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At least 865 records · Page 48Linked to original sources

Linear adsorption of nonionic organic compounds from water onto hydrophilic minerals: Silica and alumina

To characterize the linear adsorption phenomena in aqueous nonionic organic solute−mineral systems, the adsorption isotherms of some low-molecular-weight nonpolar nonionic solutes (1,2,3-trichlorobenzene, lindane, phenanthrene, and pyrene) and polar nonionic solutes (1,3-dinitrobenzene and 2,4-dinitrotoluene) from single- and binary-solute solutions on hydrophilic silica and alumina were established. Toward this objective, the influences of temperature, ionic strength, and pH on adsorption were also determined. It is found that linear adsorption exhibits low exothermic heats and practically no adsorptive competition. The solute−solid configuration and the adsorptive force consistent with these effects were hypothesized. For nonpolar solutes, the adsorption occurs presumably by London (dispersion) forces onto a water film above the mineral surface. For polar solutes, the adsorption is also assisted by polar-group interactions. The reduced adsorptive forces of solutes with hydrophilic minerals due to physical separation by the water film and the low fractions of the water-film surface covered by solutes offer a theoretical basis for linear solute adsorption, low exothermic heats, and no adsorptive competition. The postulated adsorptive forces are supported by observations that ionic strength or pH poses no effect on the adsorption of nonpolar solutes while it exhibits a significant effect on the uptake of polar solutes.

Environmental Science & Technology↗

Final project memorandum: sea-level rise modeling handbook: resource guide for resource managers, engineers, and scientists

Coastal wetlands of the Southeastern United States are undergoing retreat and migration from increasing tidal inundation and saltwater intrusion attributed to climate variability and sea-level rise. Much of the literature describing potential sea-level rise projections and modeling predictions are found in peer-reviewed academic journals or government technical reports largely suited to reading by other Ph.D. scientists who are more familiar or engaged in the climate change debate. Various sea-level rise and coastal wetland models have been developed and applied of different designs and scales of spatial and temporal complexity for predicting habitat and environmental change that have not heretofore been synthesized to aid natural resource managers of their utility and limitations. Training sessions were conducted with Federal land managers with U.S. Fish and Wildlife Service, National Park Service, and NOAA National Estuarine Research Reserves as well as state partners and nongovernmental organizations across the northern Gulf Coast from Florida to Texas to educate and to evaluate user needs and understanding of concepts, data, and modeling tools for projecting sea-level rise and its impact on coastal habitats and wildlife. As a result, this handbook was constructed from these training and feedback sessions with coastal managers and biologists of published decision-support tools and simulation models for sea-level rise and climate change assessments. A simplified tabular context was developed listing the various kinds of decision-support tools and ecological models along with criteria to distinguish the source, scale, and quality of information input and geographic data sets, physical and biological constraints and relationships, datum characteristics of water and land elevation components, utility options for setting sea-level rise and climate change scenarios, and ease or difficulty of storing, displaying, or interpreting model output. The handbook is designed to be a primer to understanding sea-level rise and a practical synthesis of the current state of knowledge and modeling tools as a resource guide for DOl land management needs and facilitating Landscape Conservation Cooperative (LCC) research and conservation initiatives.

Conference Paper↗

The role of stand history in assessing forest impacts

Air pollution, harvesting practices, and natural disturbances can affect the growth of trees and forest development. To make predictions about anthropogenic impacts on forests, we need to understand how these factors affect tree growth. In this study the effect of disturbance history on tree growth and stand structure was examined by using a computer model of forest development. The model was run under the climatic conditions of east Tennessee, USA, and the results compared to stand structure and tree growth data from a yellow poplar-white oak forest. Basal area growth and forest biomass were more accurately projected when rough approximations of the thinning and fire history typical of the measured plots were included in the simulation model. Stand history can influence tree growth rates and forest structure and should be included in any attempt to assess forest impacts.

Environmental Management↗

A bootstrap method for estimating uncertainty of water quality trends

Estimation of the direction and magnitude of trends in surface water quality remains a problem of great scientific and practical interest. The Weighted Regressions on Time, Discharge, and Season (WRTDS) method was recently introduced as an exploratory data analysis tool to provide flexible and robust estimates of water quality trends. This paper enhances the WRTDS method through the introduction of the WRTDS Bootstrap Test (WBT), an extension of WRTDS that quantifies the uncertainty in WRTDS-estimates of water quality trends and offers various ways to visualize and communicate these uncertainties. Monte Carlo experiments are applied to estimate the Type I error probabilities for this method. WBT is compared to other water-quality trend-testing methods appropriate for data sets of one to three decades in length with sampling frequencies of 6–24 observations per year. The software to conduct the test is in the EGRETci R-package.

