USGS Science⌕ Search

SEARCH · USGS Science

Results for “Research and Exploration”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 829 records · Page 46Linked to original sources

Users, uses, and value of Landsat satellite imagery: results from the 2012 survey of users

Landsat satellites have been operating since 1972, providing a continuous global record of the Earth’s land surface. The imagery is currently available at no cost through the U.S. Geological Survey (USGS). Social scientists at the USGS Fort Collins Science Center conducted an extensive survey in early 2012 to explore who uses Landsat imagery, how they use the imagery, and what the value of the imagery is to them. The survey was sent to all users registered with USGS who had accessed Landsat imagery in the year prior to the survey and over 11,000 current Landsat imagery users responded. The results of the survey revealed that respondents from many sectors use Landsat imagery in myriad project locations and scales, as well as application areas. The value of Landsat imagery to these users was demonstrated by the high importance of and dependence on the imagery, the numerous environmental and societal benefits observed from projects using Landsat imagery, the potential negative impacts on users’ work if Landsat imagery was no longer available, and the substantial aggregated annual economic benefit from the imagery. These results represent only the value of Landsat to users registered with USGS; further research would help to determine what the value of the imagery is to a greater segment of the population, such as downstream users of the imagery and imagery-derived products.

Open-File Report↗

Habitat amount and edge effects, not perch proximity, nest exposure, or vegetation diversity affect cowbird parasitism in agricultural landscapes

Context Prior research documented relationships between brown-headed cowbird ( Molothrus ater ) brood parasitism and edge effects, proximity of perches, and nest exposure. Those relationships have not been evaluated in agroecosystems containing extremes of fragmentation and vegetation diversity. Objectives We compared three existing hypotheses on how cowbirds locate host nests with two new hypotheses regarding habitat amount and vegetation diversity to determine how the configuration and location of agricultural conservation practices affect grassland bird nest parasitism rates and predicted rates for eight common conservation practices. Methods We assessed cowbird parasitism of grassland bird nests on corn and soybean farms in Iowa, USA, and measured perch proximity, nest exposure, edge effects, habitat amount, and vegetation diversity for each nest. We fit a global generalized linear mixed-effects model and compared importance of model parameters using odds ratios. We predicted parasitism likelihood for every subset model and averaged predictions to explore individual effects. Results The variables that most influenced parasitism rates included main effects for nest initiation day-of-season (OR = 0.71, CI 95 = 0.60–0.84) and the landscape variables of distance to nearest crop edge (0.63, 0.51–0.76) and proportion of grass land cover within 660 m (0.75, 0.57–1.00). We found little support that perch proximity, nest exposure, or native vegetation diversity affected parasitism. We also assessed parasitism likelihood by conservation practice and found no significant differences. Conclusions Our results provide evidence to support the edge effect and habitat amount hypotheses, but not the nest exposure, vegetation diversity, or perch proximity hypotheses.

Iowa↗

Rapid geodetic observations of spatiotemporally varying postseismic deformation following the Ridgecrest earthquake sequence: The U.S. Geological Survey response

The U.S. Geological Survey’s geodetic response to the 4–5 July 2019 (Pacific time) Ridgecrest earthquake sequence comprised primarily the installation and/or reoccupation of Global Navigation Satellite System (GNSS) monumentation. Our response focused primarily on the United States’ Navy’s China Lake Naval Air Weapons Station base (NAWSCL). This focus was because much of the surface rupture occurred on the NAWSCL and because of NAWSCL access restrictions only permitting Federal and State of California personnel. In total, we measured or are still measuring at 24 sites, 14 of which were on the NAWSCL and, as of this writing, operational. The majority of sites were set up as continuous stations logging at either 1 sample per second or 1 sample per 15 s. Two stations were recording a 200 m cross‐rupture aperture starting ∼10 hr after the M 6.4 event, and they recorded the coseismic displacements of the M 7.1. Approximately, 1 hr after the M 7.1 event, two new stations were recording a ∼200 m cross‐rupture aperture of the surface rupture. In the days following, we established the rest of the stations ranging to a distance of ∼15 km from the M 7.1 principal rupture trace. The lack of differential displacement across the M 6.4 rupture during the M 7.1 event suggests that it did not reactivate the M 6.4 plane. The lack of differential cross‐fault displacement for both events suggests that rapid shallow afterslip did not occur at those two locations. The postseismic time series from these stations shows centimeters of horizontal displacement over periods of a few months. They record a mixture of fault‐parallel and fault‐normal displacements that, in conjunction with analysis of more spatially complete Interferometric Synthetic Aperture Radar displacement fields, suggest that both poroelastic and afterslip phenomena occur along the M 6.4 and 7.1 rupture planes. Using preliminary data from these and other regional stations, we also explore the Ridgecrest sequence’s effect on regional GNSS time series and the differentiation of long‐term postseismic motions and secular deformation rates. We find that redefining a common‐mode noise filter using different GNSS stations that are assumed to be unaffected by the earthquakes results in small but systematic differences in the regional velocity field estimate.

