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The researcher's lament: Why do they ignore my science?

The researcher's lament is shared by many environmental and conservation scientists who complain about the little support they receive for their research proposals during the review and selection process. Understandably, any hopes of having their anticipated scientific findings applied toward the formulation of environmental management decisions or natural resource policy action are shattered. They attribute this lack of endorsement to shortcomings and limitations among decision makers and proposal selection officials when, in many cases, the rejection of project proposals is often a function of a handful of self-inflicted failures by applied scientists who anchor themselves stubbornly to doomed approaches. Familiar deficiencies in their research proposals perpetuate the disconnect between the enterprise of science and real-world resource management challenges. Researchers themselves can affect conditions that turn up the appetite for their scientific endeavors as a more meaningful component of the decision-making process, namely, to stage and deliver science that is more readily "actionable." Perhaps it is time for them to consider a course correction to improve the viability of their actionable science proposals. A few basic steps may help rejigger the science planning process in this direction and, consequently, help avoid the researcher's lament. The likelihood of gaining support during the proposal review and award adjudication process, and securing practical application of scientific products, increases when the products are (1) the result of active engagement of researchers with decision makers; (2) better connected to social and political priorities; (3) clearly designed to inform specific management decisions; and (4) tailored to fit the needs of targeted end users. These considerations and activities exist beyond the comfort zone of many environmental or conservation scientists. Yet, those who adopt them will spend less time lamenting rejection and become more influential in the production of actionable knowledge.

Ecosphere↗

Groundwater modeling

The state of the science and practice in groundwater modeling brings to mind highly sophisticated computer models that are running in parallel on many multi-processor machines. These models are expected to incorporate many different processes of both saturated and unsaturated groundwater flow and transport and possibly the media to which it connects, like surface waters and the atmosphere. We are increasingly aware we cannot study groundwater flow in isolation if we are to make useful predictions of, for instance, the impacts of climate change on the groundwater regime. We have come a long way. Today we are no longer limited to equations for flow toward a well, perhaps near an infinitely long straight canal (method of images), to sandbox models in the laboratory, or to simple steady state models of flow in a single aquifer. We now have computer models that solve groundwater flow and transport in multi-aquifer settings under transient conditions and with a user-friendly graphical user interface that allows widespread use. Additionally, multi-media models are now leaving the research environment and becoming available to mainstream consultants. So in that sense the science of groundwater modeling has matured. The practice of groundwater modeling, however, has also matured. We have come to realize that model output, being a necessary simplification of an unknowably complex natural world, has inherent limitations. That is, a model of reality is not reality itself. There is uncertainty associated with all facets of our model—parameterization, aquifer geometry and discretization, boundary conditions, and future hydrologic drivers such as future pumping regimes and climates. Today a model is now more appropriately seen as a tool that provides a quantitative framework to make supportable forecasts rather than an oracle that gives us all the answers. In this chapter we set out to briefly review the state of the science and practice in modeling. In doing so, we augment existing assessments from the journal Groundwater (e.g., Hunt and Zheng 2012; Langevin and Panday 2012; Molz 2017a,b; White 2017), specifically in terms of modeling approach. An effective modeling approach is critical. If a modeler does not decompose the societal problem correctly, the model will not be fit-for-purpose, no matter how sophisticated the code’s capabilities. Moreover, capabilities of codes will be ever improving; good modeling practices have a timelessness that is more robust. How best to decompose the problem and provide models that are accepted? We lay out here some approaches for today’s applied groundwater modeling. Specifically, we suggest: (1) a step-wise modeling process; (2) including a two-dimensional areal model within this process; (3) keeping abreast of industry standards; and (4) ways to increase acceptance of the models we produce.