Environmental Modelling and Software↗

Departures of rangeland fractional component cover and land cover from landsat-based ecological potential in Wyoming USA

Monitoring rangelands by identifying the departure of contemporary conditions from long-term ecological potential allows for the disentanglement of natural biophysical gradients driving change from changes associated with land uses and other disturbance types. We developed maps of ecological potential (EP) for shrub, sagebrush ( Artemisia spp.), perennial herbaceous, litter, and bare ground fractional cover in Wyoming, USA. EP maps correspond to the potential natural vegetation cover expected by environmental conditions in the absence of anthropogenic and natural disturbance as represented by the greenest and least disturbed period of the Landsat archive. EP was predicted using regression tree models with inputs of soil maps and spectral data associated with the 75th percentile of the Normalized Difference Vegetation Index in the Landsat archive. We trained our EP models with 2015 component cover maps on ecologically intact sites with relatively lower bare ground than expected. We generated departure of vegetation cover by comparing the EP and 2015 fractional cover. The departures represent land cover change from potential land cover and/or within-state changes in 2015. Next, we converted EP and 2015 fractional cover maps into thematic land cover and evaluated departure to determine if it was great enough to result in land cover change. The 2015 conditions showed reduced shrub, sagebrush, litter, and perennial herbaceous cover and increased bare ground relative to EP. Known disturbances, such as energy development, fires, and vegetation treatments, are clearly visible on the departure maps, but not on EP component maps. The most frequent departure from EP land cover was shrubland conversion to grassland. Land cover departures can be explained only in small part by known disturbance, and instead are ostensibly related to climate and land management practices. These drivers result in land cover departures that broadened the ecotone between shrubland and grassland relative to EP.

Wyoming↗

Climate-driven changes in wetland hydroperiods predict losses in habitat suitability for amphibian breeding

Environmental regimes are shifting with accelerating climate change, disrupting interactions between species and ecosystems shaped by the climate of the pre-industrial era. Species assemblages that depend on a dynamic network of ephemeral and permanent habitats may be especially sensitive to changing climate, whereby shifting environmental regimes may limit species persistence in landscapes in ways not captured by species physiology or coarse habitat metrics alone. Here we forecasted the loss of montane and subalpine wetlands as breeding habitat for three amphibian species in the US Pacific Northwest, Ambystoma gracile , Ambystoma macrodactylum , and Rana cascadae . We combined historical and recent surveys to build occupancy models of current breeding habitat use. We combined these results with existing hydrological models to predict the loss of suitable breeding habitats by the 2080s due to increased wetland drying. We found that species-specific occupancy of wetlands used for reproduction was predicted by both abiotic (e.g., elevation, wetland area) and biotic (e.g., emergent vegetation) site-level characteristics. Among wetlands currently used for reproduction, we estimated that between 12% and 23% could become unsuitable for the aquatic phase of each species by the 2080s, with watershed-scale losses ranging from 0% to 80%. This suggests that wetland habitat loss could limit the persistence of these species in the Pacific Northwest, though impacts are expected to vary across landscapes. More broadly, we demonstrate a novel approach to quantifying species climate change vulnerability that can be used to identify areas of both risk and resilience in changing landscapes and help to prioritize the application of practical conservation solutions in areas of greatest need.

Washington↗

Repeated landscape-scale treatments following fire suppress a non-native annual grass and promote recovery of native perennial vegetation