Seismological Research Letters↗

Long-term communication of aftershock forecasts: The Canterbury earthquake sequence in New Zealand

On 14 February 2016, a magnitude (M)5.7 earthquake struck in Christchurch New Zealand (Aotearoa in the Maori language). The shaking caused damage to historic facades, power outages, cliff collapses, rock falls, and liquefaction but no reported injuries or fatalities. This Valentine’s Day earthquake was an aftershock in the Canterbury earthquake sequence (CES), which began on 4 September 2010 with the M7.1 Darfield Earthquake and included the destructive and fatal M6.2 Christchurch aftershock on 22 February 2011. This study, eight months after the Valentine’s Day earthquake and six years after the initiation of the CES, is the first to explore long-term aftershock forecast information and communication needs. The exploratory study also aimed to gather feedback on aftershock scenarios, an alternative form for communicating the forecast. The qualitative study involved workshops with emergency managers, public health officials, and members of the public in Christchurch. Key findings for long-term communication throughout an earthquake sequence include: 1. divergent earthquake experiences affect aftershock communication response and information needs; 2. understanding aftershock sequence behavior is foundational to sense-making when large aftershocks occur; 3. strategic earthquake sequence updates from the trusted science agency and local agencies could serve as important reminders for earthquake preparedness; 4. communication of aftershock forecast uncertainty could aid with both the credibility of the information and living with uncertainty, and 5. inclusion of impact information and preparedness advice into aftershock forecast scenarios could provide links to actionable information. The paper derives implications for research and practice of long-term communications during an aftershock sequence.

Christchurch↗

Invasive reptiles and amphibians: global perspectives and local solutions

In the annals of invasive species biology, higher taxa such asmammals, plants and insects have received the lion’s shareof research attention, largely because many of these invadershave demonstrated a remarkable ability to degrade ecosys-tems and cause economic harm. Interest in invasive reptilesand amphibians (collectively ‘herpetofauna’, colloquially‘herps’) has historically lagged but is now garnering in-creased scrutiny as a result of their escalating pace ofinvasion. A few herpetofaunal invaders have received con-siderable attention in scientific and popular accounts, in-cluding the brown treesnakeBoiga irregularison Guam,Burmese pythonPython molurusin Florida, Coqu´ıEleutherodactylus coquiin Hawaii and cane toadBufomarinusin Australia. However, relatively few are aware ofmany emerging and potentially injurious herpetofaunalinvaders, such as Nile monitorsVaranus niloticusin Flor-ida, common kingsnakesLampropeltis getulain the CanaryIslands, boa constrictorsBoa constrictoron Aruba andCozumel, or a variety of giant constrictor snakes in PuertoRico. For the vast majority of the most commonlyintroduced species, real or potential impacts to nativeecosystems or human economic interests are poorly under-stood and incompletely explored; major pathways of intro-duction have only recently been elucidated, and effectivemanagement interventions have been limited (Kraus, 2009).

Animal Conservation↗

Influence of groundwater on distribution of dwarf wedgemussels (Alasmidonta heterodon) in the upper reaches of the Delaware River, northeastern USA

