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At least 685 records · Page 38Linked to original sources

Partners in flight bird conservation plan for the Upper Great Lakes Plain (Physiographic Area 16)

1 November 2001. Conservation of bird habitats is a major focus of effort by Partners in Flight, an international coalition of agencies, citizens, and other groups dedicated to 'keeping common birds common'. USGS worked on a planning team to publish a bird conservation plan for the Upper Great Lakes Plain ecoregion (PIF 16), which includes large portions of southern Wisconsin, southern Michigan and parts of Minnesota, Iowa, Illinois, Indiana, and Ohio. The conservation plan outlines specific habitat restoration and bird population objectives for the ecoregion over the next decade. The plan provides a context for on-the-ground conservation implementation by the US Fish and Wildlife Service, the USDA Natural Resources Conservation Service, the US Forest Service, states, and conservation groups. Citation: Knutson, M. G., G. Butcher, J. Fitzgerald, and J. Shieldcastle. 2001. Partners in Flight Bird Conservation Plan for The Upper Great Lakes Plain (Physiographic Area 16). USGS Upper Midwest Environmental Sciences Center in cooperation with Partners in Flight, La Crosse, Wisconsin. Download from website: http://www.blm.gov/wildlife/pifplans.htm. The Upper Great Lakes Plain covers the southern half of Michigan, northwest Ohio, northern Indiana, northern Illinois, southern Wisconsin, and small portions of southwest Minnesota and northwest Iowa. Glacial moraines and dissected plateaus are characteristic of the topography. Broadleaf forests, oak savannahs, and a variety of prairie communities are the natural vegetation types. A oDriftless Areao was not glaciated during the late Pleistocene and emerged as a unique area of great biological diversity. Priority bird species for the area include the Henslow's Sparrow, Sedge Wren, Bobolink, Golden-winged Warbler, Cerulean Warbler, Black-billed Cuckoo, and Red-headed Woodpecker. There are many large urban centers in this area whose growth and sprawl will continue to consume land. The vast majority of the presettlement forest and oak savannah grasslands already have been converted to agriculture. The conversion to cropland may have benefitted some grassland birds, and forest birds still persist. Rates of cowbird parasitism and nest predation in this heavily fragmented region, however, are extremely high and it is possible that only those bird communities in the few remaining expanses of contiguous habitat are self-sustaining. Forest habitat needs to be retained or restored so that a significant number of patches of sufficient size and quality each support a healthy population of Cerulean Warblers. It is assumed that each of these patches will then support the full range of forest birds. The total area of savannah habitat also should be increased, although the need for large blocks is not as apparent. Those few areas of grassland that still exist should be retained.

Report↗

Evaluations of duck habitat and estimation of duck population sizes with a remote-sensing-based system

During 1987-90, we used high-altitude photography, aerial videography, counts, and models to estimate sizes of breeding populations of dabbling ducks (Anatinae) and duck production and to identify duck habitat on U.S. Fish and Wildlife Service land and easements and on private land in the prairie pothole region of the United States. The study area contained about 3.1 million wetland basins (28,490 km2). Wetland area (ha per km2) was highest on service-owned land; wetland-basin density was greatest on service easements. Temporary and seasonal wetlands were underrepresented and lakes were overrepresented on service-owned land. Seventy-eight percent of all basins were less than 0.41 ha. Cropland dominated private land. Pond density decreased from 4.4/km2 in 1987 to 3.4/km2 in 1990 and pond area, from 7.2 ha/km2 to 2.7 ha/km2. The density of the blue-winged teal was greatest (3.4 pairs/km2) and was followed in magnitude by those of the mallard (2.1 pairs/km2), the gadwall (1.8 pairs/km2), the northern pintail (0.8 pairs/km2), and the redhead (0.8 pairs/km2). Duck density was consistently highest on service-owned land. The decline of breeding-population sizes in 1987-90 closely corresponded to losses of pond numbers and pond area. The density of breeding pairs per pond was inversely related to pond density, suggesting that breeding ducks tended to concentrate on the remaining ponds as drought intensified. The production of recruits followed the same pattern as breeding-population sizes. We estimated that 2.5% of the ducklings hatched on service-owned land, which was 1.3% of the study area; 19.6% hatched on service easements, which were 14.2% of the study area; and 77.9% hatched on private land, which was 84.6% of the study area. Various sources of bias and sampling error and improvements to the system are discussed.