Invasive non-native species pose a large threat to restoration efforts following large-scale disturbances. Bromus tectorum (cheatgrass) is a non-native annual grass in the western U.S. that both spreads quickly following fire and accelerates the fire cycle. Herbicide and seeding applications are common restoration practices to break the positive fire-invasion feedback loop and recover native perennial species, but their interactive effects have infrequently been tested at the landscape-scale and repeated in time to encourage long-lasting effects. We determined the efficacy of repeated post-fire application of the herbicide imazapic and seeding treatments to suppress Bromus abundance and promote perennial vegetation recovery. We found that the selective herbicide reduced Bromus cover by ~30 % and density by >50 % across our study sites, but had a strong initial negative effect on seeded species. The most effective treatment to promote perennial seeded species cover was seeding them alone followed by herbicide application 3 years later when the seeded species had established. The efficacy of the treatments was strongly influenced by water availability, as precipitation positively affected the density and cover of Bromus ; soil texture and aspect secondarily influenced Bromus abundance and seeded species cover by modifying water retention in this semi-arid region. Warmer temperatures positively affected the non-native annual grass in the cool-season, but negatively affected seeded perennial species in the warm-season, suggesting an important role of seasonality in a region projected to experience large increases in warming in the future. Our results highlight the importance of environmental interactions and repeated treatments in influencing restoration outcomes at the landscape-scale.

Utah↗

Estimating age from recapture data: Integrating incremental growth measures with ancillary data to infer age-at-length

Estimating the age of individuals in wild populations can be of fundamental importance for answering ecological questions, modeling population demographics, and managing exploited or threatened species. Significant effort has been devoted to determining age through the use of growth annuli, secondary physical characteristics related to age, and growth models. Many species, however, either do not exhibit physical characteristics useful for independent age validation or are too rare to justify sacrificing a large number of individuals to establish the relationship between size and age. Length‐at‐age models are well represented in the fisheries and other wildlife management literature. Many of these models overlook variation in growth rates of individuals and consider growth parameters as population parameters. More recent models have taken advantage of hierarchical structuring of parameters and Bayesian inference methods to allow for variation among individuals as functions of environmental covariates or individual‐specific random effects. Here, we describe hierarchical models in which growth curves vary as individual‐specific stochastic processes, and we show how these models can be fit using capture–recapture data for animals of unknown age along with data for animals of known age. We combine these independent data sources in a Bayesian analysis, distinguishing natural variation (among and within individuals) from measurement error. We illustrate using data for African dwarf crocodiles, comparing von Bertalanffy and logistic growth models. The analysis provides the means of predicting crocodile age, given a single measurement of head length. The von Bertalanffy was much better supported than the logistic growth model and predicted that dwarf crocodiles grow from 19.4 cm total length at birth to 32.9 cm in the first year and 45.3 cm by the end of their second year. Based on the minimum size of females observed with hatchlings, reproductive maturity was estimated to be at nine years. These size benchmarks are believed to represent thresholds for important demographic parameters; improved estimates of age, therefore, will increase the precision of population projection models. The modeling approach that we present can be applied to other species and offers significant advantages when multiple sources of data are available and traditional aging techniques are not practical.

Loango National Park↗

Measuring SO2 emission rates at Kīlauea Volcano, Hawaii, using an array of upward-looking UV spectrometers, 2014-2017

Retrieving accurate volcanic sulfur dioxide (SO 2 ) gas emission rates is important for a variety of purposes. It is an indicator of shallow subsurface magma, and thus may signal impending eruption or unrest. SO 2 emission rates are significant for accurately assessing climate impact, and providing context for assessing environmental, agricultural, and human health effects during volcanic eruptions. The U.S. Geological Survey Hawaiian Volcano Observatory uses an array of ten fixed, upward-looking ultraviolet spectrometer systems to measure SO 2 emission rates at 10-s sample intervals from the Kīlauea summit. We present Kīlauea SO 2 emission rates from the volcano’s summit and middle East Rift Zone during 2014–2017 and discuss the major sources of error for these measurements. Due to the wide range of SO 2 emissions encountered at the summit vent, we used a variable wavelength spectral analysis range to accurately quantify both high and low SO 2 column densities. We compare measured emission rates from the fixed spectrometer array to independent road and helicopter-based traverse measurements and evaluate the magnitudes and sources of uncertainties for each method. To address the challenge of obtaining accurate plume speed measurements, we examine ground-based wind-speed, plume speed tracking via spectrometer, and SO 2 camera derived plume speeds. Our analysis shows that: (1) the summit array column densities calculated using a dual fit window, are within -6 to +22% of results obtained with a variety of other conventional and experimental retrieval methods; (2) emission rates calculated from the summit array located ∼3 km downwind provide the best, practical estimate of summit SO 2 release under normal trade wind conditions; (3) ground-based anemometer wind speeds are 22% less than plume speeds determined by cross-correlation of plume features; (4) our best estimate of average Kīlauea SO 2 release for 2014–2017 is 5100 t/d, which is comparable to the space-based OMI emissions of 5518 t/d; and (5) short-term variability of SO 2 emissions reflects Kīlauea lava lake dynamics.