The remaining populations of the endangered dwarf wedgemussel (DWM) ( Alasmidonta heterodon ) in the upper Delaware River, northeastern USA, were hypothesized to be located in areas of greater-than-normal groundwater discharge to the river. We combined physical (seepage meters, monitoring wells and piezometers), thermal (fiber-optic distributed temperature sensing, infrared, vertical bed-temperature profiling), and geophysical (electromagnetic-induction) methods at several spatial scales to characterize known DWM habitat and explore this hypothesis. Numerous springs were observed using visible and infrared imaging along the river banks at all three known DWM-populated areas, but not in adjacent areas where DWM were absent. Vertical and lateral groundwater gradients were toward the river along all three DWM-populated reaches, with median upward gradients 3 to 9 times larger than in adjacent reaches. Point-scale seepage-meter measurements indicated that upward seepage across the riverbed was faster and more consistently upward at DWM-populated areas. Discrete and areally distributed riverbed-temperature measurements indicated numerous cold areas of groundwater discharge during warm summer months; all were within areas populated by DWM. Electromagnetic-induction measurements, which may indicate riverbed geology, showed patterning but little correlation between bulk streambed electromagnetic conductivity and areal distribution of DWM. In spite of complexity introduced by hyporheic exchange, multiple lines of research provide strong evidence that DWM are located within or directly downstream of areas of substantial focused groundwater discharge to the river. Broad scale thermal-reconnaissance methods (e.g., infrared) may be useful in locating and protecting other currently unknown mussel populations.

Delaware River↗

A Lake Charr pangenome reveals highly conserved Ohnologs as drivers of phenotypic diversity

Whole-genome duplication (WGD) is hypothesized to spur evolutionary diversification by producing genome-wide duplicate gene sets (Ohnologs) that are initially functionally redundant but can diverge markedly as the effects of relaxed selection accumulate over time. However, the underlying mechanisms remain unclear, in part because genomic studies often reconstruct Ohnolog evolution over millions of years, during which subsequent mutations can obscure deep-time signals. Investigating the relationship between Ohnolog evolution and diversification on a contemporary timescale offers clearer insights. We explore this relationship in Lake Charr ( Salvelinus namaycush ), where ∼10% of genes are retained highly conserved polyploid duplicates following the Salmonid-Specific Fourth Round WGD. Using 31 chromosome-level assemblies of Lake Charr from morphologically and ecologically diverse populations, joined into a pangenome graph, we characterized 189,555 structural variants (SVs) that were significantly less likely to affect genes retained as sequence-conserved Ohnolog pairs, nuancing the hypothesis that gene redundancy, relaxed selection, and functional diversification are intertwined. However, we found that SVs affecting such conserved Ohnologs may be potent drivers of adaptive evolution. Notably, we identified a putative 938-Kb interchromosomal translocation containing 25 genes with highly conserved Ohnologs in a paralogous (but untranslocated) genomic block. This putative translocation appears to have facilitated Ohnolog divergence in ankrd11 and hp , genes putatively linked to craniofacial and lipid metabolic diversity in sympatric Lake Superior morphs. This research reveals that conserved Ohnologs previously presumed to be redundant remain a reservoir for adaptive change.

BioRxiv↗

Modelling marsh-forest boundary transgression in response to storms and sea-level rise

The lateral extent and vertical stability of salt marshes experiencing rising sea levels depend on interacting drivers and feedbacks with potential for non‐linear behaviors. A two‐dimensional transect model was developed to examine changes in marsh and upland forest lateral extent and to explore controls on marsh inland transgression. Model behavior demonstrates limited and abrupt forest retreat with long‐term upland boundary migration rates controlled by slope, sea level rise (SLR), high water events and biotic‐abiotic interactions. For low to moderate upland slopes the landward marsh edge is controlled by the interaction of these inundation events and forest recovery resulting in punctuated transgressive events. As SLR rates increase, the importance of the timing and frequency of water level deviations diminishes, and migration rates revert back to a slope‐SLR dominated process.

Geophysical Research Letters↗

Ice sheet dynamics drive pronounced changes in the subsurface freshwater-saltwater interface

Saltwater is migrating into freshwater aquifers globally with water quality and biogeochemical implications, yet saltwater intrusion in glaciated regions is sparsely investigated. Field observations suggest that groundwater head in glaciated systems is influenced by ice sheet forcings and provides evidence that seawater infiltrated into offshore aquifers during past deglaciation events. To understand links between ice sheet dynamics, groundwater head, and saltwater intrusion, we use numerical models to explore the effects of deglaciation on nearshore head and salinity distributions. We find that ice sheet thinning diminishes groundwater head, and the resulting shift in subsurface pressure gradients drives rapid landward movement of the subsurface freshwater-saltwater interface up to 4.0 km or 1.3 m per m ice sheet loss. Results highlight an overlooked saltwater intrusion mechanism that aligns with field observations and affects glaciated coastlines undergoing ice sheet retreat, underscoring the need to consider this mechanism in studies of contemporary coastal water quality.