Biological Science Report↗

Habitat Suitability Index Models: Great egret

The great egret, also called common egret or American egret, is a large white heron tn the order Ciconiiformes, family Ardeidae. Great egrets stand 94.0-104.1 cm (37-41 inches) tall and have a wing spread to 139.7 cm (55 inches) (Terres 1980). The species is associated with streams, ponds, lakes, mud flats, swamps, ahd freshwater and salt marshes. The birds feed in shallow water on fishes, amphibians, reptiles, crustaceans and insects (Terres 1980).

FWS/OBS↗

The screech owl: Its life history and population ecology in northern Ohio

The screech owl ( Otus asio ) is native to North America and breeds throughout the United States and in portions of Canada and Mexico. It is a small owl, 20 cm (8 in) in length from the tip of the bill to the tip of the tail, with a wing span of 56 cm (22 in); it has yellow eyes and prominent ear tufts (see Frontispiece). Although the species is common throughout much of North America, it has not been studied intensively, particularly over a long period. The published literature is concerned mostly with food habits, color phase, taxonomy, and miscellaneous observations. Breeding biology and population dynamics have received little attention. This report presents the basic life history and population information about screech owls in northern Ohio over a 30-yr period. The owls studied were nesting in boxes (Fig. 1) established for wood ducks ( Aix sponsa ) along rivers, creeks, and marshes in a four-county area (Ottawa, Sandusky, Wood, and Lucas Counties) near Lake Erie (Fig. 2). No special trapping techniques were required as the screech owls readily used these nesting boxes and could be easily captured while in them. More than 3,000 owls were captured and banded; 500 were recaptured after the initial banding, some 10 or 15 times. This process provided a large quanity of basic information for this report.

Ohio↗

Mitigation and enhancement techniques for the Upper Mississippi River system and other large river systems

Extensive information is provided on techniques that can reduce or eliminate the negative impact of man's activities (particularly those related to navigation) on large river systems, with special reference to the Upper Mississippi River. These techniques should help resource managers who are concerned with such river systems to establish sound environmental programs. Discussion of each technique or group of techniques include (1) situation to be mitigated or enhanced; (2) description of technique; (3) impacts on the environment; (4) costs; and (5) evaluation for use on the Upper Mississippi River Systems. The techniques are divided into four primary categories: Bank Stabilization Techniques, Dredging and Disposal of Dredged Material, Fishery Management Techniques, and Wildlife Management Techniques. Because techniques have been grouped by function, rather than by structure, some structures are discussed in several contexts. For example, gabions are discussed for use in revetments, river training structures, and breakwaters. The measures covered under Bank Stabilization Techniques include the use of riprap revetments, other revetments, bulkheads, river training structures, breakwater structures, chemical soil stabilizers, erosion-control mattings, and filter fabrics; the planting of vegetation; the creation of islands; the creation of berms or enrichment of beaches; and the control of water level and boat traffic. The discussions of Dredging and the Disposal of Dredged Material consider dredges, dredging methods, and disposal of dredged material. The following subjects are considered under Fishery Management Techniques: fish attractors; spawning structures; nursery ponds, coves, and marshes; fish screens and barriers; fish passage; water control structures; management of water levels and flows; wing dam modification; side channel modification; aeration techniques; control of nuisance aquatic plants; and manipulated of fish populations. Wildlife Management Techniques include treatments of artificial nest structures, island creation or development, marsh creation or development, greentree reservoirs and mast management, vegetation control, water level control, and revegetation.