Hawaii↗

Sensitivity of warm water fishes and rainbow trout to selected contaminants

Guidelines for developing water quality standards allow U.S. states to exclude toxicity data for the family Salmonidae (trout and salmon) when deriving guidelines for warm-water habitats. This practice reflects the belief that standards based on salmonid data may be overprotective of toxic effects on other fish taxa. In acute tests with six chemicals and eight fish species, the salmonid, Rainbow Trout ( Oncorhynchus mykiss ), was the most sensitive species tested with copper, zinc, and sulfate, but warm-water species were most sensitive to nickel, chloride, and ammonia. Overall, warm-water fishes, including sculpins (Cottidae) and sturgeons (Acipenseridae), were about as sensitive as salmonids in acute tests and in limited chronic testing with Lake Sturgeon ( Acipenser fulvescens ) and Mottled Sculpin ( Cottus bairdi ). In rankings of published acute values, invertebrate taxa were most sensitive for all six chemicals tested and there was no trend for greater sensitivity of salmonids compared to warm-water fish.

Bulletin of Environmental Contamination and Toxico↗

Characterizing the early life history of an imperiled freshwater mussel ( Ptychobranchus jonesi ) with host-fish determination and fecundity estimation

Conservation of imperiled species is frequently challenged by insufficient knowledge of life history and environmental factors that affect various life stages. The larvae (glochidia) of most freshwater mussels in the family Unionidae are obligate ectoparasites of fishes. We described the early life history of the federally endangered Southern Kidneyshell Ptychobranchus jonesi and compared methods for estimating fecundity and conducting host trials on this conglutinate-producing mussel species. Glochidial inoculation baths and direct feeding of conglutinates to Percina nigrofasciata , Etheostoma edwini , and Etheostoma fusiforme resulted in successful metamorphosis to the juvenile life stage. Ptychobranchus jonesi glochidia did not metamorphose on 25 other species of fishes tested representing 11 families. Three juveniles were recovered from Gambusia holbrooki resulting in a metamorphosis rate <1%. We characterize P. jonesi as a host-fish specialist that fractionally releases conglutinates from late January to early June. Intact P. jonesi conglutinates resemble simuliid fly larvae attached to an egg-like structure, but most conglutinates were released as segments representing separate egg or larva mimics. Viability of glochidia encased within a conglutinate was >90% for ≥5 d. Feeding conglutinates directly to fishes allowed us to estimate seminatural infestation rates and calculate average numbers of juveniles produced per conglutinate, unlike the traditional approach of infesting fish hosts in an inoculation bath. Regressions based on the physical dimensions of each conglutinate or conglutinate segment were the most practical method used to estimate fecundity. Species distribution information, early life-history description, and methods developed for determining fecundity and conducting host trials may assist in the conservation of P. jonesi during recovery options that include captive propagation, augmentation, and reestablishment.

Alabama, Florida↗

Assessing decadal-scale coastal change likelihood to define the accuracy and application of scientific information

Defining the accuracy and uncertainties of scientific data products is critical to the usability and trustworthiness of scientific information for environmental management and conservation purposes, such as coastal resource prioritization, design, adaptation, and mitigation. The U.S. Geological Survey has a new decadal-scale coastal change assessment product that synthesizes nearly two dozen coastal datasets. A supervised machine-learning framework is used to combine existing datasets that describe the landscape and the hazards that affect it to determine the coastal change likelihood (CCL) in the coming decade at a resolution of 10 m per pixel for the NE United States from Maine to Virginia. Here, results from a series of statistical tests conducted on source data, the supervised classification, and the CCL outcomes as compared with historical land-cover change are presented. The overall accuracy of the aggregated land-cover dataset that serves as the foundation to which other source datasets are appended is 94%. The supervised learning classification that determines the final CCL output has an overall accuracy of 92%. The CCL predictions of high expected coastal change were consistent with 95% of the coastal and low-elevation landscape change in the last 20 years, as recorded by the Coastal Change Analysis Program land-cover change atlas. Results suggest that CCL provides accurate estimates of coastal landscape change in the next decade that are consistent with recent observed change. Additionally, best practices for applying CCL for planning purposes are outlined, and citing limitations, knowledge gaps, and opportunities for improved accuracy and further investigation are considered.