Book chapter↗

Seismic and tsunami hazard in Puerto Rico and the Virgin Islands

Executive Summary Puerto Rico and the Virgin Islands are located at an active plate boundary between the North American plate and the northeast corner of the Caribbean plate. The region was subject in historical times to large magnitude earthquakes and devastating tsunamis. A major downward tilt of the sea floor north of Puerto Rico and the Virgin Islands, large submarine rockslides, and an unusually large negative gravity anomaly are also indicative of a tectonically active region. Scientists have so far failed to explain the deformation of this region in a coherent and predictable picture, such as in California, and this has hampered their ability to assess seismic and tsunami hazards in the region. The NE corner of the Caribbean is unique among the seismically-active regions of the United States in that it is mostly covered by water. This fact presents an additional challenge for seismic and tsunami hazard assessment and mitigation. The workshop, convened in San Juan on March 23-24, 1999, was "historic" in that it brought together for the first time a broad spectrum of scientists, engineers, and public and private sector officials who deal with such diverse questions as tectonic models, probabilistic assessment of seismic hazard, prediction of tsunami runup, strong ground motion, building codes, stability of man-made structures, and the public’s preparedness for natural disasters. It was an opportunity for all the participants to find out how their own activity fit into the broad picture of science and how it aids society in hazard assessment and mitigation. In addition, the workshop was offered as a continuing education course at the Colegio de Ingenieros y Agrimensores de Puerto Rico, which assured a rapid dissemination of the results to the local community. A news conference which took place during the workshop alerted the public to the efforts of the USGS, other Federal agencies, the Commonwealth of Puerto Rico, universities and the private sector. During the first day of the workshop, participants from universities, federal institutions, and consulting firms in Puerto Rico, the Virgin Islands, the continental U.S., Dominican Republic, and Europe reviewed the present state of knowledge including a review and discussion of present plate models, recent GPS and seismic reflection data, seismicity, paleoseismology, and tsunamis. The state of earthquake/tsunami studies in Puerto Rico was presented by several faculty members from the University of Puerto Rico at Mayaguez. A preliminary seismic hazard map was presented by the USGS and previous hazard maps and economic loss assessments were considered. During the second day, the participants divided into working groups and prepared specific recommendations for future activities in the region along the six following topics below. Highlights of these recommended activities are: Marine geology and geophysics – Acquire deep-penetration seismic reflection and refraction data, deploy temporary ocean bottom seismometer arrays to record earthquakes, collect high-resolution multibeam bathymetry and side scan sonar data of the region, and in particular, the near shore region, and conduct focussed high-resolution seismic studies around faults. Determine slip rates of specific offshore faults. Assemble a GIS database for available marine geological and geophysical data. Paleoseismology and active faults - Field reconnaissance aimed at identifying Quaternary faults and determining their paleoseismic chronology and slip rates, as well as identifying and dating paleoliquefaction features from large earthquakes. Quaternary mapping of marine terraces, fluvial terraces and basins, beach ridges, etc., to establish framework for understanding neotectonic deformation of the island. Interpretation of aerial photography to identify possible Quaternary faults. Earthquake seismology – Determine an empirical seismic attenuation function using observations from local seismic networks and recently-installed broad-band stations. Evaluate existing earthquake catalogs from local networks and regional stations, complete the catalogs. Transcribe the pre-1991 network data from 9-track tape onto more stable archival media. Calibrate instruments of local networks. Use GPS measurement to constrain deformation rates used in seismic-hazard maps. Engineering – Prepare liquefaction susceptibility maps for the urban areas. Update and improve databases for types of site conditions. Collect site effect observations and near-surface geophysical measurements for future local (urban-area) hazard maps. Expand the number of instruments in the strong motion program. Develop fragility curves for Puerto Rico construction types and details, and carry out laboratory testing on selected types of mass-produced construction. Consider tsunami design in shoreline construction projects. Tsunami hazard - Extract tsunami observations from archives and develop a Caribbean historical tsunami database. Analyze prehistoric tsunami deposits. Collect accurate, up-to-date, near-shore topography and bathymetry for accurate inundation models. Prepare tsunami flooding and evacuation maps. Establish a Caribbean Tsunami Warning System for Puerto Rico and the Virgin Islands. Evaluate local, regional, national, and global seismic networks and equipment, and their role in a tsunami warning system. Societal concerns – Prepare warning messages, protocols, and evacuation routes for earthquake, tsunami, and landslide hazards for Puerto Rico and the U.S. Virgin Islands. Advocate enforcement of existing building codes. Prepare non-technical hazard assessment maps for political and educational uses. Raise the awareness of potentially affected populations by presentations at elementary schools, by the production of a tsunami video, and by distribution of earthquake preparedness manuals in newspaper supplements. Promote partnerships at state and federal level for long-term earthquake and tsunami hazard mitigation. This partnership should also include the private sector such as the insurance industry, telecommunication companies, and the engineering community. The following reports of the various working groups are the cumulative recommendations of the community of scientists, engineers, and public officials, who participated in the workshop. The list of participants and the workshop’s agenda are given in the appendix. Marine and Geology and Geophysics Working Group Paleoseismology and Active Faults Working Group Joint Working Group for Earthquake Seismology and Engineering Tsunami Working Group Societal Concerns Working Group

Puerto Rico and the Virgin Islands↗

Windows to the deep 2018: Exploration of the southeast US Continental margin

Windows to the Deep 2018: Exploration of the Southeast US Continental Margin was a 36-day expedition aboard NOAA Ship Okeanos Explorer to acquire data on priority exploration areas identified by the ocean management and scientific communities. This expedition involved high-resolution multibeam sonar mapping and ROV dives, ranging from 340 m to 3,400 m depth, across the southeast US continental margin. Operations primarily targeted areas with potential to host deep-sea coral and sponge communities, including mounds, ridges, and terraced features on the continental slope. Dive sites also included maritime heritage sites, a submarine landslide feature, and several submarine canyon slopes, some of which exhibited evidence of active cold seeps. High biological abundance was noted at six of 17 dive sites, three of which also had high biological diversity. Additionally, deep-sea corals or sponges were observed on every dive except one, which was dedicated to gas seep exploration.