Geophysical Research Letters↗

Incorporating uncertainty into mercury-offset decisions with a probabilistic network for National Pollutant Discharge Elimination System permit holders: An interim report

This interim report describes an alternative approach for evaluating the efficacy of using mercury (Hg) offsets to improve water quality. Hg-offset programs may allow dischargers facing higher-pollution control costs to meet their regulatory obligations by making more cost effective pollutant-reduction decisions. Efficient Hg management requires methods to translate that science and economics into a regulatory decision framework. This report documents the work in progress by the U.S. Geological Survey’s Western Geographic Science Center in collaboration with Stanford University toward developing this decision framework to help managers, regulators, and other stakeholders decide whether offsets can cost effectively meet the Hg total maximum daily load (TMDL) requirements in the Sacramento River watershed. Two key approaches being considered are: (1) a probabilistic approach that explicitly incorporates scientific uncertainty, cost information, and value judgments; and (2) a quantitative approach that captures uncertainty in testing the feasibility of Hg offsets. Current fate and transport-process models commonly attempt to predict chemical transformations and transport pathways deterministically. However, the physical, chemical, and biologic processes controlling the fate and transport of Hg in aquatic environments are complex and poorly understood. Deterministic models of Hg environmental behavior contain large uncertainties, reflecting this lack of understanding. The uncertainty in these underlying physical processes may produce similarly large uncertainties in the decisionmaking process. However, decisions about control strategies are still being made despite the large uncertainties in current Hg loadings, the relations between total Hg (HgT) loading and methylmercury (MeHg) formation, and the relations between control efforts and Hg content in fish. The research presented here focuses on an alternative analytical approach to the current use of safety factors and deterministic methods for Hg TMDL decision support, one that is fully compatible with an adaptive management approach. This alternative approach uses empirical data and informed judgment to provide a scientific and technical basis for helping National Pollutant Discharge Elimination System (NPDES) permit holders make management decisions. An Hg-offset system would be an option if a wastewater-treatment plant could not achieve NPDES permit requirements for HgT reduction. We develop a probabilistic decision-analytical model consisting of three submodels for HgT loading, MeHg, and cost mitigation within a Bayesian network that integrates information of varying rigor and detail into a simple model of a complex system. Hg processes are identified and quantified by using a combination of historical data, statistical models, and expert judgment. Such an integrated approach to uncertainty analysis allows easy updating of prediction and inference when observations of model variables are made. We demonstrate our approach with data from the Cache Creek watershed (a subbasin of the Sacramento River watershed). The empirical models used to generate the needed probability distributions are based on the same empirical models currently being used by the Central Valley Regional Water Quality Control Cache Creek Hg TMDL working group. The significant difference is that input uncertainty and error are explicitly included in the model and propagated throughout its algorithms. This work demonstrates how to integrate uncertainty into the complex and highly uncertain Hg TMDL decisionmaking process. The various sources of uncertainty are propagated as decision risk that allows decisionmakers to simultaneously consider uncertainties in remediation/implementation costs while attempting to meet environmental/ecologic targets. We must note that this research is on going. As more data are collected, the HgT and cost-mitigation submodels are updated and the uncertainties may be reduced. Subsequently, the value of using a probabilistic framework for estimating and explicitly stating these uncertainties within a decisionmaking process can be estimated when new data are collected. Future work includes the design and implementation of a Bayesian network decision support system (BN-DSS) to produce mitigation scenarios for offset-project evaluation in the Cache Creek watershed. The decisionmaker, a wastewater-treatment plant, is expected to evaluate potential Hg-offset programs in terms of changes in HgT load changes, MeHg-production potential, project cost, and other suitability criteria. Subsequently, scenarios can be analyzed by performing sensitivity analyses and ranking environmental and economic uncertainties in terms of the decisionmaker’s preferences and risk choices. Such an analysis allows decisionmakers and stakeholders to explore various scenarios and predict the consequences of different stated preferences over outcomes.