Journal of Coastal Research↗

Chlorofluorocarbon dating of herbicide-containing well waters in Fresno and Tulare counties, California

Simazine, diuron, and bromacil are the most frequently detected currently registered pesticides in California groundwater. These herbicides have been used for several decades in Fresno and Tulare counties, California; however, previous data are inadequate to determine whether the detections are a result of recent or historical applications (i.e., within the last decade, or 20-30 yr ago). Chlorofluorocarbon (CFC) groundwater age-dating was used in conjunction with one-dimensional transport modeling to address this question. The estimated times between herbicide application and subsequent detection in groundwater samples from 18 domestic wells ranged from 3 to 33 yr; the aggregate data indicate that more than half of the detections are associated with applications in the last decade. The data also suggest that changes in groundwater quality arising from modified management practices will probably not be discernible for at least a decade. A secondary objective of this study was to evaluate the contribution of simazine degradates deethylsimazine (DES; 2-amino-4-chloro-6-ethylamino-s-triazine) and diaminochlorotriazine (DACT; 2,4-diamino-6-chloro-s-triazine) to total triazine concentrations (defined here as simazine + DES + DACT) in 30 domestic wells. The N-dealkylated s- chlorotriazine degradates DES and DACT substantially contribute to total triazine concentrations in Fresno and Tulare County groundwater, composing 24 to 100% of the total triazines, with a median of 82%. If s-chlorotriazines display a common mode of toxicological action, the prevalence of triazine degradates in water samples found in this and other studies indicate that drinking water standards based on total s-chlorotriazine concentrations may be most appropriate.

California↗

Demographic response of Louisiana Waterthrush, a stream obligate songbird of conservation concern, to shale gas development

Shale gas development continues to outpace the implementation of best management practices for wildlife affected by development. We examined demographic responses of the Louisiana Waterthrush ( Parkesia motacilla ) to shale gas development during 2009–2011 and 2013–2015 in a predominantly forested landscape in West Virginia, USA. Forest cover across the study area decreased from 95% in 2008 to 91% in 2015, while the area affected by shale gas development increased from 0.4% to 3.9%. We quantified nest survival and productivity, a source–sink threshold, riparian habitat quality, territory density, and territory length by monitoring 58.1 km of forested headwater streams ( n = 14 streams). Across years, we saw annual variability in nest survival, with a general declining trend over time. Of 11 a priori models tested to explain nest survival ( n = 280 nests), 4 models that included temporal, habitat, and shale gas covariates were supported, and 2 of these models accounted for most of the variation in daily nest survival rate. After accounting for temporal effects (rainfall, nest age, and time within season), shale gas development had negative effects on nest survival. Population-level nest productivity declined and individual productivity was lower in areas disturbed by shale gas development than in undisturbed areas, and a source–sink threshold suggested that disturbed areas were more at risk of being sink habitat. Riparian habitat quality scores, as measured by a U.S. Environmental Protection Agency index and a waterthrush-specific habitat suitability index, differed by year and were negatively related to the amount of each territory disturbed by shale gas development. Territory density was not related to the amount of shale gas disturbance, but decreased over time as territory lengths increased. Overall, our results suggest a decline in waterthrush site quality as shale gas development increases, despite relatively small site-wide forest loss.

West Virginia↗

Cabeza Prieta National Wildlife Refuge: A survey of visitor experiences: Report to respondents