Atlantic Ocean, Blake Plateau, Stetson Mesa↗

Data mining for water resource management part 2 - methods and approaches to solving contemporary problems

This is the second of two papers that describe how data mining can aid natural-resource managers with the difficult problem of controlling the interactions between hydrologic and man-made systems. Data mining is a new science that assists scientists in converting large databases into knowledge, and is uniquely able to leverage the large amounts of real-time, multivariate data now being collected for hydrologic systems. Part 1 gives a high-level overview of data mining, and describes several applications that have addressed major water resource issues in South Carolina. This Part 2 paper describes how various data mining methods are integrated to produce predictive models for controlling surface- and groundwater hydraulics and quality. The methods include: - signal processing to remove noise and decompose complex signals into simpler components; - time series clustering that optimally groups hundreds of signals into "classes" that behave similarly for data reduction and (or) divide-and-conquer problem solving; - classification which optimally matches new data to behavioral classes; - artificial neural networks which optimally fit multivariate data to create predictive models; - model response surface visualization that greatly aids in understanding data and physical processes; and, - decision support systems that integrate data, models, and graphics into a single package that is easy to use.

South Carolina↗

Land use and sediment yield

When the vegetal cover is removed from a land surface, the rate of removal of the soil material, at least initially, increases rapidly. So well known is this principle that it hardly needs restatement. If attention is focused on any individual drainage basin in its natural state, large or small, and inquiry is made as to the rate of denudation, a quantitative answer is not easily obtained. The possible error in any computation of rate of sediment production from any given drainage basin is considerable. Significant variations are found in sediment yields from closely adjacent watersheds which appear to be generally similar. To make a quantitative evaluation of the change in the rate of denudation when the natural vegetation is disturbed is, therefore, even more difficult. Considering the fact that "soil conservation" has been promoted to the status of a science, our lack of ability to answer what is apparently so simple a question may seem surprising. Let us look at some of the reasons.

Conference Paper↗

A probabilistic assessment methodology for the evaluation of geologic energy storage capacity—Natural gas storage in depleted hydrocarbon reservoirs

The need for energy storage, particularly underground, where capacity and duration may far exceed battery storage technologies, is especially relevant given the increasing demands for reliable power alongside the development of intermittent renewable electricity sources. Geologic energy storage facilities already exist, and expanded use would enable storing gases such as methane and hydrogen. In 2018, a National Academies of Sciences, Engineering, and Medicine report, “Future Directions for the U.S. Geological Survey's Energy Resources Program,” recommended that the U.S. Geological Survey (USGS) prioritize assessing underground energy storage in geologic formations in the United States. The U.S. Geological Survey has since developed a methodology for assessing natural gas storage capacities in depleted hydrocarbon reservoirs on a national scale. The methodology introduced in this report prescribes three approaches for calculating gas storage capacity. This methodology relies on the availability of input data, including cumulative hydrocarbon production records, reservoir petrophysical properties, and reservoir pressure data. Assessment inputs can be obtained from public, State-level databases and propriety national-scale databases, although the use of analogs could be warranted for estimating input parameters. Probabilistic assessment results are aggregated to play, petroleum province, regional, and national scales. The steps defined in this report are demonstrated on the Michigan Basin Province, which includes the Mississippian Sandstone Gas Play and the Clinton Structural Play. This methodology could be used to systematically and consistently assess hydrocarbon plays and provinces for natural gas storage capacity across the United States.

Michigan↗

Can identifying discrete behavioral groups with individual-based acoustic telemetry advance the understanding of fish distribution patterns?

Identifying patterns of organismal distribution can provide valuable insights for basic and applied marine and coastal ecology because understanding where animals are located is foundational to both research and science-based conservation. Understanding variation in distributional patterns can lead to a better assessment of ecological drivers and an improved ability to predict consequences of natural and altered relationships. Here, our purpose is to explore if quantifying coexisting groups of individual fish predators advances our understanding of field distribution patterns. Toward this end, we quantified locations of 59 acoustically tagged striped bass ( Morone saxatilis) within a 26-stationary unit telemetry receiver array in Plum Island Estuary (PIE), MA, United States. We then used cluster analyses on spatial and temporal-spatial metrics from this dataset to (1) assess if distinct groups of individuals coexisted, (2) quantify group characteristics, and (3) test associations between groups and distribution (e.g., physical site type and region). Based on multiple lines of evidence, we identified four groups of striped bass with different space use patterns that persisted across seasons (summer and fall). Similar-sized striped bass clustered at spatial and temporal scales at which individuals within distinct groups could, and did, physically overlap. In addition, distributional groups were linked to components of physical site type and region suggesting that discrete groups of individuals can interact differently with the environment within the same ecological system. The identification of these distinct groups of individuals creates a baseline from which to explore further ecological implications of grouping behavior for research and conservation in geographically large, temporally dynamic, and spatially heterogeneous marine and coastal environments.

