EIS of the Westlands Area of the SLU, theoretical minimums that can be achieved range from approximately 0.16 to 0.25 acre-feet per acre per year (AF/acre/year). Minimum production rates from the Northerly Area of the SLU are theorized as being much higher, approximately 0. 42 to 0.28 AF/acre/year. Rates shown in the SLU Plans for drained acres from the two areas combined are 0.5 AF/acre/year at the subsurface drain stage and 0.37 AF/acre/year after a series of on-farm and regional measures are instituted. Land retirement is a key strategy to reduce drainage because it can effectively reduce drainage to zero if all drainage-impaired lands are retired. Land retirement alternatives considered in the SLDFRE EIS differ for the two areas analyzed in the SLU. The Northerly Area is to retire a nominal 10,000 acres and Westlands is to retire up to 300,000 acres. The initial land retirement option recently put forth in the SLU Plans predicted drainage volume reductions that are consistent with 200,000 acres of land retirement, but only 100,000 acres of land retirement was proposed. Within the proposed area of drainage there are, for all practical purposes, unlimited reservoirs of selenium and salt stored within the aquifers and soils of the valley and upslope in the Coast Ranges. Salt imported in irrigation water is estimated to be at least 1.5 million tons per year for the Westlands and Northerly Areas (SJVDIP, 1998). Analysis of the land retirement alternatives presented in the SLDFRE EIS indicates that land retirement of a minimum of only 100,000 acres results in the annual pumping to the surface of 20,142 pounds of selenium or about a million pounds of selenium over a 50 year period. Retiring 200,000 acres results in an annual pumping of 14,750 pounds of selenium; and reti

Open-File Report↗

Pilot framework for fish habitat assessments across tidal and non tidal waters in the Patuxent River Basin

As part of the 2014 Chesapeake Bay Watershed Agreement, all Bay States and the District of Columbia have committed to improving the condition of the Bay, which includes a goal to achieve sustainable fisheries. One outcome under that broad goal is improved effectiveness of fish habitat conservation and preservation efforts. In support of that outcome, the U.S. Geological Survey Eastern Ecological Science Center (USGS-EESC) and the National Oceanic and Atmospheric Association’s National Centers for Coastal Ocean Science (NOAA-NCCOS) are actively developing datasets, methods, and analyses to conduct fish habitat assessments in the Chesapeake Bay watershed, guided by recommendations from a regional stakeholder workshop held by the Chesapeake Bay Program’s (CBP) Fish Habitat Action Team (FHAT) in 2018. The joint USGS and NOAA team has been collaborating on methods for conducting inland and estuarine assessments and exploring whether a seamless headwater to estuary assessment could be developed. The goals of this assessment are to benefit both State and Federal fisheries managers, help advance fisheries science, and provide beneficial information for the public. While past national and regional assessments (e.g. the National Fish Habitat Partnership National Assessment) treated inland and estuarine fish habitat conditions separately due to differences in environments, GIS data representation, and data availability, a seamless habitat assessment could be of value for a broad range of stakeholders as many fish species, several of which are invasive or under federal jurisdiction, use habitats across both inland and estuarine waters. This project developed a pilot framework, explored and tested methods necessary for a finer scale, seamless assessment across both inland and estuarine waters, and demonstrated its use. Although there was interest by the CBP FHAT for the generation of a Baywide fish habitat assessment that spanned tidal salt, tidal fresh, warm non-tidal and cold non-tidal waters, there are a myriad of implementation details and considerations around conducting a Baywide assessment across all four of these general habitat areas. Therefore, the practical need to conduct a tributary-specific pilot assessment arose. At the beginning of this pilot process, members of the FHAT were presented with a decision matrix to choose a study basin using factors such as data availability and tributary size. FHAT members chose the Patuxent River basin, which has been relatively well sampled and studied. Several spatial frameworks were considered before selection of an inclusive gridded framework for summary and analysis that represented inland drainage networks and landscape influences as well as estuarine bathymetry. A suite of landscape and in-water stressor variables were summarized into the framework and were largely generalized over time. In order to assess the viability of the framework, we chose to use species distribution modeling for each of the species to test the framework’s ability to predict habitat use of non-tidal resident, estuarine resident, and migratory species. Tessellated darter (Etheostoma olmstedi), American eel (Anguilla rostrata), and white perch (Morone americana) were chosen as illustrative fish species based on data availability, and differences in life history and habitat use. A nested modeling approach, which involved successive model runs at multiple scales (1000m, 100m, and 10m raster grids) was developed to examine differences in variable importance at different spatial scales and to enhance modeling efficiency. For white perch, a complementary modeling analysis was performed for variables available only in estuarine waters. For all testing, an ensemble modeling approach was conducted, using a suite of potential statistical techniques driven by model strength and variable predictive power. The statistical testing that we conducted was intended only to test the framework and modeling approach, and not to definitively predict all habitats where specific fish species might be present. The modeling we conducted to test the framework did have some limitations. For example, the spatial distribution of favorable habitat areas for white perch was likely influenced by the predominance of fish survey locations near the center channel of the river and the use of generalized in-water conditions. For all species, the use of juvenile and adult fish survey data limits the estimation of habitat use to those life stages. Despite such limitations of the data inputs and modeling approach, we found the framework could seamlessly predict fish habitat distribution across freshwater and tidal environments and integrate the influence of landscape stressors with local in-water factors. The developed framework presented to the Sustainable Fisheries Goal Implementation Team (GIT) and FHAT is informative and could potentially be used for other modeling applications in the Chesapeake Bay watershed and elsewhere. In particular the framework and modeling approach lend themselves to evaluating living resource distributions and underlying habitat conditions in shallow tidal waters and beyond, as recommended by the recent Comprehensive Evaluation of System Response (CESR) report from the Chesapeake Bay Program.