In the fall of 2000, researchers from the Policy Analysis and Science Assistance Program (PASA) of the Fort Collins Science Center (FORT) in the U.S. Geological Survey (USGS) met with the staff of the Cabeza Prieta National Wildlife Refuge (CPNWR) to discuss the issues related to social, economic, and human dimensions of natural resource management as it related to the Comprehensive Conservation Plan (CCP) planning process. As a result of the meeting a research study was designed to better understand how visitors are affected by environmental management decisions and provide information to assist the refuge managers in making decisions regarding public use and recreational management related to the goals of the proposed CCP. More specifically, information was collected to document the type and frequency of visitor use; assess the importance of recreational activities; and to determine visitor attitudes about recreation management decisions within the refuge. To this end, we designed a study to assess the effects of the no-action and alternative management plans for the Refuge visitors&rsquo; perceptions and likely visitation patterns. In fall of 2002 a questionnaire was developed in collaboration with the U.S. Fish and Wildlife Service (FWS) and the CCP planning team and mailed to 1090 people who visited the refuge between June 2001 and June 2002. We used standard research methods in designing and administering the questionnaire. Six hundred and eightyfive (685) completed questionnaires (74%) were considered usable. We developed the questionnaire (OMB Control Number 1040-00) to answer the following questions: What are the important differences in visitors&rsquo; attitudes and perception regarding recreation and visitor use at CPNWR? What are the factors that explain the differences in visitor attitudes and perception regarding recreation and visitor use at CPNWR? What are the regional economic impacts of visitor spending? In general the respondents indicated support for current management practices of CPNWR. We found that people came to the Refuge to experience a connection with the resource and the environment. More than half of the respondents said that viewing the desert scenery, seeking wilderness solitude and viewing wildlife were the most important reasons for making the visit to the refuge.

Cabeza Prieta National Wildlife Refuge↗

A spatially referenced regression model (SPARROW) for suspended sediment in streams of the Conterminous U.S.

Suspended sediment has long been recognized as an important contaminant affecting water resources. Besides its direct role in determining water clarity, bridge scour and reservoir storage, sediment serves as a vehicle for the transport of many binding contaminants, including nutrients, trace metals, semi-volatile organic compounds, a nd numerous pesticides (U.S. Environmental Protection Agency, 2000a). Recent efforts to addr ess water-quality concerns through the Total Maximum Daily Load (TMDL) process have iden tified sediment as the single most prevalent cause of impairment in the Nation’s streams a nd rivers (U.S. Environmental Protection Agency, 2000b). Moreover, sediment has been identified as a medium for the tran sport and sequestration of organic carbon, playing a potentia lly important role in understa nding sources and sinks in the global carbon budget (Stallard, 1998). A comprehensive understanding of sediment fate a nd transport is considered essential to the design and implementation of effective plans for sediment management (Osterkamp and others, 1998, U.S. General Accounting Office, 1990). An exte nsive literature addr essing the problem of quantifying sediment transport has produced a nu mber of methods for estimating its flux (see Cohn, 1995, and Robertson and Roerish, 1999, for us eful surveys). The accuracy of these methods is compromised by uncertainty in the concentration measurements and by the highly episodic nature of sediment movement, particul arly when the methods are applied to smaller basins. However, for annual or decadal flux es timates, the methods are generally reliable if calibrated with extended periods of data (Robertson and Roerish, 1999). A substantial literature also supports the Universal Soil Loss Equation (U SLE) (Soil Conservation Service, 1983), an engineering method for estimating sheet and rill erosion, although the empirical credentials of the USLE have recently been questioned (Tri mble and Crosson, 2000). Conversely, relatively little direct evidence is available concerning the fate of sediment. The common practice of quantifying sediment fate with a sediment deliv ery ratio, estimated from a simple empirical relation with upstream basin area, does not artic ulate the relative importance of individual storage sites within a basin (Wolman, 1977). Rates of sediment deposition in reservoirs and flood plains can be determined from empirical measurement s , but only a limited number of sites have been monitored, and net rates of deposition or loss from other potential sinks and sources is largely unknown (Stallard, 1998). In particular, little is known about how much sediment loss from fields ultimately makes its way to stream channels, and how much sediment is subsequently stored in or lost from th e streambed (Meade and Parker, 1985, Trimble and Crosson, 2000). This paper reports on recent progress made to a ddress empirically the question of sediment fate and transport on a national scale. The model pres ented here is based on the SPAtially Referenced Regression On Watershed attr ibutes (SPARROW) methodology, fi rst used to estimate the distribution of nutrients in str eams and rivers of the United Stat es, and subsequently shown to describe land and stream processes affecting the delivery of nutrients (Smith and others, 1997, Alexander and others, 2000, Preston and Brakeb ill, 1999). The model makes use of numerous spatial datasets, available at the national level, to explain long-term sediment water-quality conditions in major streams and rivers throughou t the United States. Sediment sources are identified using sediment erosion rates from the National Resources I nventory (NRI) (Natural Resources Conservation Service, 2000) and apportioned over the landscape according to 30- meter resolution land-use information from th e National Land Cover Data set (NLCD) (U.S. Geological Survey, 2000a). More than 76,000 reservoirs from the National Inventory of Dams (NID) (U.S. Army Corps of Engin eers, 1996) are identified as pot ential sediment sinks. Other, non-anthropogenic sources and sinks are identified using soil in formation from the State Soil Survey Geographic (STATSGO) data base (Schwarz and Alexander, 1995) and spatial coverages representing surficial rock t ype and vegetative cover. The SPA RROW model empirically relates these diverse spatial datasets to estimates of long-term, mean annual sediment flux computed from concentration and flow measurements co llected over the period 1985 -95 from more than 400 monitoring stations maintained by the Na tional Stream Quality Accounting Network (Alexander and others, 1998), the National Wa ter Quality Assessment Program, and U.S. Geological Survey District offices (Turcios and Gray, in press). Th e calibrated model is used to estimate sediment flux for over 60,000 stream segments included in the River Reach File 1 (RF1) stream network (Alexander and others, 1999). SPARROW uses statis tical methods to calibrate a simple, structural model of riverine water quality, one that imposes mass ba lance in accounting for changes in contaminant flux. As applied here, the mass-balance approach facilitates the interpretation of model results in terms of physical processes affecting sediment transport, and makes possible the estimation of various rates of sediment generation and loss associated with stream channels and features of the landscape. The statistical approach provides a basi s for assessing the error of these inferred rates and of the error in extrapolated estimates of sediment flux made for streams in the RF1 network. An important implication of the holistic modeling approach adopted in this analysis is that estimates of sediment production and loss ar e based on, and therefore consistent with, measurements of in-stream flux. Other ancillary information, such as direct measurements of long-term sediment storage and release from rese rvoirs (Steffen, 1996), is incorporated into the analysis by specifying additional equations expl aining these ancillary variables. The imposition of cross-equation constraints affords this info rmation a statistically consistent weight in explaining in-stream sediment flux. Thus, the me thodology described here represents a general framework for synthesizing a wide spectrum of available information relevant to the understanding of sediment fate and transport.

