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At least 757 records · Page 42Linked to original sources

The challenge and opportunity of recovering wolf populations

The gray wolf once inhabited a wide variety of habitats throughout most of the northern hemisphere north of 20°N latitude. Because the animal preyed on livestock and competed with humans for wild prey, it was extirpated from much of its range outside of wilderness areas. Environmental awareness in the late 1960s brought for the wolf legal protection, increased research, and favorable media coverage. The species has increased in both Europe and North America, is beginning to reoccupy semiwilderness and agricultural land, and is causing increased damage to livestock. Because of the wolf's high reproductive rate and long dispersal tendencies, the animal can recolonize many more areas. In most such areas control will be necessary, but the same public sentiments that promoted wolf recovery reject control. If wolf advocates could accept control by the public rather than by the government, wolves could live in far more places. Insistence on government control discourages some officials and government agencies from promoting recovery. The use of large- or small-scale zoning for wolf management may help resolve the issue. Public education is probably the most effective way to minimize the problem and maximize wolf recovery, but the effort must begin immediately.

Conservation Biology↗

Continuous water-quality and suspended-sediment transport monitoring in San Francisco Bay, California, water years 2020–21

The U.S. Geological Survey (USGS) has continuously monitored real-time water quality and suspended-sediment transport in San Francisco Bay (the Bay) since 1989 as part of a multi-agency effort (see “Acknowledgments” section) to address estuary management, water supply, and ecological concerns. The San Francisco Bay area is home to millions of people and biologically diverse marine and terrestrial flora and fauna. Freshwater mixes with saltwater in the Bay and is subject to riverine influences (floods, droughts, managed reservoir releases, and freshwater diversions) and marine influences (tides, waves, and effects of saltwater). Water temperature, salinity, suspended-sediment concentration (SSC), and turbidity, are used by State and Federal resources managers and are monitored at eight key locations throughout the Bay (fig. 1). Water temperature and salinity affect the density of water, which controls gravity-driven circulation patterns and stratification in the water column. Salinity indicates the relative mixing of fresh and ocean waters in the Bay and is derived from specific conductance measurements. Turbidity is a measure of light scattered from suspended particles in the water that is used to estimate suspended-sediment concentration. Suspended-sediment concentrations also are directly measured through depth-integrated water sampling. Suspended sediment affects Bay water quality in multiple ways. Suspended sediment affects phytoplankton growth by attenuating sunlight in the water column. Suspended sediment deposition on tidal marshes and intertidal mudflats helps to restore and sustain these habitats as sea level rises. Settling of suspended sediment in ports and shipping channels creates the need for more dredging. In addition, suspended sediment often carries adsorbed contaminants as it is transported in the water column, which affects the distributions and concentrations of adsorbed contaminants in the environment. Excessive concentrations of sediment-adsorbed contaminants in deposits on the bottom of the Bay can affect ecosystem health. External factors, such as tidal currents, waves, and wind can also affect water quality in the Bay. Tidal currents in the Bay change direction four times daily, and wind direction and intensity typically fluctuate on a daily cycle. Consequently, salinity, water temperature, and suspended-sediment concentration differ spatially and temporally throughout the Bay. Therefore, high-frequency measurements at multiple locations are needed to monitor these changes. Data collected at eight stations throughout the Bay are transmitted in near real-time using cellular telemetry and posted to the USGS National Water Information System (NWIS; https://waterdata.usgs.gov/usa/nwis ). The purposes of this fact sheet are to (1) provide information about the USGS San Francisco Bay water-quality monitoring network; (2) highlight various applications in which these data can be used; and (3) provide internet links to access the resulting continuous water-quality data collected by the USGS.