Maryland↗

Data management challenges in species distribution modeling

An important component in the fields of ecology and conservation biology is understanding the environmental conditions and geographic areas that are suitable for a given species to inhabit. A common tool in determining such areas is species distribution modeling which uses computer algorithms to determine the spatial distribution of organisms. Most commonly the correlative relationships between the organism and environmental variables are the primary consideration. The data requirements for this type of modeling consist of known presence and possibly absence locations of the species as well as the values of environmental or climatic covariates thought to define the species habitat suitability at these locations. These covariate data are generally extracted from remotely sensed imagery, interpolated/gridded historical climate data, or downscaled climate model output. Traditionally, ecologists and biologists have constructed species distribution models using workflows and data that reside primarily on their local workstations or networks. This workflow is becoming challenging as scientists increasingly try to use these modeling techniques to inform management decisions under different climate change scenarios. This challenge stems from the fact that remote sensing products, gridded historical climate, and downscaled climate models are not only increasing in spatial and temporal resolution but proliferating as well. Any rigorous assessment of uncertainty requires a computationally intensive sensitivity analysis accounting for various sources of uncertainty. The scientists fitting these models generally do not have the background in computer science required to take advantage of recent advances in web-service based data acquisition, remote high-powered data processing, or scientific workflow systems. Ecologists in the field of modeling are in need of a tractable platform that abstracts the inherent computational complexity required to incorporate the burgeoning field of coupled climate and ecological response modeling. In this paper we describe the computational challenges in species distribution modeling and solutions using scientific workflow systems. We focus on the Software for Assisted Species Modeling (SAHM) a package within VisTrails, an open-source scientific workflow system.

Bulletin of the Technical Committee on Data Engine↗

Advancing best practices for the analysis of the vulnerability of military installations in the Pacific Basin to coastal flooding under a changing climate – RC-2644

Coastal flooding takes many forms, ranging from major flooding associated with storms to minor flooding associated with exceptionally high tides and other oceanic and atmospheric phenomena on storm-free days. A major societal challenge is to understand and predict how flood magnitude and frequency will manifest at particular places and times, now and in the future. Of particular interest here is how coastal flooding will impact Department of Defense (DoD) installations. In response to this need, this work aims to advance the practical application of statistical and other analytical techniques that can be used to assess the exposure, and ultimately the vulnerability, of built and natural environments to the impacts of coastal flooding. A variety of methods are described and applied to assess exposure. This includes tide gauge station-based diagnosis and prognosis of patterns and trends of Still Water Level, techniques to characterize the expression of ‘lesser extremes’ (e.g., sub-annual to subdecadal event probabilities), and region-wide analysis that improves upon results obtained from conventional single-tide gauge analyses. A novel hybrid statistical and dynamical modeling approach is applied to the analysis of Total Water Levels, necessary for exposure assessment along shorelines exposed to wave action. The hybrid exposure assessment modeling approach is incorporated into a broader mission-based protocol for the assessment of resilience to coastal flooding at the installation level. Demonstrated via an exemplar assessment, which takes into account functional (lost day) as well as financial impacts (lost dollars), the protocol meets the demand for an actionable characterization of how DoD installations will be affected by coastal flooding and improves DoD’s ability to make informed decisions about how to adapt to its effects. The methods described, evaluated, and applied here, including innovative approaches and proof-of-concept products developed through this work, are incorporated into and considered within an analytical framework that serves as guidance as to their relative merits with respect to coastal flood exposure assessment in various circumstances and settings, and illustrates best practices. This will provide engineers, scientists and other practitioners with an enhanced capability to generate information that can be used to support area-wide assessment related to climate adaptation planning and disaster risk reduction as well as site-specific analysis related to design and maintenance of facilities and infrastructure. While the focus is on a select set of DoD sites in the Pacific Basin, the results have broad applicability nationally as well as globally.