Open-File Report↗

Marine minerals in Alaska — A review of coastal and deep-ocean regions

Minerals occurring in marine environments span the globe and encompass a broad range of mineral categories, forming within varied geologic and oceanographic settings. They occur in coastal regions, either from the continuation or mechanical reworking of terrestrial mineralization, as well as in the deep ocean, from diagenetic, hydrogenetic, and hydrothermal processes. The oceans cover most of the Earth’s surface and as a result, any inventory of global resources is incomplete without the inclusion of marine minerals. This study by the U.S. Geological Survey reviews current knowledge regarding deep-ocean and coastal marine minerals within the marine areas surrounding Alaska, including the Alaska Outer Continental Shelf (OCS). For the purposes of this study, we have divided these areas in to eight regions: (1) Gulf of Alaska seamounts, (2) Chukchi Borderland, (3) Canada Basin, (4) Aleutian Arc, (5) Seward Peninsula, (6) Goodnews Bay, (7) Bristol Bay and Alaska Peninsula, and (8) southern and southeastern Alaska. The Alaska OCS encompasses several areas broadly conducive to marine mineral formation, including extensional basins resulting from an active subduction zone where massive sulfide deposits may form, deep abyssal plains with conditions that may lead to manganese nodule formation, seamounts that can provide substrate for the growth of ferromanganese crusts, and erosional settings and submerged continental crust where placer deposits are found. For deep-ocean hydrothermal minerals and manganese nodules, the Alaska OCS contains prospective regions, including the Canada Basin and the Aleutian Arc; however, no such minerals have yet been identified. We explore the probability that these minerals occur based on reviews of existing geologic and oceanographic data within the relevant sections. In regions far from shore data are limited. Deep-ocean ferromanganese crusts are known to occur in two regions: (1) the Gulf of Alaska seamounts and (2) the Chukchi Borderland in the Arctic Ocean. Limited sampling has occurred in both regions, and along the Chukchi Borderland the sampling was outside of the OCS and the U.S. Exclusive Economic Zone. Data relevant to coastal minerals is more extensive, and in some places fairly systematic sampling was conducted. Several nearshore placer deposits have been exploited for decades; however, the potential for nearshore extension of terrestrial ore deposits is less well considered. This contribution considers the state of knowledge regarding marine mineral occurrences within the Alaska regions and identifies the data gaps in order to help inform future marine mineral related research efforts around Alaska.

Alaska↗

Seasonality of retreat rate of a wave-exposed marsh edge

Wave-driven erosion of marsh boundaries is a major cause of marsh loss, but little research has captured the effect of seasonal differences on marsh-edge retreat rates to illuminate temporal patterns of when the majority of this erosion is occurring. Using five surface models captured over a study year of a marsh with a steep escarped boundary in South San Francisco Bay, we find a pronounced seasonal signal, where rapid marsh retreat in the spring and summer is driven by a strong sea breeze but little change is found in the marsh-edge position in the fall and winter. We found accretion in the mudflat transition region close to the marsh boundary in the calmer seasons however, suggesting intertwined morphodynamics of mudflats and the eroding marsh-scarp. We observed large spatial heterogeneity in retreat rates within seasons, but less on longer (annual and decadal) timescales. The relationship between marsh-edge retreat rates and properties of the wave field nearby is explored and contextualized against extant relationships, but our results speak to the difficulty in addressing spatial erosion/accretion variability on short (seasonal) timescales with simple models.

JGR Earth Surface↗

A dynamic population model to investigate effects of climate and climate-independent factors on the lifecycle of the tick Amblyomma americanum (Acari: Ixodidae)

The lone star tick, Amblyomma americanum , is a disease vector of significance for human and animal health throughout much of the eastern United States. To model the potential effects of climate change on this tick, a better understanding is needed of the relative roles of temperature-dependent and temperature-independent (day-length-dependent behavioral or morphogenetic diapause) processes acting on the tick lifecycle. In this study, we explored the roles of these processes by simulating seasonal activity patterns using models with site-specific temperature and day-length-dependent processes. We first modeled the transitions from engorged larvae to feeding nymphs, engorged nymphs to feeding adults, and engorged adult females to feeding larvae. The simulated seasonal patterns were compared against field observations at three locations in United States. Simulations suggested that 1) during the larva-to-nymph transition, some larvae undergo no diapause while others undergo morphogenetic diapause of engorged larvae; 2) molted adults undergo behavioral diapause during the transition from nymph-to-adult; and 3) there is no diapause during the adult-to-larva transition. A model constructed to simulate the full lifecycle of A. americanum successfully predicted observed tick activity at the three U.S. study locations. Some differences between observed and simulated seasonality patterns were observed, however, identifying the need for research to refine some model parameters. In simulations run using temperature data for Montreal, deterministic die-out of A. americanum populations did not occur, suggesting the possibility that current climate in parts of southern Canada is suitable for survival and reproduction of this tick.