California↗

Preliminary Surficial Geology of the Dove Spring Off-Highway Vehicle Open Area, Mojave Desert, California

Introduction As part of a U.S. Geological Survey (USGS) monitoring plan to evaluate the environmental impact of off-highway vehicle (OHV) use on Bureau of Land Management (BLM) land in California, this report presents results of geologic studies in the Dove Spring OHV Open Area. This study produced baseline data, which when combined with historic and current patterns of land use, forms the basis for vegetation and wildlife monitoring designed to address the following questions: 1. Is the density and length of OHV routes increasing? 2. Are there cumulative effects of past and current OHV use associated with changes in the environmental integrity of soils, plants, and wildlife? 3. Is the spread of invasive species associated with levels of OHV use? 4. Is there a threshold of OHV impact that might be translated to management action by the BLM? The monitoring studies will be used to collect baseline environmental information to determine levels of environmental impact of OHV use. This approach will use a low-impact area as a proxy for pre-impact conditions (substituting space for time) to determine thresholds of OHV impacts beyond which environmental integrity is affected. Indicators of environmental integrity will emphasize factors that are fundamental to ecosystem structure and function and likely to be sensitive to OHV impacts. Surficial geology is studied because material properties such as texture and chemistry strongly control soil moisture and nutrient availability and therefore affect plant growth and distribution. An understanding of surficial geology can be used to predict and extrapolate soil properties and improve understanding of vegetation assemblages and their distribution. In the present study, vegetation associations may be examined as a function of surficial geology as well as other environmental variables such as slope, aspect, NRCS (National Resources Conservation Service) soil classification, elevation, and land-use history. Ground measurements of vegetation, biological soil crusts, compaction, and other information may be correlated with land use to identify possible ecological thresholds in OHV use that require monitoring. Surficial geology is relevant for several other studies of OHV impact, such as soil compaction, dust emissions, and acceleration of erosion. Compaction, reduced infiltration, and accelerated erosion have been documented in Dove Spring Canyon because of OHV use (Snyder and others, 1976) and elsewhere in the Mojave Desert (e.g., Webb, 1983; Langdon, 2000). A surficial geologic map enables the use of geomorphic process models, which when combined with measured soil properties, such as texture, nutrient chemistry, and bulk density, allows spatial extrapolation of the properties. Maps can be produced that predict compaction susceptibility, moisture conditions, dust emissions, flood hazards, and erodibility, among other applications.

Open-File Report↗

Climate alters response of an endemic island plant to removal of invasive herbivores

Islands experience higher rates of species extinction than mainland ecosystems, with biological invasions among the leading causes; they also serve as important model systems for testing ideas in basic and applied ecology. Invasive removal programs on islands are conservation efforts that can also be viewed as powerful manipulative experiments, but few data are available to evaluate their effects. We collected demographic and herbivore damage data for Castilleja mollis Pennell, an endangered plant endemic to Santa Rosa Island, California, over a 12-year period before, during, and after the implementation of control for introduced cattle, deer, and elk. We used these long-term data to explore mechanisms underlying herbivore effects, assess the results of herbivore reduction at the scales of both individual plants and populations, and determine how temporal variability in herbivory and plant demography influenced responses to herbivore removals. For individual plants, herbivore effects mediated by disturbance were greater than those of grazing. Deer and elk scraping of the ground substantially increased plant mortality and dormancy and reduced flowering and growth. Stem damage from browsing did not affect survivorship but significantly reduced plant growth and flower production. Herbivore control successfully lowered damage rates, which declined steeply between 1997 and 2000 and have remained relatively low. Castilleja mollis abundances rose sharply after 1997, suggesting a positive effect of herbivore control, but then began to decline steadily again after 2003. The recent decline appears to be driven by higher mean growing season temperatures; interestingly, not only reductions in scraping damage but a period of cooler conditions were significant in explaining increases in C. mollis populations between 1997 and 2002. Our results demonstrate strong effects of introduced herbivores on both plant demography and population dynamics and show that climate-driven variation may counteract and mask positive responses to herbivore removal. Regional mean temperatures already have risen significantly over the last 50 years, suggesting that climate change could increasingly swamp the effects of management targeted at other environmental problems. Similar interactions between climate and invasive species will play an even greater role in future management, with long-term data sets like this critical to quantifying such effects. ?? 2009 by the Ecological Society of America.