Conterminous United States↗

Coordinated river infrastructure decisions improve net social-ecological benefits

We explore the social, ecological, economic, and technical dimensions of sustainable river infrastructure development and the potential benefits of coordinating decisions such as dam removal and stream crossing improvement. Dam removal is common practice for restoring river habitat connectivity and ecosystem health. However, stream crossings such as culverts are often 15 times more abundant than dams and may pose similar ecological impacts. Using multi-objective optimization for a model system of 6100 dams and culverts in Maine, USA, we demonstrate substantial benefit-cost improvements provided by coordinating habitat connectivity decisions. Benefit-cost efficiency improves by two orders of magnitude when coordinating more decisions across wider areas, but this approach may cause inequitable resource distribution. Culvert upgrades improve roadway safety and habitat connectivity, creating cost-effective opportunities for coordinating and cost-sharing projects between conservationists and safety managers. Benefit-cost trends indicate significant overlaps in habitat and safety goals, encouraging flexible stakeholder collaborations and cost-sharing strategies.

Maine↗

Investigation of river eutrophication as part of a low dissolved oxygen total maximum daily load implementation

In the United States, environmentally impaired rivers are subject to regulation under total maximum daily load (TMDL) regulations that specify watershed wide water quality standards. In California, the setting of TMDL standards is accompanied by the development of scientific and management plans directed at achieving specific water quality objectives. The San Joaquin River (SJR) in the Central Valley of California now has a TMDL for dissolved oxygen (DO). Low DO conditions in the SJR are caused in part by excessive phytoplankton growth (eutrophication) in the shallow, upstream portion of the river that create oxygen demand in the deeper estuary. This paper reports on scientific studies that were conducted to develop a mass balance on nutrients and phytoplankton in the SJR. A mass balance model was developed using WARMF, a model specifically designed for use in TMDL management applications. It was demonstrated that phytoplankton biomass accumulates rapidly in a 88 km reach where plankton from small, slow moving tributaries are diluted and combined with fresh nutrient inputs in faster moving water. The SJR-WARMF model was demonstrated to accurately predict phytoplankton growth in the SJR. Model results suggest that modest reductions in nutrients alone will not limit algal biomass accumulation, but that combined strategies of nutrient reduction and algal control in tributaries may have benefit. The SJR-WARMF model provides stakeholders a practical, scientific tool for setting remediation priorities on a watershed scale.

Water Science and Technology↗