Final Report↗

A pragmatic approach for integrating molecular tools into biodiversity conservation

Molecular tools are increasingly applied for assessing and monitoring biodiversity and informing conservation action. While recent developments in genetic and genomic methods provide greater sensitivity in analysis and the capacity to address new questions, they are not equally available to all practitioners: There is considerable bias across institutions and countries in access to technologies, funding, and training. Consequently, in many cases, more accessible traditional genetic data (e.g., microsatellites) are still utilized for making conservation decisions. Conservation approaches need to be pragmatic by tackling clearly defined management questions and using the most appropriate methods available, while maximizing the use of limited resources. Here we present some key questions to consider when applying the molecular toolbox for accessible and actionable conservation management. Finally, we highlight a number of important steps to be addressed in a collaborative way, which can facilitate the broad integration of molecular data into conservation.

Conservation Science and Practice↗

New thrusts in ground water

Four principal trends in ground water are apparent: (1) Increasing use of ground water for domestic supplies. Geohydrologists must learn to quantitatively evaluate the supply under conditions of maximum development, not merely determine the availability of a supply that does not strain the aquifer. (2) Aquifers will be looked to increasingly as possible storage media for surplus flood water, in place of dams and reservoirs. The key here is economics – optimum utilization of resources. The job of the geohydrologist is to do enough research and experimentation to determine when, where, and how ground-water reservoirs can be recharged artificially at a reasonable cost. (3) Saline aquifers will be looked at as sources of water supply. The cost curves of developing new supplies of fresh water are ascending while the cost curves for desalinization are declining, and inevitably they will cross in one area after another. There is a paucity of information on saline ground-water aquifers; hence, the utmost skill must be used in evaluating the resource. (4) With efforts to prevent stream pollution, aquifers will be looked to increasingly as possible storage media for industrial and domestic waste effluents. Control is urgently needed so the effects of waste injection can be predicted, the technology for confining those effects as intended can be developed, and a basis can be provided for a rational decision as to whether waste injection or an alternative use of the chosen aquifer is best for the economy in the long run. However, there is little legal basis for control, and the cost of such control may make the practice unfeasible in many situations. A systems-analysis approach is needed to develop a working model of a given hydrologie and socio-economic problem from which quantitative answers can be given to water planners.

Groundwater↗

Interactions between resident risk perceptions and wildfire risk mitigation: Evidence from simultaneous equations modeling

Fire science emphasizes that mitigation actions on residential property, including structural hardening and maintaining defensible space, can reduce the risk of wildfire at a home. Accordingly, a rich body of social science literature investigates the determinants of wildfire risk mitigation behaviors of residents living in fire-prone areas. Here, we investigate relationships among wildfire hazards, residents’ risk perceptions, and conditions associated with mitigation actions using a combination of simulated wildfire conditions, household survey responses, and professionally assessed parcel characteristic data. We estimate a simultaneous model of these data that accounts for potential direct feedbacks between risk perceptions and parcel-level conditions. We also compare the use of self-reported versus assessed parcel-level data for estimating these relationships. Our analysis relies on paired survey and assessment data for approximately 2000 homes in western Colorado. Our simultaneous model demonstrates dual-directional interactions between risk perceptions and conditions associated with mitigation actions, with important implications for inference from simpler approaches. In addition to improving general understanding of decision-making about risk and natural hazards, our findings can support the effectiveness of publicly supported programs intended to encourage mitigation to reduce society’s overall wildfire risk.

Fire↗

Summary and synthesis of 15 years of the Amphibian Vital Sign monitoring in the National Capital Region Inventory and Monitoring Network

The amphibian monitoring program, designed and conducted by the U.S. Geological Survey’s Amphibian Research and Monitoring Initiative program, is designed to estimate the status and trends of amphibian populations to assist management decisions in individual parks and across the National Capital Region Network. Detection/non-detection data for stream and wetland habitats has been collected in 2 parks annually since 2005, and recently expanded to 11 units in the network following habitat mapping efforts. Data for all parks were incorporated into an analysis of site-occupancy for each habitat type (e.g. streams, wetlands) to estimate the occupancy rates for each species. This report summarizes the monitoring efforts, changes in the program over time, and findings based on data from 2005-2018. Fifteen species or species complexes within wetland sites and 5 species of salamander in stream sites were encountered during surveys. Across the network, more than half of wetland populations (65%) are estimated to be stable, 2% are increasing, and 33% indicate a negative trend. Stream salamander populations appear to be relatively stable, with observed population fluctuations likely related to availability of surface water in a given year. Although there were among-park differences in baseline occupancy and dynamics, overall factors promoting occupancy and persistence from year to year included sites that are large, well-connected to other breeding habitats, forested, and with low conductivity.