Ecological Applications↗

Juvenile African clawed frogs (Xenopus laevis) express growth, metamorphosis, mortality, gene expression, and metabolic changes when exposed to thiamethoxam and clothianidin

Neonicotinoids (NEO) represent the main class of insecticides currently in use, with thiamethoxam (THX) and clothianidin (CLO) primarily applied agriculturally. With few comprehensive studies having been performed with non-target amphibians, the aim was to investigate potential biomarker responses along an adverse outcome pathway of NEO exposure, whereby data were collected on multiple biological hierarchies. Juvenile African clawed frogs, Xenopus laevis , were exposed to commercial formulations of THX and CLO at high (100 ppm) and low (20 ppm) concentrations of the active ingredient. Mortality, growth, development, liver metabolic enzyme activity, and gene expression endpoints were quantified. Tadpoles ( n > 1000) from NF 47 through tail resorption stage (NF 66) were exposed to NEO or to NEO-free media treatments. Liver cell reductase activity and cytotoxicity were quantified by flow cytometry. Compared to control reference gene expressions, levels of expression for NEO receptor subunits, cell structure, function, and decontamination processes were measured by RT-qPCR by using liver and brain. Mortality in THX high was 21.5% compared to the control (9.1%); the metabolic conversion of THX to CLO may explain these results. The NF 57 control tadpoles were heavier, longer, and more developed than the others. The progression of development from NF 57–66 was reduced by THX low, and weight gain was impaired. Liver reductases were highest in the control (84.1%), with low NEO exhibiting the greatest reductions; the greatest cytotoxicity was seen with THX high. More transcriptional activity was noted in brains than in livers. Results affirm the utility of a study approach that considers multiple complexities in ecotoxicological studies with non-target amphibians, underscoring the need for simultaneously considering NEO concentration-response relationships with both whole-organism and biomarker endpoints.

International Journal of Molecular Sciences↗

Hawaiian forest bird conservation strategies for minimizing the risk of extinction: biological and biocultural considerations

The iconic forest birds of Hawai‘i are facing a conservation crisis. Across the Hawaiian Islands, native forest birds have been experiencing population declines that have accelerated in the last one to two decades. While habitat loss, invasive species, and non-native predators have negatively affected forest bird species for hundreds of years, and continue to do so, introduced diseases, particularly avian malaria, are the greatest threat to forest birds today. Further, climate change has increased temperatures in the high-elevation forests, facilitating the spread of disease into areas that were once largely disease-free. Rapid population declines have now (2022) pushed four Hawaiian honeycreeper species to the brink of extinction: the endangered ‘akikiki ( Oreomystis bairdi ) and ‘akeke‘e ( Loxops caeruleirostris ) on Kaua‘i Island, and kiwikiu ( Pseudonestor xanthophrys ) and ‘ākohekohe ( Palmeria dolei ) on Maui Island. The biologists that study these birds strongly agree that without a rapid conservation response to the threat of increasing disease mortality there is a high probability these species will go extinct in the coming decade. To help evaluate alternative conservation strategies for minimizing the risk of extinction, we convened diverse groups of experts with broad experience in Hawai‘i forest birds and ecosystems, as well as the management approaches being considered, to assess the probability of success of alternative management actions. In addition to assessing this crisis from a biological perspective, we convened a group of Native Hawaiian participants that have a strong connection to the forest birds, forests, and the integration of their culture in natural and biocultural resource management. They give voice to the significance of forest birds to Native Hawaiians and provide their perspectives on alternative management actions. Broadly, the three alternative management actions being considered to prevent the extinction of forest birds from the increasing threat of disease are (1) landscape-level mosquito control through the Wolbachia incompatible insect technique, (2) captive care, and (3) conservation translocations. The two key components of the problem of preventing extinction in these four bird species is time and risk. For each species, very few individuals remain, and they are all in danger of imminent extinction. Each management action takes time to implement, which might exceed the actual time to extinction. Additionally, each of these conservation actions has potential benefits and inherent risks, as well as substantial uncertainty in terms of being successful. Native Hawaiian perspectives and considerations also vary across the conservation actions. The expert evaluations summarized in this report provide a broad assessment of conservation strategies that could be undertaken to prevent the extinction of ‘akikiki, ‘akeke‘e, kiwikiu, and ‘ākohekohe. While this report does not recommend specific actions, the information is intended to support decision-makers as they assess which, if any, conservation strategies to pursue.