Upper Mississippi River↗

Avian use of forest habitats in the Pembina Hills of northeastern North Dakota

North Dakota has the least extensive total area of forested habitats of any of the 50 United States. Although occurring in limited area, forest communities add considerably to the total ecological diversity of the State. The forests of the Pembina Hills region in northeastern North Dakota are one of only three areas large enough to be considered of commercial value. During 1981 we studied the avifauna of the upper valley of the Pembina River in the Pembina Hills. Field work extended from 20 April to 23 July; breeding bird censuses were conducted 7 June to 2 July. Of the 120 bird species recorded during the study period, 79 species were recorded during the breeding season. The total breeding population was estimated at nearly 76,000 breeding pairs. The wood warblers (Parulidae) were the most numerous family, accounting for about 28,000 breeding pairs. The yellow warbler (Dendroica petechia) was the most abundant breeding species, making up 19.4% of the population. American redstart (Setophaga ruticilla) was second in abundance, accounting for 10.5% of the breeding population. Largest breeding densities occurred in the willow (Salix sp.) shrub community. Although supporting the lowest mean breeding density, quaking aspen (Populus tremuloides) forests supported the highest species diversity. First State breeding records were recorded for alder flycatcher (Empidonax alnorum) and golden-winged warbler (Vermivora chrysoptera). Records were obtained for 12 species considered rare or unusual in North Dakota during the breeding season. The status of all species known to have occurred in the study area is described in an annotated species list.

Resource Publication↗

Framework for assessing and mitigating the impacts of offshore wind energy development on marine birds

Offshore wind energy development (OWED) is rapidly expanding globally and has the potential to contribute significantly to renewable energy portfolios. However, development of infrastructure in the marine environment presents risks to wildlife. Marine birds in particular have life history traits that amplify population impacts from displacement and collision with offshore wind infrastructure. Here, we present a broadly applicable framework to assess and mitigate the impacts of OWED on marine birds. We outline existing techniques to quantify impact via monitoring and modeling (e.g., collision risk models, population viability analysis), and present a robust mitigation framework to avoid, minimize, or compensate for OWED impacts. Our framework addresses impacts within the context of multiple stressors across multiple wind energy developments. We also present technological and methodological approaches that can improve impact estimation and mitigation. We highlight compensatory mitigation as a tool that can be incorporated into regulatory frameworks to mitigate impacts that cannot be avoided or minimized via siting decisions or alterations to OWED infrastructure or operation. Our framework is intended as a globally-relevant approach for assessing and mitigating OWED impacts on marine birds that may be adapted to existing regulatory frameworks in regions with existing or planned OWED.

Biological Conservation↗

Revisiting the physical processes controlling the tropical atmospheric circulation changes during the Mid-Piacenzian Warm Period

The Mid-Piacenzian Warm Period (MPWP; 3.0–3.3 Ma), a warm geological period about three million years ago, has been deemed as a good past analog for understanding the current and future climate change. Based on 12 climate model outputs from Pliocene Model Intercomparison Project Phase 2 (PlioMIP2), we investigate tropical atmospheric circulation (TAC) changes under the warm MPWP and associated underlying mechanisms by diagnosing both atmospheric static stability and diabatic processes. Our findings underscore the advantage of analyzing atmospheric diabatic processes in elucidating seasonal variations of TAC compared to static stability assessments. Specifically, by diagnosing alterations in diabatic processes, we achieve a quantitative understanding and explanation the following TAC changes (incl. Strength and edge) during the MPWP: the weakened (annual, DJF, JJA) Northern Hemisphere and (DJF) Southern Hemisphere Hadley circulation (HC), reduced (annual, DJF) Pacific Walker circulation (PWC) and enhanced (annual, JJA) Southern Hemisphere HC and (JJA) PWC, and westward shifted (annual, DJF, JJA) PWC. We further addressed that the increasing bulk subtropical static stability and/or decreasing vertical shear of subtropical zonal wind - two crucial control factors for changes in subtropical baroclinicity - may promote HC widening, and vice versa. Consequently, our study of spatial diabatic heating and cooling, corresponding to upward and downward motions within the TAC, respectively, provides a new perspective for understanding the processes controlling seasonal TAC changes in response to surface warming.

Quaternary International↗

Multi-temporal LiDAR and Landsat quantification of fire-induced changes to forest structure