Report↗

PopEquus: a predictive modeling tool to support management decisions for free-roaming horse populations

Feral horse ( Equus caballus ) population management is a challenging problem around the world because populations often exhibit density-independent growth, can exert negative ecological effects on ecosystems, and require great cost to be managed. However, strong value-based connections between people and horses cause contention around management decisions. To help make informed decisions, natural resource managers might benefit from more detailed understanding of how horse management alternatives, including combinations of removals and fertility control methods, could achieve objectives of sustainable, multiple-use ecosystems while minimizing overall horse handling and fiscal costs. Here, we describe a modeling tool that simulates horse management alternatives and estimates trade-offs in predicted metrics related to population size, animal handling, and direct costs of management. The model considers six management actions for populations (removals for adoption or long-term holding; fertility control treatment with three vaccines, intrauterine devices, and mare sterilization), used alone or in combination. We simulated 19 alternative management scenarios at 2-, 3-, and 4-year management return intervals and identified efficiency frontiers among alternatives for trade-offs between predicted population size and six management metrics. Our analysis identified multiple alternatives that could maintain populations within target population size ranges, but some alternatives (e.g., removal and mare sterilization, removal and GonaCon treatment) performed better at minimizing overall animal handling requirements and management costs. Cost savings increased under alternatives with more effective, longer lasting fertility control techniques over longer management intervals compared with alternatives with less-effective, shorter lasting fertility control techniques. We built a user-friendly website application, PopEquus , that decision makers and interested individuals can use to simulate management alternatives and evaluate trade-offs among management and cost metrics. Our results and website application provide quantitative trade-off tools for horse population management decisions and can help support value-based management decisions for wild or feral horse populations and ecosystems at local and regional scales around the world.

Ecosphere↗

In situ optical water-quality sensor networks - Workshop summary report

Advanced in situ optical water-quality sensors and new techniques for data analysis hold enormous promise for furthering scientific understanding of aquatic systems. These sensors measure important biogeochemical parameters for long deployments, enabling the capture of data at time scales over which they vary most meaningfully. The high-frequency, real-time water-quality data they generate provide opportunities for early warning of water-quality deterioration, trend detection, and science-based decision support. However, developing networks of optical sensors in freshwater systems that report reliable and comparable data across and between sites remains a challenge to the research and monitoring community. To address this, the U. S. Geological Survey (USGS) and the Consortium of Universities for the Advancement of Hydrologic Science, Inc. (CUAHSI) convened a joint 3-day workshop (June 8-10, 2011) at the National Conservation Training Center in Shepardstown, West Virginia, to explore ways to coordinate development of standards and applications for optical sensors, and improve handling, storing, and analyzing the continuous data they produce. The workshop brought together more than 60 scientists, program managers, and vendors from universities, government agencies, and the private sector. Several important outcomes emerged from the presentations and breakout sessions. There was general consensus that making intercalibrated measurements requires that both manufacturers and users better characterize and calibrate the sensors under field conditions. For example, the influence of suspended particles, highly colored water, and temperature on optical sensors remains poorly understood, but consistently accounting for these factors is critical to successful deployment and for interpreting results in different settings. This, in turn, highlights the lack of appropriate standards for sensor calibrations, field checks, and characterizing interferences, as well as methods for data validation, treatment, and analysis of resulting measurements. Participants discussed a wide range of logistical considerations for successful sensor deployments, including key physical infrastructure, data loggers, and remote-communication techniques. Tools to manage, assure, and control quality, and explore large streams of continuous water-quality data are being developed by the USGS, CUAHSI, and other organizations, and will be critical to making full use of these highfrequency data for research and monitoring.

Open-File Report↗

Understanding beach health throughout the Great Lakes-Entering a new era of investigations

For over a decade, the U.S. Geological Survey (USGS) has been a leader in the science of beach health. The overall mission of this work is to provide science-based information and methods that will allow beach managers to more accurately make beach closure and advisory decisions, understand the sources and physical processes affecting beach contaminants, and understand how science-based information can be used to mitigate and restore beaches and protect the public. The work consists of four science elements-real-time assessments; pathogens and microbial source tracking; coastal processes; and data analysis, interpretation, and communication - which are described in this fact sheet. Some of the key questions for USGS beach research are the following: Are there better ways to inform the public whether they can use a beach without risking their health? How do new rapid analytical methods compare to traditional methods for determining concentrations of fecal-indicator bacteria at beaches? Are pathogens present at beaches and, if so, how do they get to the beach, and what is their source? How do sand movement and wave action on the beach affect fecal-indicator-bacteria and pathogen concentrations in the lake water? What are the best indicators of pathogenic microorganisms? With so many potential sources of fecal contamination at a beach, what methods can be used to distinguish the contributions from humans? What characteristics of beaches contribute most to influencing bacterial indicator and pathogen concentrations in beach sands and groundwater?