Massachusetts↗

Alachlor transformation patterns in aquatic field mesocosms under variable oxygen and nutrient conditions

Alachlor is one of the most commonly used herbicides in both Europe and North America. Because of its toxic properties, its fate and attenuation in natural waters is practically important. This paper assesses factors that affect alachlor decay rate in aquatic systems using field-scale experimental units. In particular, we used field mesocosms (11.3 m3 outdoor fiberglass tanks) to examine the affect of oxygen level and other factors on decay rate in water columns. This is one of the first studies ever performed where diverse water column conditions have been successfully simulated using common mesocosm-scale facilities. Four treatments were assessed, including aerobic systems (aerobic); low nutrient, oxygen-stratified systems (stratified-LN); moderate nutrient, oxygen-stratified systems (stratified-HN); and anaerobic systems (anaerobic). The lowest half-lives were observed in the anaerobic units (9.7 days) followed by the aerobic (21 days), stratified-HN (22 days), and stratified-LN (46 days) units. Our results indicate that alachlor is transformed most rapidly under anaerobic conditions, although the ambient phosphorus level also appears to influence decay rate. In this study, two common alachlor breakdown products, ethane sulfonic acid (ESA) and oxanilic acid, were also monitored. Oxanilic acid was produced in greater quantities than ESA under all treatments with the highest levels being produced in the stratified-HN units. In general, our results suggest that previous laboratory data, which indicated that high rates of alachlor decay can occur under oxygen-free methanogenic conditions, is translatable to field-scale applications. Copyright (C) 2000 Elsevier Science Ltd.Alachlor is one of the most commonly used herbicides in both Europe and North America. Because of its toxic properties, its fate and attenuation in natural waters is practically important. This paper assesses factors that affect alachlor decay rate in aquatic systems using field-scale experimental units. In particular, we used field mesocosms (11.3 m3 outdoor fiberglass tanks) to examine the affect of oxygen level and other factors on decay rate in water columns. This is one of the first studies ever performed where diverse water column conditions have been successfully simulated using common mesocosm-scale facilities. Four treatments were assessed, including aerobic systems (aerobic); low nutrient, oxygen-stratified systems (stratified-LN); moderate nutrient, oxygen-stratified systems (stratified-HN); and anaerobic systems (anaerobic). The lowest half-lives were observed in the anaerobic units (9.7 days) followed by the aerobic (21 days), stratified-HN (22 days), and stratified-LN (46 days) units. Our results indicate that alachlor is transformed most rapidly under anaerobic conditions, although the ambient phosphorus level also appears to influence decay rate. In this study, two common alachlor breakdown products, ethane sulfonic acid (ESA) and oxanilic acid, were also monitored. Oxanilic acid was produced in greater quantities than ESA under all treatments with the highest levels being produced in the stratified-HN units. In general, our results suggest that previous laboratory data, which indicated that high rates of alachlor decay can occur under oxygen-free methanogenic conditions, is translatable to field-scale applications.Aquatic field mesocosms were used to examine the influence of DO concentration and the presence of nutrients on alachlor transformation. Four treatments were used: wholly aerobic water columns, thermally and oxygen stratified water columns with low nutrient levels, stratified water columns with moderate nutrient levels, and wholly anaerobic water columns. The anaerobic treatment produced the highest rate of alachlor decay, followed by the aerobic and stratified treatments. The lowest decay rate occurred in the aerobic, low-nutrient stratified units.

Water Research↗

Employing an ecosystem services framework to deliver decision ready science

Public land managers have limited information to allow for the integration and balancing of multiple objectives in land management decisions including the social (cultural and health), economic (monetary and nonmonetary), and environmental aspects. In this article, we document an approach to consider the many facets of decision making by incorporating them into a decision context using an ecosystem services framework. This analysis is based on a multi-partner project led by the US Geological Survey and the US Fish and Wildlife Service to provide land management decision support for the Great Dismal Swamp National Wildlife Refuge. It is an integrated ecologic-economic analysis of baseline (current) and potential future quantities, qualities, and values of selected ecosystem services from the Refuge. Alternative management scenarios are modeled to consider the impact of specific management actions or natural disturbances on priority ecosystem services. We examine the benefits and challenges of using this framework. Key lessons learned from this effort include the mismatch in timing between physical and social science; the challenge of integrating methods from multiple disciplines; the importance of frequent communication to overcome siloed research; and the utility of an integrating framework for ecosystem services and supporting tools such as the dynamic ecosystem model.