Hawaii↗

Effects of kelp forest removal on associated fish assemblages in central California

Visual surveys along subtidal belt transects were used to compare fish assemblages on an experimental and a control site before and after the removal of a canopy-forming kelp forest. The giant kelp Macrocystis pyrifera (L.) C.A. Agardh was removed at the holdfast from ≈ 1 ha of high relief structurally complex rock substratum. The abundance of seven species of fish, of which five were considered midwater species, significantly declined after the kelp was removed. No increases in abundance were noted within the experimental site. On the control site, two declines in abundance were observed, while two species increased in abundance. These results indicate that the presence of a giant kelp forest may increase the abundance and species diversity of the fish assemblages over a high relief rocky reef in central California, U.S.A.

Journal of Experimental Marine Biology and Ecology↗

Metabolic costs associated with seawater acclimation in a euryhaline teleost, the fourspine stickleback (Apeltes quadracus)

The cost of osmoregulation in teleosts has been debated for decades, with estimates ranging from one to 30 % of routine metabolic rate. The variation in the energy budget appears to be greater for euryhaline fish due to their ability to withstand dynamic salinity levels. In this study, a time course of metabolic and physiological responses of the euryhaline fourspine stickleback ( Apeltes quadracus ) acclimated to freshwater (FW) and then exposed to seawater (SW) was examined. There was 18% mortality in the first 3 days following exposure to SW, with no mortalities in the FW control group. Gill Na + /K + -ATPase (NKA) activity, an index of osmoregulatory capacity, increased 2.6-fold in SW fish peaking on days 7 and 14. Gill citrate synthase activity, an index of aerobic capacity, was 50–62% greater in SW than FW fish and peaked on day 7. Tissue water content was significantly lower in the SW fish on day 1 only, returning to FW levels by day 3. Routine metabolic rate was decreased within 24 h of SW exposure and was maintained slightly (8–22%) but significantly lower in SW compared to FW water controls throughout the 2-week experiment. These results indicate that elevated salinity resulted in increased SW osmoregulatory and aerobic capacity in the gill, but with a reduced whole animal metabolic rate to this euryhaline species.

Comparative Biochemistry and Physiology Part B: Bi↗

A decision framework for the management of established biological invasions

In some cases, managing an established invasive species may do more harm to an ecosystem than allowing the invader to persist. Given limited resources available to land managers and the realities of conservation triage, we recognized the need for systematic guidance for management decisions made at the “late end” of the invasion curve. We gathered an interdisciplinary group of experts and practitioners to address the question of “under what circumstances is the active management of an established aquatic invasive species warranted?” Our working group identified three key dimensions to this question: (1) the efficacy of available management options; (2) the net benefits of management actions weighed against the null scenario of no control; and (3) the socio-ecological context that defines management goals, a manager’s ability to achieve said goals, and perceptions of management outcomes. These considerations were used to structure a consensus decision tree that supports a multi-criteria approach to decision-making. Our approach promotes interdisciplinarity and systems thinking and emphasizes the need to consider costs and benefits comprehensively, for example by considering the persistence or reversibility of impacts from both the invasive species and from efforts to suppress or eradicate it.