Fact Sheet↗

Terrestrial Ecosystems - Land Surface Forms of the Conterminous United States

As part of an effort to map terrestrial ecosystems, the U.S. Geological Survey has generated land surface form classes to be used in creating maps depicting standardized, terrestrial ecosystem models for the conterminous United States, using an ecosystems classification developed by NatureServe . A biophysical stratification approach, developed for South America and now being implemented globally, was used to model the ecosystem distributions. Since land surface forms strongly influence the differentiation and distribution of terrestrial ecosystems, they are one of the key input layers in this biophysical stratification. After extensive investigation into various land surface form mapping methodologies, the decision was made to use the methodology developed by the Missouri Resource Assessment Partnership (MoRAP). MoRAP made modifications to Hammond's land surface form classification, which allowed the use of 30-meter source data and a 1-km2 window for analyzing the data cell and its surrounding cells (neighborhood analysis). While Hammond's methodology was based on three topographic variables, slope, local relief, and profile type, MoRAP's methodology uses only slope and local relief. Using the MoRAP method, slope is classified as gently sloping when more than 50 percent of the area in a 1-km2 neighborhood has slope less than 8 percent, otherwise the area is considered moderately sloping. Local relief, which is the difference between the maximum and minimum elevation in a neighborhood, is classified into five groups: 0-15 m, 16-30 m, 31-90 m, 91-150 m, and >150 m. The land surface form classes are derived by combining slope and local relief to create eight landform classes: flat plains (gently sloping and local relief =< 15 m), smooth plains (gently sloping and 15 m < local relief =< 30 m), irregular plains (gently sloping and 30 m < local relief =< 90 m), escarpments (gently sloping and local relief > 90 m), low hills (not gently sloping and local relief =< 30 m), hills (not gently sloping and 30 m < local relief =< 90 m), breaks/foothills (not gently sloping and 90 m < local relief =< 150 m), and low mountains (not gently sloping and local relief > 150 m). However, in the USGS application of the MoRAP methodology, an additional local relief group was used (> 400 m) to capture additional local topographic variation. As a result, low mountains were redefined as not gently sloping and 151 m < local relief < 400 m, and a new land surface form class, high mountains/deep canyons, was identified as not gently sloping and local relief > 400 m. The final application of the MoRAP methodology was implemented using the USGS 30-meter National Elevation Dataset and an existing USGS slope dataset that had been derived by calculating the slope from the NED in Universal Transverse Mercator (UTM) coordinates in each UTM zone, and then combining all of the zones into a national dataset. This map shows a smoothed image of the nine land surface form classes based on MoRAP's methodology. Additional information about this map and any data developed for the ecosystems modeling of the conterminous United States is available online at http://rmgsc.cr.usgs.gov/ecosystems/.

Scientific Investigations Map↗

River flow and riparian vegetation dynamics - implications for management of the Yampa River through Dinosaur National Monument