Advances in Ecological Research↗

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative—2015 annual report

This is the eighth annual report highlighting U.S. Geological Survey (USGS) science and decision-support activities conducted for the Wyoming Landscape Conservation Initiative (WLCI). The activities address specific management needs identified by WLCI partner agencies. In 2015, USGS scientists continued 24 WLCI projects in 5 categories: (1) acquiring and analyzing resource-condition data to form a foundation for understanding and monitoring landscape conditions and projecting changes; (2) using new technologies to improve the scope and accuracy of landscape-scale monitoring and assessments, and applying them to monitor indicators of ecosystem conditions and the effectiveness of on-the-ground habitat projects; (3) conducting research to elucidate the mechanisms that drive wildlife and habitat responses to changing land uses; (4) managing and making accessible the large number of databases, maps, and other products being developed; and (5) coordinating efforts among WLCI partners, helping them to use USGS-developed decision-support tools, and integrating WLCI outcomes with future habitat enhancement and research projects. Of the 24 projects, 21 were ongoing, including those that entered new phases or more in-depth lines of inquiry, 2 were new, and 1 was completed. A highlight of 2015 was the WLCI science conference sponsored by the USGS, Bureau of Land Management, and National Park Service in coordination with the Wyoming chapter of The Wildlife Society. Of 260 participants, 41 were USGS professionals representing 13 USGS science centers, field offices, and Cooperative Wildlife Research Units. Major themes of USGS presentations included using new technologies for developing more efficient research protocols for modeling and monitoring natural resources, researching effects of energy development and other land uses on wildlife species and habitats of concern, and modeling species distributions, population trends, habitat use, and effects of land-use changes. There was also a special session on the effectiveness of Wyoming’s Sage-Grouse Executive Order. Combined, USGS presentations provided WLCI partners with a wealth of information and conservation tools. The project completed in 2015 yielded an index of important agricultural lands in the WLCI region. The index improves upon existing measures of agricultural productivity and provides planners and managers with additional values to consider when making decisions about land use and conservation actions. The two new projects include an analysis of satellite imagery to quantify sagebrush productivity and mortality, and an evaluation of how groundwater and small streams interact in the upper Green River Basin. Initiated in response to concern among WLCI partners that large areas of sagebrush appear to have died recently, the sagebrush study objectives are to assess effects of these mortality events on overall sagebrush ecosystem productivity, evaluate the feasibility of using satellite imagery to detect patterns in sagebrush mortality over time, and identify factors driving these mortality events. The groundwater-streamflow interaction study is being conducted by hydrologists and fish ecologists to better understand how groundwater-streamflow interactions are affected by energy-resource development and how native fish communities are affected by these factors. Expected outcomes of both new projects will provide WLCI partners with additional information and decision-support tools. Highlights of ongoing science foundation activities included simulations of nine alternative build-out scenarios for oil and gas development and an associated online fact sheet that explains how the simulations were conducted, with an applied example for the Atlantic Rim. Also completed in 2015 was an update of the USGS online inventory of mineral resources data, and publication of a USGS uranium resource survey for the WLCI region. Combined, the outcomes of this work provide decisionmakers and managers with important baseline information for existing and (or) future planning and monitoring efforts. Terrestrial monitoring activities in 2015 emphasized the use of satellite data in combination with other technologies and field data to monitor, assess, and (or) forecast distribution patterns and (or) trends in sagebrush ecosystems, seasonal and migration stopover habitats used by mule deer and elk, and semi-arid aspen woodlands. Several professional papers detailing new monitoring models and results have been published. Combined, this and related work will help managers understand distribution patterns and trends among priority habitats, identify areas in need of restoration or conservation, and monitor the effectiveness of habitat-management actions. Aquatic monitoring activities entailed not only the new groundwater-streamflow interaction study already mentioned, but also continued monitoring with streamgages paired with nearby wells in the Green River Basin to assess groundwater effects on streamflow and surface water temperatures. A map that portrays groundwater levels and general direction of flow in the Green River Basin was published as well . Overall, outcomes of USGS hydrological research and monitoring will inform WLCI partners about water resources in the WLCI region and help to explain fish-community responses to energy-resource development. In 2015, USGS terrestrial wildlife ecologists continued to make crucial strides towards better understanding wildlife species responses to energy-resource development and other land-use changes. This body of research includes six taxa that require or heavily depend on sagebrush habitats: sage-grouse, pygmy rabbits, 3 songbird species, and mule deer. Native fish communities are also being evaluated. Approaches include modeling and mapping wildlife species distributions, abundances, and trends; using satellite and other technologies to track wildlife seasonal movements; conducting successive phases of research that build on the knowledge gained through prior phases to reveal the specific factors or thresholds that drive population- or individual-level responses to changes; and conducting population viability analyses. Additionally, wildlife habitat association models for pygmy rabbit and sage-grouse were combined with the oil and gas build-out scenarios to project species responses to alternative energy development scenarios. Outcomes of the wildlife response research are helping decisionmakers and managers identify specific factors that contribute to species population trends, the potential for spatial overlap between important wildlife habitats and proposed energy-resource development, locations of priority habitats for restoration and conservation, and more. Data and WLCI Web site management highlights of 2015 included not only ongoing software upgrades, but also an update of the datasets displayed in two of the online products developed for the WLCI effort: (1) a map of 15,532 oil and natural gas well pad scars and other features associated with oil and gas extraction, and (2) a map of oil and gas, oil shale, uranium, and solar energy production, both for southwestern Wyoming. In addition, a map viewer was developed for a previously published map of coal and wind production in relation to sage-grouse distribution and core management areas in southwestern Wyoming. Combined, these maps place valuable decision-support tools in the hands of WLCI partners. The USGS coordination efforts on behalf of the WLCI in 2015 included significant work on planning and executing the WLCI science conference. They also included ongoing efforts to support Local Project Development Teams and the WLCI Coordination Team (CT) with developing conservation priorities and strategies, identifying priority areas for future conservation actions, supporting the evaluation and ranking of conservation projects, and evaluating the ways in which proposed habitat projects relate to WLCI priorities. In 2015, the USGS also assisted the WLCI CT with updating the WLCI Conservation Action Plan.