Facets↗

Pathway-based approaches for assessment of real-time exposure to an estrogenic wastewater treatment plant effluent on fathead minnow reproduction

Wastewater treatment plant (WWTP) effluents are known contributors of chemical mixtures into the environment. Of particular concern are endocrine-disrupting compounds, such as estrogens, which can affect the hypothalamic-pituitary-gonadal axis function in exposed organisms. The present study examined reproductive effects in fathead minnows exposed for 21 d to a historically estrogenic WWTP effluent. Fathead minnow breeding pairs were held in control water or 1 of 3 effluent concentrations (5%, 20%, and 100%) in a novel onsite, flow-through system providing real-time exposure. The authors examined molecular and biochemical endpoints representing key events along adverse outcome pathways linking estrogen receptor activation and other molecular initiating events to reproductive impairment. In addition, the authors used chemical analysis of the effluent to construct a chemical-gene interaction network to aid in targeted gene expression analyses and identifying potentially impacted biological pathways. Cumulative fecundity was significantly reduced in fish exposed to 100% effluent but increased in those exposed to 20% effluent, the approximate dilution factor in the receiving waters. Plasma vitellogenin concentrations in males increased in a dose-dependent manner with effluent concentration; however, male fertility was not impacted. Although in vitro analyses, analytical chemistry, and biomarker responses confirmed the effluent was estrogenic, estrogen receptor agonists were unlikely the primary driver of impaired reproduction. The results provide insights into the significance of pathway-based effects with regard to predicting adverse reproductive outcomes.

Environmental Toxicology and Chemistry↗

Effects of surface mining on the hydrology and biology in the Stony Fork basin, Fayette County, Pennsylvania, 1978-85

The effects of surface coal mining on the water quality, sediment discharge, and aquatic biology of streams in the Stony Fork Basin in southwestern Pennsylvania were studied from 1978 through 1985. Data were collected at five stream sites and one mine discharge site. Field data included streamflow, temperature, specific conductance, pH, acidity, and alkalinity. Laboratory analyses included sulfate, aluminum, iron, manganese, zinc, and selected trace elements. Annual streamflow at gaged sites was not substantially different, suggesting that mining did not affect the total volume of streamflow significantly. Comparisons of sediment yields of the upstream control site (site 5) to the downstream site (site 1) indicated that the sediment yield at site 5 was greatest in 1978, 1981-83, and 1985. The sediment yields at both sites in 1979-80 were about the same. Differences in the drainage area sizes and effective control of sediment in the mined areas may explain the lack of increased sediment yield at the downstream site. As mining became more extensive throughout the basin in 1979-80 and later, several water-quality effects were observed downstream. Generally, specific conductance, sulfate, manganese, aluminum, and zinc increased; pH and alkalinity decreased. Acidity and iron typically increased immediately downstream of mined areas. No trace-element concentrations exceeded maximum contaminant levels established by the U.S. Environmental Protection Agency. Surface mining in the Stony Fork Basin severely affected the stream invertebrate and fish populations. During 1977-84, the number of taxonomic groups of invertebrates at sites affected by mine drainage decreased by 45 to 71 percent; the number of fish species decreased by 81 to 88 percent.

Pennsylvania↗

Determination of steroid hormones and related compounds in filtered and unfiltered water by solid-phase extraction, derivatization, and gas chromatography with tandem mass spectrometry