This report addresses the relation between flow of the Yampa River and occurrence of herbaceous and woody riparian vegetation in Dinosaur National Monument (DINO) with the goal of informing management decisions related to potential future water development. The Yampa River in DINO flows through diverse valley settings, from the relatively broad restricted meanders of Deerlodge Park to narrower canyons, including debris fan-affected reaches in the upper Yampa Canyon and entrenched meanders in Harding Hole and Laddie Park. Analysis of occurrence of all plant species measured in 1470 quadrats by multiple authors over the last 24 years shows that riparian vegetation along the Yampa River is strongly related to valley setting and geomorphic surfaces, defined here as active channel, active floodplain, inactive floodplain, and upland. Principal Coordinates Ordination arrayed quadrats and species along gradients of overall cover and moisture availability, from upland and inactive floodplain quadrats and associated xeric species like western wheat grass (Pascopyrum smithii), cheatgrass (Bromus tectorum), and saltgrass (Distichlis spicata) to active channel and active floodplain quadrats supporting more mesic species including sandbar willow (Salix exigua), wild licorice (Glycyrrhiza lepidota), and cordgrass (Spartina spp.). Indicator species analysis identified plants strongly correlated with geomorphic surfaces. These species indicate state changes in geomorphic surfaces, such as the conversion of active channel to floodplain during channel narrowing. The dominant woody riparian species along the Yampa River are invasive tamarisk (Tamarix ramosissima), and native Fremont cottonwood (Populus deltoides ssp. wislizenii), box elder (Acer negundo L. var. interius), and sandbar willow (Salix exigua). These species differ in tolerance of drought, salinity, inundation, flood disturbance and shade, and in seed size, timing of seed dispersal and ability to form root sprouts. These physiological and ecological differences interact with flow variation and geomorphic setting, resulting in differential patterns of occurrence. For example, in park settings cottonwood is far more abundant than box elder, while the reverse is true in canyons. Synthesis of existing knowledge from the Yampa and Green rivers and elsewhere suggests that the following flow-vegetation relations can be used to assess effects of future flow alterations in the Yampa River. High variability in flow within and between years removes vegetation through erosion, extended inundation and desiccation, creating the broad, open surfaces in and near the channel that are characteristic of lightly regulated rivers in western North America. This flow variability provides opportunities for establishment of disturbance-dependent riparian species. Flow regulation that results in lower peak flows and higher low flows allows proliferation of woody riparian vegetation, mostly tamarisk in canyon reaches, but both tamarisk and cottonwood in parks. Denser near-channel vegetation promotes sediment deposition leading to channel narrowing. Decreasing flow variability also increases area of species associated with extremely high and low inundation durations relative to species associated with moderate inundation duration. In addition, such flow regulation decreases occurrence of species tolerant of fluvial disturbance, while increasing occurrence of species tolerant of extended inundation. Over the long term, establishment of cottonwood and tamarisk requires disturbance by large floods, which provides openings for new individuals. At the annual time scale, establishment can occur in any year or location that provides a moist, open surface free from frequent future disturbance. In canyons, where channel movement is limited, low surfaces are too frequently disturbed for long-term survival of cottonwood, and establishment requirements are generally met only in years of moderate to high peak flows. In park settings cottonwood establishment may also occur in years of low peak flows where survival is promoted by movement of the channel away from the seedling. Peak flows early in the growing season promote establishment of cottonwood and sandbar willow seedlings relative to those of tamarisk. This is because cottonwood and willow seed release occurs early in the summer, while that of tamarisk occurs later. Late season seed release of tamarisk allows it to establish lower on the floodplain than cottonwood. Because of its shade tolerance and the energy stored in its large seeds, box elder can become established beneath existing vegetation, an ability not shared by cottonwood, tamarisk or willow. Although box elder does not require flood disturbance, it does take advantage of soil moisture from floods, which allow this species to become established high above the channel. Decreases in flow peaks, volumes or base flows decrease growth and survival of cottonwood relative to drought-tolerant tamarisk. Storing water from the spring peak in a reservoir for release after the April-July cottonwood growth window may also decrease growth and survival of cottonwood relative to tamarisk. Decreases in peak flows decrease floodplain inundation, which can reduce growth of floodplain species by preventing recharge of the floodplain aquifer. Two or more years in a row with similar flows promote establishment of woody vegetation. Subsequent sediment deposition around this vegetation, especially if the vegetation is tamarisk, results in channel narrowing and simplification. Rapid declines in the descending limb of the hydrograph kill riparian woody seedlings by desiccation. Fluctuations in the descending limb can kill seedlings by desiccation and inundation. Thus rapid declines and fluctuations would be counterproductive following early-season peaks prescribed to promote cottonwood, but would be consistent with the goal of preventing tamarisk establishment following a late-season peak. The tendency of regulated flows to keep returning to a small number of fixed discharge values (such as power plant capacity or a fixed minimum flow) can cause unnaturally sharp banding of geomorphic surfaces, topography and vegetation that is not necessarily erased by large flood peaks. Changes in sediment load relative to transport capacity may promote channel change especially in alluvial settings. For example, decreases in sediment input from the Little Snake River Basin since 1960 (or earlier) could be associated with channel narrowing and temporary increases in establishment of both cottonwood and tamarisk along the Yampa River. Increases in salinity of water or soil promote tamarisk over the native woody species. Even if water salinity does not increase, floodplain soil salinity can be increased by decreasing the flushing caused by overbank flooding.

Dinosaur National Monument, Yampa River↗

Pinyon and juniper encroachment into sagebrush ecosystems impacts distribution and survival of greater sage-grouse

In sagebrush ( Artemisia spp.) ecosystems, encroachment of pinyon ( Pinus spp.) and juniper ( Juniperus spp.; hereafter, “pinyon-juniper”) trees has increased dramatically since European settlement. Understanding the impacts of this encroachment on behavioral decisions, distributions, and population dynamics of greater sage-grouse (Centrocercus urophasianus) and other sagebrush obligate species could help benefit sagebrush ecosystem management actions. We employed a novel two-stage Bayesian model that linked avoidance across different levels of pinyon-juniper cover to sage-grouse survival. Our analysis relied on extensive telemetry data collected across 6 yr and seven subpopulations within the Bi-State Distinct Population Segment (DPS), on the border of Nevada and California. The first model stage indicated avoidance behavior for all canopy cover classes on average, but individual grouse exhibited a high degree of heterogeneity in avoidance behavior of the lowest cover class (e.g., scattered isolated trees). The second stage modeled survival as a function of estimated avoidance parameters and indicated increased survival rates for individuals that exhibited avoidance of the lowest cover class. A post hoc frailty analysis revealed the greatest increase in hazard (i.e., mortality risk) occurred in areas with scattered isolated trees consisting of relatively high primary plant productivity. Collectively, these results provide clear evidence that local sage-grouse distributions and demographic rates are influenced by pinyon-juniper, especially in habitats with higher primary productivity but relatively low and seemingly benign tree cover. Such areas may function as ecological traps that convey attractive resources but adversely affect population vital rates. To increase sage-grouse survival, our model predictions support reducing actual pinyon-juniper cover as low as 1.5%, which is lower than the published target of 4.0%. These results may represent effects of pinyon-juniper cover in areas with similar ecological conditions to those of the Bi-State DPS, where populations occur at relatively high elevations and pinyon-juniper is abundant and widespread.