Measuring post-fire effects at landscape scales is critical to an ecological understanding of wildfire effects. Predominantly this is accomplished with either multi-spectral remote sensing data or through ground-based field sampling plots. While these methods are important, field data is usually limited to opportunistic post-fire observations, and spectral data often lacks validation with specific variables of change. Additional uncertainty remains regarding how best to account for environmental variables influencing fire effects (e.g., weather) for which observational data cannot easily be acquired, and whether pre-fire agents of change such as bark beetle and timber harvest impact model accuracy. This study quantifies wildfire effects by correlating changes in forest structure derived from multi-temporal Light Detection and Ranging (LiDAR) acquisitions to multi-temporal spectral changes captured by the Landsat Thematic Mapper and Operational Land Imager for the 2012 Pole Creek Fire in central Oregon. Spatial regression modeling was assessed as a methodology to account for spatial autocorrelation, and model consistency was quantified across areas impacted by pre-fire mountain pine beetle and timber harvest. The strongest relationship (pseudo-r 2 = 0.86, p < 0.0001) was observed between the ratio of shortwave infrared and near infrared reflectance (d74) and LiDAR-derived estimate of canopy cover change. Relationships between percentage of LiDAR returns in forest strata and spectral indices generally increased in strength with strata height. Structural measurements made closer to the ground were not well correlated. The spatial regression approach improved all relationships, demonstrating its utility, but model performance declined across pre-fire agents of change, suggesting that such studies should stratify by pre-fire forest condition. This study establishes that spectral indices such as d74 and dNBR are most sensitive to wildfire-caused structural changes such as reduction in canopy cover and perform best when that structure has not been reduced pre-fire.

Oregon↗

A streamflow permanence classification model for forested streams that explicitly accounts for uncertainty and extrapolation

Accurate mapping of headwater streams and their flow status has important implications for understanding and managing water resources and land uses. However, accurate information is rare, especially in rugged, forested terrain. We developed a streamflow permanence classification model for forested lands in western Oregon using the latest light detection and ranging-derived hydrography published in the National Hydrography Dataset. Models were trained using 2,518 flow/no flow field observations collected in late summer 2019–2021 across headwaters of 129 sub-watersheds. The final model, the Western Oregon WeT DRy model, used Random Forest and 13 environmental covariates for classifying every 5-m stream sub-reach across 426 sub-watersheds. The most important covariates were annual precipitation and drainage area. Model output included probabilities of late summer surface flow presence and were subsequently categorized into three streamflow permanence classes—Wet, Dry, and Ambiguous. Ambiguous denoted model probabilities and associated prediction intervals that extended over the 50% classification threshold between wet and dry. Model accuracy was 0.83 for sub-watersheds that contained training data and decreased to 0.67 for sub-watersheds that did not have observations of late summer surface flow. The model identified where predictions extrapolated beyond the domain characterized by the training data. The combination of spatially continuous estimates of late summer streamflow status along with uncertainty and extrapolation estimates provide critical information for strategic project planning and designing additional field data collection.

Oregon↗

Assessing confidence in Pliocene sea surface temperatures to evaluate predictive models

In light of mounting empirical evidence that planetary warming is well underway, the climate research community looks to palaeoclimate research for a ground-truthing measure with which to test the accuracy of future climate simulations. Model experiments that attempt to simulate climates of the past serve to identify both similarities and differences between two climate states and, when compared with simulations run by other models and with geological data, to identify model-specific biases. Uncertainties associated with both the data and the models must be considered in such an exercise. The most recent period of sustained global warmth similar to what is projected for the near future occurred about 3.3–3.0 million years ago, during the Pliocene epoch. Here, we present Pliocene sea surface temperature data, newly characterized in terms of level of confidence, along with initial experimental results from four climate models. We conclude that, in terms of sea surface temperature, models are in good agreement with estimates of Pliocene sea surface temperature in most regions except the North Atlantic. Our analysis indicates that the discrepancy between the Pliocene proxy data and model simulations in the mid-latitudes of the North Atlantic, where models underestimate warming shown by our highest-confidence data, may provide a new perspective and insight into the predictive abilities of these models in simulating a past warm interval in Earth history. This is important because the Pliocene has a number of parallels to present predictions of late twenty-first century climate.