Wyoming↗

Cooperative Fish and Wildlife Research Units Program—2015 Year In Review

Summary The Cooperative Fish and Wildlife Research Unit (CRU) Program had its 80th anniversary in 2015. We did not have a party, but those of us who work directly for the Unit program on a daily basis celebrate the privilege we feel in being part of one of the greatest conservation institutions in history. Our mission is our hallmark: meeting the actionable science needs of our cooperators, providing them technical guidance and assistance in interpreting and applying new advances in science, and developing the future workforce through graduate education and mentoring. Our success in accomplishing our mission is due principally to the caliber of the scientists and students they recruit, and the tremendous support from our cooperators. The National Cooperators Coalition has been active in fostering support and I am very excited about their energy. A Special Session at the 2015 North American Wildlife and Natural Resources Conference was dedicated to the Unit program, and a vision for our future was presented at this most prestigious conservation policy forum. We compiled a directory of expertise within the Unit program organized within thematic science areas as identified by our cooperators. We intend for this directory to facilitate our transboundary initiatives where two or more Units in collaboration will be the catalyst that binds agencies and organizations together on landscape scale conservation science. We are co-sponsoring a workshop at the 2016 North American conference, along with the Association of Fish and Wildlife Agencies, the American Fisheries Society, and The Wildlife Society to jump-start a dialogue on and identify issues associated with the widening gap between science and management. The CRU is viewed by our cooperators as being the standard for delivering actionable science in conservation, and the exception to the emerging trend. This is testament to the legacy of the Unit Program and the foundation it is built upon. In this Year in Review report, you will find details on staffing, vacancies, research funding, and other pertinent information. You will also see snapshots of Unit projects with information on how results have been or are being applied by cooperators. That is the essence of what we do: science that matter.

Circular↗

Capacity assessment for Earth Monitoring, Analysis, and Prediction (EarthMAP) and future integrated monitoring and predictive science at the U.S. Geological Survey