Journal of Medical Entomology↗

Amendments fail to hasten biocrust recovery or soil stability at a disturbed dryland sandy site

In most drylands, biological soil crusts (biocrusts), an assemblage of lichens, bryophytes, fungi, green algae, and cyanobacteria, are critical to healthy ecosystem function. However, they are extremely sensitive to disturbance and attempts to facilitate their recovery have had variable success. In this study, we applied soil amendments designed to improve soil surface stability and accelerate biocrust recovery on an area disturbed by oil/gas exploration vehicles. Treatments included: 1) Control (one time water only); 2) Biocrust‐only: biocrust inoculum + nutrients in water; 3) Polyacrylamide gels (PAM; which are known to stabilize soils) + biocrust inoculum + nutrients in water; 4) Gypsum + biocrust inoculum + nutrients in water; and 5) Saline (NaCl) solution + biocrust inoculum + nutrients in water. Only the NaCl treatment showed any effects on soil properties and these were only short‐term. These effects included an increase in soil strength and a reduction in soil aggregate stability, unsaturated hydraulic conductivity (K h ), and cyanobacterial biomass. The inoculated biocrust material failed to develop and even after 10 years, there was only a very low natural recolonization of the plots. These results show that inoculating soils or applying these levels of soil amendments does not guarantee recovery of soil stability or biocrust, and that some sites are unlikely to recover without assistance. Thus, there is a need for more research into ways to enhance soil stability and identify the factors limiting biocrust establishment.

Restoration Ecology↗

The importance of simulation assumptions when evaluating detectability in population models

Population monitoring is important for investigating a variety of ecological questions, and N-mixture models are increasingly used to model population size (N) and trends (lambda) while estimating detectability (p) from repeated counts within primary periods (when populations are closed to changes). Extending these models to dynamic processes with serial dependence across primary periods may relax the closure assumption, but simulations to evaluate models and inform effort (e.g., number of repeated counts) typically assume p is constant or random across sites and years. Thus, it is unknown how these models perform under scenarios where trends in p confound inferences on N and lambda, and conclusions regarding effort may be overoptimistic. Here, we used global positioning system (GPS) data from greater sage-grouse (Centrocercus urophasianus) to inform simulations of the detection process for lek counts of this species, and we created scenarios with and without linear annual trends in p. We then compared estimates of N and lambda from hierarchical population models either fit with single maximum counts or with detectability estimated from repeated counts (dynamic N-mixture models). We also explored using auxiliary data to correct counts for variation in detectability. Uncorrected count models consistently underestimated N by >50% whereas N-mixture models without auxiliary data underestimated N to a lesser degree due to unmodeled heterogeneity in p such as age. Nevertheless, estimates of lambda from both types of models were unbiased and similar for scenarios without trends in p. When p declined systematically across years, uncorrected count models underestimated lambda whereas N-mixture models estimated lambda with little bias when all sites were counted repeatedly. Auxiliary data also reduced bias in parameter estimates. Evaluating population models using scenarios with systematic variation in p may better reveal potential biases and inform effort than simulations that assume p is constant or random. Dynamic N-mixture models can distinguish between trends in p and N, but also require repeated counts within primary periods for accurate estimates. Auxiliary data may be useful when researchers lack repeated counts, wish to monitor more sites less intensively, or require unbiased estimates of N.

Ecosphere↗

The Searsville Lake Site (California, USA) as a candidate Global boundary Stratotype Section and Point for the Anthropocene series