Nature Climate Change↗

Decomposition of physical processes controlling EASM precipitation changes during the mid-Piacenzian: New insights into data–model integration

The mid-Piacenzian warm period (MPWP, ~3.264–3.025 Ma) has gained widespread interest due to its partial analogy with future climate. However, quantitative data–model comparison of East Asian Summer Monsoon (EASM) precipitation during the MPWP is relatively rare, especially due to problems in decoding the imprint of physical processes to climate signals in the records. In this study, pollen-based precipitation records are reconstructed and compared to the multi-model ensemble mean of the Pliocene Model Intercomparison Project Phase 2 (PlioMIP2). We find spatially consistent precipitation increase in most simulations but a spatially divergent change in MPWP records. We reconcile proxy data and simulation by decomposing physical processes that control precipitation. Our results 1) reveal thermodynamic control of an overall enhancement of EASM precipitation and 2) highlight a distinct control of thermodynamic and dynamical processes on increases of tropical and subtropical EASM precipitation, reflecting the two pathways of water vapor supply that enhance EASM precipitation, respectively.

npj Climate and Atmospheric Science↗

Economic consequence analysis of the Arkstorm scenario

The business interruption (BI) impacts of ARkStorm, a severe winter storm scenario developed by the U.S. Geological Survey and partners, is estimated. BI stems from losses of building function, productivity of agricultural land, and lifeline services. A dynamic computable general equilibrium model of the California economy is developed to perform this economic consequence analysis. Economic resilience in the form of input and import substitution is inherent in the model’s equilibrium solution, and the model parameterization is adjusted to reflect other forms of resilience such as production recapture. Varying assumptions about the timing and source of funds for reconstruction results in a range of recovery paths. Five years after the storm, flood-induced building damage is the overwhelming source of gross domestic product (GDP) losses, timely and partially externally funded reconstruction mitigates impacts by approximately 50%, and the economy is not guaranteed to return to its baseline GDP trajectory. The methodology serves as a template for assessing the macroeconomic consequences of disasters and the influence of resilience in reducing BI losses.

National Hazards Review↗

Economic impacts of a California tsunami

The economic consequences of a tsunami scenario for Southern California are estimated using computable general equilibrium analysis. The economy is modeled as a set of interconnected supply chains interacting through markets but with explicit constraints stemming from property damage and business downtime. Economic impacts are measured by the reduction of Gross Domestic Product for Southern California, Rest of California, and U.S. economies. For California, total economic impacts represent the general equilibrium (essentially quantity and price multiplier) effects of lost production in industries upstream and downstream in the supply-chain of sectors that are directly impacted by port cargo disruptions at Port of Los Angeles and Port of Long Beach (POLA/POLB), property damage along the coast, and evacuation of potentially inundated areas. These impacts are estimated to be $2.2 billion from port disruptions, $0.9 billion from property damages, and $2.8 billion from evacuations. Various economic-resilience tactics can potentially reduce the direct and total impacts by 80–85%.

California↗

Economic consequences of the HayWired earthquake scenario

This study evaluates the economic impacts of a M w 7.0 Hayward fault scenario earthquake on the greater San Francisco Bay Region’s economy and the California economy as a whole using a detailed multiregional, static computable general equilibrium model. Economic impacts in terms of Gross Regional Product (GRP) losses caused by both capital stock (building and content) damages and water and electricity utilities, and telecommunications-service disruptions are estimated. The results indicate that the total losses are primarily caused by capital stock damages. In the 6 months following the earthquake, total GRP losses are estimated to be $44.2 billion (4.2 percent of California’s projected baseline GRP over the period), but this result could be reduced by about 43 percent to $25.3 billion after factoring in microeconomic resilience tactics. The GRP losses associated with lifeline service disruptions are estimated to be $1.4 billion, which can be reduced by over 85 percent when resilience tactics are implemented. The most effective tactics are the ability to make up lost production by people working overtime or extra shifts (production recapture), making greater use of processes that do not need disrupted goods or services (production isolation), and substituting for disrupted supplies and services (input substitution), though their impact varies across the various causal factors influencing GRP losses.

California↗

Biostratigraphically significant palynofloras from the Paleocene–Eocene boundary of the USA