A new analytical method has been developed and implemented at the U.S. Geological Survey National Water Quality Laboratory that determines a suite of 20 steroid hormones and related compounds in filtered water (using laboratory schedule 2434) and in unfiltered water (using laboratory schedule 4434). This report documents the procedures and initial performance data for the method and provides guidance on application of the method and considerations of data quality in relation to data interpretation. The analytical method determines 6 natural and 3 synthetic estrogen compounds, 6 natural androgens, 1 natural and 1 synthetic progestin compound, and 2 sterols: cholesterol and 3--coprostanol. These two sterols have limited biological activity but typically are abundant in wastewater effluents and serve as useful tracers. Bisphenol A, an industrial chemical used primarily to produce polycarbonate plastic and epoxy resins and that has been shown to have estrogenic activity, also is determined by the method. A technique referred to as isotope-dilution quantification is used to improve quantitative accuracy by accounting for sample-specific procedural losses in the determined analyte concentration. Briefly, deuterium- or carbon-13-labeled isotope-dilution standards (IDSs), all of which are direct or chemically similar isotopic analogs of the method analytes, are added to all environmental and quality-control and quality-assurance samples before extraction. Method analytes and IDS compounds are isolated from filtered or unfiltered water by solid-phase extraction onto an octadecylsilyl disk, overlain with a graded glass-fiber filter to facilitate extraction of unfiltered sample matrices. The disks are eluted with methanol, and the extract is evaporated to dryness, reconstituted in solvent, passed through a Florisil solid-phase extraction column to remove polar organic interferences, and again evaporated to dryness in a reaction vial. The method compounds are reacted with activated -methyl--trimethylsilyl trifluoroacetamide at 65 degrees Celsius for 1 hour to form trimethylsilyl or trimethylsilyl-enol ether derivatives that are more amenable to gas chromatographic separation than the underivatized compounds. Analysis is carried out by gas chromatography with tandem mass spectrometry using calibration standards that are derivatized concurrently with the sample extracts. Analyte concentrations are quantified relative to specific IDS compounds in the sample, which directly compensate for procedural losses (incomplete recovery) in the determined and reported analyte concentrations. Thus, reported analyte concentrations (or analyte recoveries for spiked samples) are corrected based on recovery of the corresponding IDS compound during the quantification process. Recovery for each IDS compound is reported for each sample and represents an absolute recovery in a manner comparable to surrogate recoveries for other organic methods used by the National Water Quality Laboratory. Thus, IDS recoveries provide a useful tool for evaluating sample-specific analytical performance from an absolute mass recovery standpoint. IDS absolute recovery will differ and typically be lower than the corresponding analyte’s method recovery in spiked samples. However, additional correction of reported analyte concentrations is unnecessary and inappropriate because the analyte concentration (or recovery) already is compensated for by the isotope-dilution quantification procedure. Method analytes were spiked at 10 and 100 nanograms per liter (ng/L) for most analytes (10 times greater spike levels were used for bisphenol A and 100 times greater spike levels were used for 3--coprostanol and cholesterol) into the following validation-sample matrices: reagent water, wastewater-affected surface water, a secondary-treated wastewater effluent, and a primary (no biological treatment) wastewater effluent. Overall method recovery for all analytes in these matrices averaged 100 percent, with overall relative standard deviation of 28 percent. Mean recoveries of the 20 individual analytes for spiked reagent-water samples prepared along with field samples and analyzed in 2009–2010 ranged from 84–104 percent, with relative standard deviations of 6–36 percent. Concentrations for two analytes, equilin and progesterone, are reported as estimated because these analytes had excessive bias or variability, or both. Additional database coding is applied to other reported analyte data as needed, based on sample-specific IDS recovery performance. Detection levels were derived statistically by fortifying reagent water at six different levels (0.1 to 4 ng/L) and range from about 0.4 to 4 ng/L for 16 analytes. Interim reporting levels applied to analytes in this report range from 0.8 to 8 ng/L. Bisphenol A and the sterols (cholesterol and 3-beta-coprostanol) were consistently detected in laboratory and field blanks. The minimum reporting levels were set at 100 ng/L for bisphenol A and at 200 ng/L for the two sterols to prevent any bias associated with the presence of these compounds in the blanks. A minimum reporting level of 2 ng/L was set for 11-ketotestosterone to minimize false positive risk from an interfering siloxane compound emanating as chromatographic-column bleed, from vial septum material, or from other sources at no more than 1 ng/L.

Techniques and Methods↗

Reduced freshwater mussel juvenile production as a result of agricultural and urban contaminant mixture exposures