Executive Summary Managers of our Nation’s resources face unprecedented challenges driven by the convergence of increasing, competing societal demands and a changing climate that affects the stability, vulnerability, and predictability of those resources. To help meet these challenges, the scientific community must take advantage of all available technologies, data, and integrative Earth systems modeling capacity to better inform resource and risk management decisions. This is the overarching goal of the U.S. Geological Survey (USGS) Earth Monitoring, Analysis, and Prediction (EarthMAP) vision: “By 2030, the USGS will deliver well integrated observations and predictions of the future state of natural systems—water, ecosystems, energy, minerals, hazards—at regional and national scales, working primarily with federal, state, and academic partners to develop and operate the capability” (U.S. Geological Survey, 2021). Providing more integrated Earth systems science and actionable information to decision makers, stakeholders, and the public requires a better understanding of the depth and distribution of existing capacity (capabilities, tools, and techniques) across the Bureau. Identifying existing capacity is also a critical first step toward gap analysis and targeted investments to increase capacity over time. The USGS formed a Capacity Assessment Team (CAT) and charged it with (1) conducting a Request for Information (RFI) to identify existing USGS expertise and activities supportive of integrated and predictive science to inform decision making, (2) developing a strategy and proof-of-concept for a continuously updated capacity assessment capability, and (3) identifying lessons learned to inform development of best practices for future capacity assessment efforts. The RFI took the form of a survey, with content guided by the science and technology needs identified in a USGS report titled “Grand Challenges for Integrated U.S. Geological Survey Science—A Workshop Report” (Jenni and others, 2017). The 44-question survey provided respondents the ability to rate their level of experience with a suite of priority disciplines, analysis and modeling approaches, technologies, and stakeholder engagement strategies and to enter optional narrative text for supporting context. An introductory portion focused on general science capacity assessment, followed by three sections targeting capabilities related to the foundational components of EarthMAP: (1) data and information integration, (2) integrated predictive science, and (3) actionable information. The survey results provided a high-level snapshot of USGS capacity in the targeted areas. Respondents (1,035 individuals) represented approximately 13 percent of the USGS across all mission areas and regions. Seventy-four percent of the respondents held a science-focused position title and the remainder had position titles in information technology, computer science, management, administrative, or other (contractors, volunteers, emeritus, and unknown). To provide greater insight into respondent capabilities and activities, information from the U.S. Department of the Interior and USGS enterprise information systems were used to further characterize topical expertise and organizational associations of survey respondents. To address the ongoing need to assess the Bureau’s capacity to address integrated predictive science priorities, the CAT developed a software-based proof-of-concept called the Integrated Science Assessment Information Database (iSAID) for assembling various information sources together toward making the full extent of USGS capabilities and scientific assets available for routine capacity assessment. This proof-of-concept is intended to serve as a catalyst for further development. The process of implementing the EarthMAP capacity assessment survey, analyzing survey responses, and developing the proof-of-concept resulted in lessons learned, findings, and recommendations. Example scenarios throughout the report demonstrate how capacity assessment data can inform science planning. Three overarching findings and recommendations are: (1) Finding: Capacity is limited in some critical disciplines, skills, and technology applications, but “sufficient” depends on the question and the need relative to availability at a given point in time. Recommendation: Develop an on-demand capacity assessment framework that enables rapid identification and evaluation of existing and available expertise to support decision needs as they arise. (2) Finding: Institutional barriers and lack of awareness constrain the ability of USGS staff to adopt new technologies, collaborate across administrative boundaries, and deliver actionable information to stakeholders in a timely manner. However, these barriers are not universally experienced. Recommendation: Pursue more targeted inquiries to clarify which institutional barriers are obstructing the adoption of new technologies and approaches or the sharing of expertise and equipment across organizational and regional boundaries. These inquiries should inform USGS leadership, mission areas, and regions whether policies can be revised or whether a lack of understanding is creating perceived obstacles. Highlight cases when staff have successfully adopted new technologies and approaches to advance EarthMAP priorities and provide actionable information in a timely manner to spread awareness of how perceived obstacles can be navigated and overcome when appropriate. (3) Finding: Examples of people and projects integrating across disciplines and scales and applying advanced approaches to meet complex stakeholder needs exist. Such examples provide transfer value across the spectrum from approach to decision making. Many projects, already underway, appear to meet elements of the EarthMAP vision, and the USGS has people who can provide leadership in multiple types of specific integrated science efforts. Recommendation: Use these findings as a starting point for near-term strategic planning for integrated science. Highlight, incentivize, and build on existing interdisciplinary predictive science and information delivery activities across the USGS to advance toward further realization of an EarthMAP capacity. The CAT efforts to develop and assess existing USGS capacity to advance the EarthMAP vision revealed a fundamental challenge for not only this effort but any effort to assess existing capacity: A considerable amount of thought, time, and effort is required to survey and assess capabilities and tools available to support a given need, yet best results are still likely to provide an incomplete assessment. To better meet the frequent need to assess capabilities, tools, products, and projects that address an expressed strategic priority, the CAT proposes the concept of an on-demand capacity assessment framework supported by a software package that dynamically pulls and integrates information from existing USGS information systems and public domain registries. Although existing USGS enterprise information systems currently lack the structure, cross-system consistency, interoperability, and stability to support a continuously updated capacity assessment capability, we identify reasonable near-term steps to improve the utility of information gathered on expertise and project capacity and to improve the consistency and completeness of information and the ability of USGS systems to share that information. The ability to search and characterize this information will make future assessments of capacity faster, more complete, more efficient, and more targeted. This approach would grow the Bureau’s capacity knowledge over time, iteratively improving the ability to access, leverage, and synthesize existing capabilities and assets as well as identify and fill critical gaps. The greatest promise for developing integrated science could lie in linking across existing projects and expertise to create a multi-project capacity for addressing large, complex environmental issues.

Open-File Report↗

Isotope and Chemical Methods in Support of the U.S. Geological Survey Science Strategy, 2003-2008

Principal functions of the Mineral Resources Program are providing information to decision-makers related to mineral deposits on federal lands and predicting the environmental consequences of the mining or natural weathering of those deposits. Performing these functions requires that predictions be made of the likelihood of undiscovered deposits. The predictions are based on geologic and geoenvironmental models that are constructed for the various types of mineral deposits from detailed descriptions of actual deposits and detailed understanding of the processes that formed them. Over the past three decades the understanding of ore-forming processes has benefitted greatly from the integration of laboratory-based geochemical tools with field observations and other data sources. Under the aegis of the Evolution of Ore Deposits and Technology Transfer Project (EODTTP), a five-year effort that terminated in 2008, the Mineral Resources Program provided state-of-the-art analytical capabilities to support applications of several related geochemical tools.