Rangeland Ecology and Management↗

The development of an EDSS: Lessons learned and implications for DSS research

The Solar and Wind Energy Resource Assessment (SWERA) project is focused on providing renewable energy (RE) planning resources to the public. Examples include wind, solar, and hydro assessments. SWERA DSS consists of three major components. First, SWERA 'Product Archive' provides for a discovery DSS upon which users can find and access renewable energy data and supporting models. Second, the 'Renewable Resource EXplorer' (RREX) component serves as a web-based, GIS analysis tool for viewing RE resource data available through the SWERA Product Archive. Third, the SWERA web service provides computational access to the data available in the SWERA spatial database through a location based query, and is also utilized in the RREX component. We provide a discussion of various design decisions used in the construction of this EDSS, followed by project experiences and implications for EDSS and broader DSS research.

Conference Paper↗

Plant community trajectories following livestock exclusion for conservation vary and hinge on initial invasion and soil-biocrust conditions in shrub steppe

Adjustments or complete withdrawal of livestock grazing are among the most common conservation actions in semiarid uplands, but outcomes can vary considerably with ecological context. Invasion by exotic annual grasses and the excessive wildfire they promote are increasing threats to semiarid shrub-steppe, and plant-community response to livestock exclusion in these areas may be complicated by the rapid colonization ability of invaders. We evaluated vegetation-community changes over 14-year interval (2007–2021) in a shrub-steppe landscape where a >100-year history of livestock grazing had been terminated in 1996. Field surveys revealed that bare-soil exposure decreased >20% over the 14 years owing to biomass accumulation, but this was primarily due to large increases in exotic annual “cheatgrass” ( Bromus tectorum , +1.8-fold) and the litter it produces (+1.5-fold). Soil biocrusts increased 11.9% and perennial bunchgrasses increased 3% over the 14 years. These community changes varied at the patch scale and entailed inverse relationships of (1) both cheatgrass and biocrusts to plant-community basal cover, (2) cheatgrass to both biocrusts and perennial grasses, and (3) biocrusts to cheatgrass and litter. The spatiotemporal variability in vegetation constituted changes in plant-community states, according to cluster analysis. The modeled probability of a community transitioning to a cheatgrass state was (1) strongly and positively related to the initial (2007) cover of cheatgrass in hotspots where initial cheatgrass cover was >20%, and (2) negatively related to biocrust cover where initial biocrust cover was >4% of ground area. The decision space for this landscape can be framed as a shifting from acceptance towards resisting further degradation by removing livestock and their trampling of soil surfaces and utilization of perennial herbs. However, cheatgrass appears to be the most impactful agent of change and continued invasion appears imminent. Active restoration may help resist further degradation and direct change towards tolerable conditions.

Colorado↗

Development of continuous bathymetry and two-dimensional hydraulic models for the Willamette River, Oregon

The Willamette River is home to at least 69 species of fish, 33 of which are native, including Chinook salmon ( Oncorhynchus tshawytscha ) and steelhead ( Oncorhynchus mykiss ). These fish need suitable hydraulic conditions, such as water depth and velocity, to fulfill various stages of their life. Hydraulic conditions are driven by interactions between channel morphology and streamflow, which throughout the Willamette River are strongly influenced by the operation of flood-control dams in upstream tributaries. To assess how streamflow management at these dams affects downstream fish habitat, the U.S. Geological Survey has developed high-resolution bathymetric datasets to support the development of two-dimensional hydraulic models. The datasets were created by combining data collected by airborne topo-bathymetric Light Detection and Ranging with boat-based sonar to create a seamless modeling surface over which a computational mesh with a resolution of roughly 5 by 5 meters was overlaid using the U.S. Army Corps of Engineers Hydraulic Engineering Center’s River Analysis System 5.0.7 hydraulic modeling software. Models were developed for about 200 river kilometers, separated into five modeling reaches, and hydraulic conditions were simulated at flows ranging from extremely low values to annual peak flows. Results of the simulations highlight distinct patterns of inundation extents, water depths, and velocities that vary longitudinally along the Willamette River. In the two farthest upstream model reaches, from Eugene to Corvallis, the river is slower, shallower, and inundates more area at similar seasonal flows than in reaches downstream from Corvallis, where the river generally is deeper and faster. These findings align with previous geomorphic analysis of the Willamette River showing the upper reaches of the river to be geomorphically more dynamic compared to the largely single-thread channel farther downstream. Results of simulations made with these hydraulic models can be used to drive fish-habitat models to further inform flow-management decisions.