Pollen and spores were recovered from the Paleocene Fort Union Formation and Paleocene–Eocene Willwood Formation of the Bighorn Basin (BHB), northwestern Wyoming, USA. In many local stratigraphic sections in the BHB, the base of the Eocene has been identified by the characteristic negative carbon isotope excursion (CIE) that marks the beginning of the Paleocene–Eocene Thermal Maximum (PETM). The palynotaxa from outcrop samples were examined using light microscopy (LM) and scanning electron microscopy (SEM). Seven new species are formally described ( Tricolpites vegrandis , Rousea spatium , Striatricolporites astutus , Striatopollis calidarius , Friedrichipollis geminus , Retistephanocolporites modicrassus and Retistephanocolporites pergrandis ). The temporal and geographic distributions of many of these palynotaxa suggest that hotter and more seasonally dry climates facilitated their northward range shifts during the PETM from the tropics or subtropics of the USA. For the temperate palynotaxa, the hotter and seasonally dry conditions resulted in local extirpation. A re-evaluation of the palynostratigraphic schemes established for the Paleocene–Eocene boundary confirms that the first appearance of Platycarya platycaryoides denotes the Paleocene–Eocene boundary in the Rocky Mountains region. A new Striatopollis calidarius Subzone, associated with early Wasatchian (Wa) Wa-0 and Wa-R faunas, is also recognized for CIE body localities in the BHB.

Wyoming↗

How lions move at night when they hunt?

Movement patterns of lions ( Panthera leo ) reveal how they hunt large herbivores in heterogeneous landscapes such as the Kruger National Park in South Africa. Large herbivores are distributed differently on the landscape and therefore have different vulnerabilities as prey for lions. For instance, blue wildebeest ( Connochaetes taurinus ) occupy small grazing lawns at night but are difficult for lions to capture because open areas lack cover for stalking. African buffalo ( Syncerus caffer ) aggregate in large herds but are less available because these herds only intermittently enter the home ranges of individual lion prides. Unlike large herds of wildebeest and buffalo, plains zebra ( Equus quagga ) move widely in small herds while browsing greater kudus ( Tragelaphus strepsiceros ) and giraffes ( Giraffa camelopardalis giraffa ) generally occur in lower densities. We used spatial data derived from GPS collars to investigate several hypotheses regarding the movements of three lion prides in response to their prey. We found that lions were most active and moved longer distances during nighttime than during daytime. Lions remained within their core home ranges on 87% of nights and wandered to the outlying areas of the home ranges every second night. Lions visited grazing lawns, that is, area of short grass, where wildebeest herds resided every second night, and moved toward the direction of buffalo herds within 2 km of vicinity. Lions spent more time near riverbanks that provided dense woody cover at night than expected but concentrated only weakly near sites with surface water where herbivores drank in the dry season. Our study contributes to understanding how lions vary their movements in response to the spatial and temporal heterogeneity in the relative availability and vulnerability of multiple prey species.

Kruger National Park↗

Assessing the exposure of three diving bird species to offshore wind areas on the U.S. Atlantic Outer Continental Shelf using satellite telemetry

Aim The United States Atlantic Outer Continental Shelf (OCS) has considerable offshore wind energy potential. Capturing that resource is part of a broader effort to reduce CO 2 emissions. While few turbines have been constructed in U.S. waters, over a dozen currently planned offshore wind projects have the potential to displace marine birds, potentially leading to effective habitat loss. We focused on three diving birds identified in Europe to be vulnerable to displacement. Our research aimed to determine their potential exposure to areas designated or proposed for offshore wind development along the Atlantic OCS. Methods Satellite tracking technology was used to determine the spatial and temporal use and movement patterns of Surf Scoters ( Melanitta perspicillata ), Red‐throated Loons ( Gavia stellata ) and Northern Gannets ( Morus bassanus ), and calculate their exposure to each offshore wind area. We tagged 236 adults in 2012–2015 on the Atlantic OCS from New Jersey to North Carolina; an additional 147 birds tagged in previous tracking studies were integrated into our analyses. Tracking data were analysed in two‐week intervals using dynamic Brownian bridge movement models to develop composite spatial utilization distributions. For each species, these distributions were then used to calculate the spatio‐temporal exposure to each offshore wind area. Results Surf Scoters and Red‐throated Loons were exposed to offshore wind areas almost exclusively during migration because these species were distributed among coastal and inshore waters during winter months. In contrast, Northern Gannets ranged over a much larger area, reaching farther offshore and south in winter, thus exhibited the greatest exposure to extant offshore wind areas. Conclusions Results of this study provide better understanding of how diving birds use current and potential future offshore wind areas on the Atlantic OCS, and can inform permitting, risk assessment and pre‐ and post‐construction impact assessments of offshore energy infrastructure.

Atlantic Outer Continental Shelf↗