Fact Sheet↗

Biological and ecological science for Montana—The Treasure State

Montana is rich in minerals, energy, and soils, as well as prairies, forests, mountains, rivers, lakes, fish, and wildlife. Many enterprises that drive the economy are based on natural resources, including tourism, hunting, fishing, agriculture, and energy development. The outdoor-recreation economy alone supports 64,000 Montana jobs and generates nearly \$6 billion each year in economic activity.

Montana↗

On formally integrating science and policy: walking the walk

The contribution of science to the development and implementation of policy is typically neither direct nor transparent. In 1995, the U.S. Fish and Wildlife Service (FWS) made a decision that was unprecedented in natural resource management, turning to an unused and unproven decision process to carry out trust responsibilities mandated by an international treaty. The decision process was adopted for the establishment of annual sport hunting regulations for the most economically important duck population in North America, the 6 to 11 million mallards Anas platyrhynchos breeding in the mid-continent region of north-central United States and central Canada. The key idea underlying the adopted decision process was to formally embed within it a scientific process designed to reduce uncertainty (learn) and thus make better decisions in the future. The scientific process entails use of models to develop predictions of competing hypotheses about system response to the selected action at each decision point. These prediction not only are used to select the optimal management action, but also are compared with the subsequent estimates of system state variables, providing evidence for modifying degrees of confidence in, and hence relative influence of, these models at the next decision point. Science and learning in one step are formally and directly incorporated into the next decision, contrasting with the usual ad hoc and indirect use of scientific results in policy development and decision-making. Application of this approach over the last 20 years has led to a substantial reduction in uncertainty, as well as to an increase in transparency and defensibility of annual decisions and a decrease in the contentiousness of the decision process. As resource managers are faced with increased uncertainty associated with various components of global change, this approach provides a roadmap for the future scientific management of natural resources.

Journal of Applied Ecology↗

Guidelines for producing integrated 210Pb and 14C age-models

Accurate reconstructions of past environmental changes are crucial in paleoecological research and require reliable chronologies of sedimentary archives. Establishing robust age-models and obtaining the most appropriate proxies for analysis is a complex scientific endeavor, requiring extensive resources and collaboration among specialists, including radiochronologists. Radiometric dating methods, such as 210 Pb and radiocarbon ( 14 C), are frequently employed to establish chronologies in aquatic sedimentary deposits and peat bogs. In this study, we review key aspects of sampling, analysis, and the principles underlying 210 Pb and 14 C age-models, focusing on methods for developing robust joint chronologies for paleoenvironmental research. Drawing largely from the authors' experiences and group discussions during and after a scientific workshop in 2022, we discuss important considerations for site selection, sampling strategies, and radiometric dating to construct integrated 210 Pb and 14 C age-models. Using expert consensus, this group – called Paleostats – aims to provide a set of best practices for other geochronologists with this methods paper. Among our conclusions, we emphasize the importance of accounting for site-specific factors such as prior information on sedimentation rates to establish appropriate sampling and analytical strategies. The use of appropriate coring devices can minimize disturbance to sediments and ensure the core surface remains intact and preserved until sectioning. Where excess 210 Pb is expected, sectioning at intervals of ≤1 cm provides an adequate sampling resolution for 210 Pb dating. Exceptions are possible, allowing for ~2–3 cm sections in areas with confirmed high sedimentation rates (e.g., > 1 cm yr −1 ). Recovering deeper core sections for 14 C dating with sufficient overlap allows for accounting errors in depth estimates made in the field. Special attention is advised during time intervals where validation proxies, such as the human-made radionuclides 137 Cs or post-bomb 14 C, are expected, and to determine the depth of secular equilibrium between 210 Pb and 226 Ra. Radiocarbon analyses are commonly performed by accelerator mass spectrometry, and age models are constructed mainly using Bayesian statistics with Markov Chain Monte Carlo techniques (e.g., Bacon ). A Bayesian approach ( Plum ) is now available for producing 210 Pb age-models, which infers the 210 Pb ex flux, eliminates the need for selecting an equilibrium depth, and allows dating cores with incomplete 210 Pb ex inventory. Plum offers improved chronologies by integrating raw 210 Pb and 14 C data, and these age-models can be enriched with other dating methodologies, such as identifying tephras and other well-recorded historical events. Harmonized reporting would contribute to making radiometric age-models reproducible, which would benefit from an international effort. Using 210 Pb and 14 C to produce integrated age-models may yield better insights into the interplay between natural and recent anthropogenic forcings on ecosystems. This can enhance our understanding of environmental processes and their impacts on climate change, ultimately supporting science-based assessments and decisions.

Earth-Science Reviews↗