Oregon↗

Simulation of groundwater flow and analysis of the effects of water-management options in the North Platte Natural Resources District, Nebraska

The North Platte Natural Resources District (NPNRD) has been actively collecting data and studying groundwater resources because of concerns about the future availability of the highly inter-connected surface-water and groundwater resources. This report, prepared by the U.S. Geological Survey in cooperation with the North Platte Natural Resources District, describes a groundwater-flow model of the North Platte River valley from Bridgeport, Nebraska, extending west to 6 miles into Wyoming. The model was built to improve the understanding of the interaction of surface-water and groundwater resources, and as an optimization tool, the model is able to analyze the effects of water-management options on the simulated stream base flow of the North Platte River. The groundwater system and related sources and sinks of water were simulated using a newton formulation of the U.S. Geological Survey modular three-dimensional groundwater model, referred to as MODFLOW&ndash;NWT, which provided an improved ability to solve nonlinear unconfined aquifer simulations with wetting and drying of cells. Using previously published aquifer-base-altitude contours in conjunction with newer test-hole and geophysical data, a new base-of-aquifer altitude map was generated because of the strong effect of the aquifer-base topography on groundwater-flow direction and magnitude. The largest inflow to groundwater is recharge originating from water leaking from canals, which is much larger than recharge originating from infiltration of precipitation. The largest component of groundwater discharge from the study area is to the North Platte River and its tributaries, with smaller amounts of discharge to evapotranspiration and groundwater withdrawals for irrigation. Recharge from infiltration of precipitation was estimated with a daily soil-water-balance model. Annual recharge from canal seepage was estimated using available records from the Bureau of Reclamation and then modified with canal-seepage potentials estimated using geophysical data. Groundwater withdrawals were estimated using land-cover data, precipitation data, and published crop water-use data. For fields irrigated with surface water and groundwater, surface-water deliveries were subtracted from the estimated net irrigation requirement, and groundwater withdrawal was assumed to be equal to any demand unmet by surface water. The groundwater-flow model was calibrated to measured groundwater levels and stream base flows estimated using the base-flow index method. The model was calibrated through automated adjustments using statistical techniques through parameter estimation using the parameter estimation suite of software (PEST). PEST was used to adjust 273 parameters, grouped as hydraulic conductivity of the aquifer, spatial multipliers to recharge, temporal multipliers to recharge, and two specific recharge parameters. Base flow of the North Platte River at Bridgeport, Nebraska, streamgage near the eastern, downstream end of the model was one of the primary calibration targets. Simulated base flow reasonably matched estimated base flow for this streamgage during 1950&ndash;2008, with an average difference of 15 percent. Overall, 1950&ndash;2008 simulated base flow followed the trend of the estimated base flow reasonably well, in cases with generally increasing or decreasing base flow from the start of the simulation to the end. Simulated base flow also matched estimated base flow reasonably well for most of the North Platte River tributaries with estimated base flow. Average simulated groundwater budgets during 1989&ndash;2008 were nearly three times larger for irrigation seasons than for non-irrigation seasons. The calibrated groundwater-flow model was used with the Groundwater-Management Process for the 2005 version of the U.S. Geological Survey modular three-dimensional groundwater model, MODFLOW&ndash;2005, to provide a tool for the NPNRD to better understand how water-management decisions could affect stream base flows of the North Platte River at Bridgeport, Nebr., streamgage in a future period from 2008 to 2019 under varying climatic conditions. The simulation-optimization model was constructed to analyze the maximum increase in simulated stream base flow that could be obtained with the minimum amount of reductions in groundwater withdrawals for irrigation. A second analysis extended the first to analyze the simulated base-flow benefit of groundwater withdrawals along with application of intentional recharge, that is, water from canals being released into rangeland areas with sandy soils. With optimized groundwater withdrawals and intentional recharge, the maximum simulated stream base flow was 15&ndash;23 cubic feet per second (ft 3 /s) greater than with no management at all, or 10&ndash;15 ft 3 /s larger than with managed groundwater withdrawals only. These results indicate not only the amount that simulated stream base flow can be increased by these management options, but also the locations where the management options provide the most or least benefit to the simulated stream base flow. For the analyses in this report, simulated base flow was best optimized by reductions in groundwater withdrawals north of the North Platte River and in the western half of the area. Intentional recharge sites selected by the optimization had a complex distribution but were more likely to be closer to the North Platte River or its tributaries. Future users of the simulation-optimization model will be able to modify the input files as to type, location, and timing of constraints, decision variables of groundwater withdrawals by zone, and other variables to explore other feasible management scenarios that may yield different increases in simulated future base flow of the North Platte River.

Nebraska↗