Freshwater mussels provide invaluable ecological services but are threatened by habitat alteration, poor water quality, invasive species, climate change, and contaminants, including contaminants of emerging concern (CECs). Contaminants of emerging concerns are well documented in aquatic environments, including the Great Lakes Basin, but limited information is available on how environmentally relevant mixtures affect freshwater mussel biology throughout their varied life stages. Our main goal was to assess mussels' reproductive output in response to exposure to agricultural and urban CEC mixtures during glochidial development through juvenile transformation and excystment focusing on how exposure duration and treatment affect: (1) the number of glochidia prematurely released by brooding females, (2) glochidial transformation through host-fish excystment, and (3) the number of fully metamorphosed juveniles able to continue the lifecycle. Mussels and host fish were exposed to either a control water (CW), control ethanol (CE), agriculture CEC mixture (AM), or urban CEC mixture (UM) for 40 and 100 days. We found no effect from treatment or exposure duration on the number of glochidia prematurely released. Fewer partially and fully metamorphosed AM juveniles were observed during the 100-day exposure, compared with the 40-day. During the 40-day exposure, CW produced more fully metamorphosed individuals compared with CE and UM, but during the 100-day exposure AM produced more fully metamorphosed individuals compared with the CW. There was reduction in fully metamorphosed juveniles compared with partially metamorphosed for CE and UM during the 40-day exposure, as well as in the CW during the 100-day exposure. These results will be important for understanding how mussel populations are affected by CEC exposure. The experiments also yielded many insights for laboratory toxicology exposure studies.

Environmental Toxicology and Chemistry↗

Hydrologic metrics for status-and-trends monitoring in urban and urbanizing watersheds

Local governmental agencies are increasingly undertaking potentially costly “status-and-trends” monitoring to evaluate the effectiveness of stormwater control measures and land-use planning strategies, or to satisfy regulatory requirements. Little guidance is presently available for such efforts, and so we have explored the application, interpretation, and temporal limitations of well-established hydrologic metrics of runoff changes from urbanization, making use of an unusually long-duration, high-quality data set from the Pacific Northwest (USA) with direct applicability to urban and urbanizing watersheds. Three metrics previously identified for their utility in identifying hydrologic conditions with biological importance that respond to watershed urbanization—T Qmean (the fraction of time that flows exceed the mean annual discharge), the Richards-Baker Index (characterizing flashiness relative to the mean discharge), and the annual tally of wet-season day-to-day flow reversals (the total number of days that reverse the prior days’ increasing or decreasing trend)—are all successful in stratifying watersheds across a range of urbanization, as measured by total contributing area of urban development. All metrics respond with statistical significance to multi-decadal trends in urbanization, but none detect trends in watershed-scale urbanization over the course of a single decade. This suggests a minimum period over which dependable trends in hydrologic alteration (or improvement) can be detected with confidence. The metrics also prove less well suited to urbanizing watersheds in a semi-arid climate, with only flow reversals showing a response consistent with prior findings from more humid regions. We also explore the use of stage as a surrogate for discharge in calculating these metrics, recognizing potentially significant agency cost savings in data collection with minimal loss of information. This approach is feasible but cannot be implemented under current data-reporting practices, requiring measurement of water-depth values and preservation of the full precision of the original recorded data. With these caveats, however, hydrologic metrics based on stage should prove as or more useful, at least in the context of status-and-trends monitoring, as those based on subsequent calculations of discharge.

Hydrological Processes↗

Where's the reef: the role of framework in the Holocene

Holocene reef models generally emphasize the role of in-place and interlocking framework in the creation of a rigid structure that rises above its surroundings. By extension, a number of ancient biohermal deposits have been disqualified as “true reefs” owing to their lack of recognizable framework. Fifty-four cores from several eastern Caribbean sites (Fig. 1) clearly demonstrate that in-place and interlocking framework is not common in these reefs that are comprised of varying mixtures of recognizable coral (primary framework), loose sediment/rubble and secondary framework made up mostly of coralgal fragments bound together by submarine cementation and biological encrustation. Recovery of primary and secondary framework ranged from 22% (avg.) in branching-coral facies to 33% in intervals dominated by head corals. Accretion rate decreased as expected with water depth. However, the recovery of recognizable coral generally increased with water depth, inversely to presumed coral-growth rates. This pattern reflects a spectrum in the relative importance of coral growth (primary construction), bioerosion, hydromechanical breakdown and the transport of sediment and detritus. The relative importance of each is controlled by the physical-oceanographic conditions at the site of reef development and will dictate both the architecture of the reef and the character of its internal fabric. We do not propose that framework reefs do no exist, as they most assuredly do. However, the fact that so many modern reefs are not dominated by in-place and interlocking framework suggests that its use as the primary determinant of ancient reefs may be unreasonable. We, therefore, propose the abandonment of framework-based models in favor of those that treat framework generation, physical/biological degradation, sedimentation, and encrustation as equal partners in the development of modern and ancient reefs alike.