Cores from Searsville Lake within Stanford University’s Jasper Ridge Biological Preserve, California, USA, are examined to identify a potential GSSP for the Anthropocene: core JRBP2018-VC01B (944.5 cm-long) and tightly correlated JRBP2018-VC01A (852.5 cm-long). Spanning from 1900 CE ± 3 years to 2018 CE, a secure chronology resolved to the sub-annual level allows detailed exploration of the Holocene-Anthropocene transition. We identify the primary GSSP marker as first appearance of 239,240 Pu (372–374 cm) in JRBP2018-VC01B and designate the GSSP depth as the distinct boundary between wet and dry season at 366 cm (6 cm above the first sample containing 239,240 Pu) and corresponding to October-December 1948 CE. This is consistent with a lag of 1–2 years between ejection of 239,240 Pu into the atmosphere and deposition. Auxiliary markers include: first appearance of 137 Cs in 1958; late 20th-century decreases in δ 15 N; late 20th-century elevation in SCPs, Hg, Pb, and other heavy metals; and changes in abundance and presence of ostracod, algae, rotifer and protozoan microfossils. Fossil pollen document anthropogenic landscape changes related to logging and agriculture. As part of a major university, the Searsville site has long been used for research and education, serves users locally to internationally, and is protected yet accessible for future studies and communication about the Anthropocene.

California↗

U.S. Geological Survey Colorado River Basin science and technology collaboration meetings on drought (2021)—Synthesis of findings

Ongoing, prolonged, and severe drought and water overuse during the first two decades of the 21st century have reduced water supplies of the Colorado River Basin, with effects cascading to ecosystems and human communities throughout the basin. In June and July 2021, the U.S. Geological Survey (USGS) Colorado River Basin Actionable and Strategic Integrated Science and Technology initiative team held a series of 12 collaboration meetings with USGS scientists and managers to discuss complicated, integrated science challenges and solutions related to drought in the Colorado River Basin. These Science and Technology collaboration meetings were structured to identify challenges experienced by meeting participants when working on complex problems, explore opportunities for coproducing scientific information, and envision future collaborative programs that leverage new technology. The 12 meetings were attended by 79 USGS staff representing 43 unique affiliations (for example, USGS science centers, mission areas, and regional offices). Meeting participants submitted 865 individual responses to six general discussion prompt topics (“Challenges,” “Knowledge Gaps,” “Existing Capabilities,” “Strategies and Actions,” “Example Applications,” and “Next Steps”) using a structured online collaboration tool. However, specific questions or tasks from each general discussion prompt varied by meeting topic. Terms from the USGS Thesaurus ( https://apps.usgs.gov/thesaurus/ ) and USGS Data Lifecycle Model ( https://www.usgs.gov/data-management/data-lifecycle ) were used to identify and summarize participant responses relevant to science integration, stakeholder engagement, and information management technology. From these responses, opportunities for the Colorado River Basin Actionable and Strategic Integrated Science and Technology initiative to facilitate science integration in the Colorado River Basin are highlighted in this report, including (a) pursuing specific interdisciplinary research topics that require integrating knowledge across spatial and temporal scales, (b) connecting scientists across disciplines, (c) reducing barriers to stakeholder engagement, (d) identifying new technologies, and (e) facilitating data access. Multiple strategies for designing future Science and Technology collaboration meetings are also outlined in this circular to better collect and analyze participant responses.

Arizona, California, Colorado, Nevada, New Mexico,↗

Temporal, spatial, and body size effects on growth rates of loggerhead sea turtles ( Caretta caretta ) in the Northwest Atlantic

In response to a call from the US National Research Council for research programs to combine their data to improve sea turtle population assessments, we analyzed somatic growth data for Northwest Atlantic (NWA) loggerhead sea turtles (Caretta caretta) from 10 research programs. We assessed growth dynamics over wide ranges of geography (9–33°N latitude), time (1978–2012), and body size (35.4–103.3 cm carapace length). Generalized additive models revealed significant spatial and temporal variation in growth rates and a significant decline in growth rates with increasing body size. Growth was more rapid in waters south of the USA (<24°N) than in USA waters. Growth dynamics in southern waters in the NWA need more study because sample size was small. Within USA waters, the significant spatial effect in growth rates of immature loggerheads did not exhibit a consistent latitudinal trend. Growth rates declined significantly from 1997 through 2007 and then leveled off or increased. During this same interval, annual nest counts in Florida declined by 43 % (Witherington et al. in Ecol Appl 19:30–54, 2009) before rebounding. Whether these simultaneous declines reflect responses in productivity to a common environmental change should be explored to determine whether somatic growth rates can help interpret population trends based on annual counts of nests or nesting females. Because of the significant spatial and temporal variation in growth rates, population models of NWA loggerheads should avoid employing growth data from restricted spatial or temporal coverage to calculate demographic metrics such as age at sexual maturity.

Northwest Atlantic↗