Carbonates and Evaporites↗

Potentials and limits for the use of ozone as a fish disease control agent

Ozone and chlorine inactivation curves were determined in three types of freshwater at 20 C for the destruction of the fish pathogens Aeromonas salmonicida the etiologic agent of furunculosis, and Yersinia ruckeri the enteric redmouth bacterium (ERM). Ozone and chlorine inactivation curves were also obtained in the same water types at 10 C for the fish pathogenic viruses infectious hematopoietic necrosis (IHNV), and infectious pancreatic necrosis (IPNV). Acute toxicity tests using the rainbow trout as a representative salmonid revealed that ozone was highly toxic at the dose levels used. Partial chronic (3. mo.) testing revealed that ozone exposure at 2 μg/L causes only minimal physiological changes, none of which would be expected to compromise biological function.

Ozone: Science and Engineering↗

From pools to flow: The PROMISE framework for new insights on soil carbon cycling in a changing world

Soils represent the largest terrestrial reservoir of organic carbon, and the balance between soil organic carbon (SOC) formation and loss will drive powerful carbon‐climate feedbacks over the coming century. To date, efforts to predict SOC dynamics have rested on pool‐based models, which assume classes of SOC with internally homogenous physicochemical properties. However, emerging evidence suggests that soil carbon turnover is not dominantly controlled by the chemistry of carbon inputs, but rather by restrictions on microbial access to organic matter in the spatially heterogeneous soil environment. The dynamic processes that control the physicochemical protection of carbon translate poorly to pool‐based SOC models; as a result, we are challenged to mechanistically predict how environmental change will impact movement of carbon between soils and the atmosphere. Here, we propose a novel conceptual framework to explore controls on belowground carbon cycling: P robabilistic R epresentation of O rganic M atter I nteractions within the S oil E nvironment (PROMISE). In contrast to traditional model frameworks, PROMISE does not attempt to define carbon pools united by common thermodynamic or functional attributes. Rather, the PROMISE concept considers how SOC cycling rates are governed by the stochastic processes that influence the proximity between microbial decomposers and organic matter, with emphasis on their physical location in the soil matrix. We illustrate the applications of this framework with a new biogeochemical simulation model that traces the fate of individual carbon atoms as they interact with their environment, undergoing biochemical transformations and moving through the soil pore space. We also discuss how the PROMISE framework reshapes dialogue around issues related to SOC management in a changing world. We intend the PROMISE framework to spur the development of new hypotheses, analytical tools, and model structures across disciplines that will illuminate mechanistic controls on the flow of carbon between plant, soil, and atmospheric pools.

Global Change Biology↗

Disturbance alters local-regional richness relationships in appalachian forests

Whether biological diversity within communities is limited by local interactions or regional species pools remains an important question in ecology. In this paper, we investigate how an experimentally applied tree-harvesting disturbance gradient influenced local-regional richness relationships. Plant species richness was measured at three spatial scales (2 ha = regional; 576 m 2 and 1 m 2 = local) on three occasions (one year pre-disturbance, one year post-disturbance, and 10 years post-disturbance) across five disturbance treatments (uncut control through clearcut) replicated throughout the southern Appalachian Mountains, USA. We investigated whether species richness in 576-m 2 plots and 1-m 2 subplots depended on species richness in 2-ha experimental units and whether this relationship changed through time before and after canopy disturbance. We found that, before disturbance, the relationship between local and regional richness was weak or nonexistent. One year after disturbance local richness was a positive function of regional richness, because local sites were colonized from the regional species pool. Ten years after disturbance, the positive relationship persisted, but the slope had decreased by half. These results suggest that disturbance can set the stage for strong influences of regional species pools on local community assembly in temperate forests. However, as time since disturbance increases, local controls on community assembly decouple the relationships between regional and local diversity. ?? 2009 by the Ecological Society of America.

Ecology↗