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At least 883 records · Page 49Linked to original sources

Wildlife and habitat damage assessment from Hurricane Charley: Recommendations for recovery of the J. N. "Ding" Darling National Wildlife Refuge Complex

&bull; On 13 August 2004, the first of four hurricanes to strike Florida in <6 weeks came ashore near J. N. &ldquo;Ding&rdquo; Darling National Wildlife Refuge (JNDDNWR) Complex, Sanibel Island, Florida. The eye of Category 4 Hurricane Charley passed just north of Sanibel Island with maximum sustained winds of 145 mph (123 knots) and a storm surge of 0.3-2.7 m (1-9 ft). Three USGS-BRD scientists (coastal ecologist and research wildlife biologists) and a USFWS wildlife biologist surveyed the storm damage to JNDDNWR Complex on the ground from 20-24 September 2004. &bull; At the request of United States Fish and Wildlife Service refuge staff, the USGS team concentrated on assessing damage to wetlands and habitat for selected bird populations (especially mangrove forests, Mangrove Cuckoos [Coccyzus minor], and Black-whiskered Vireo [Vireo altiloquus]), waterbird rookeries (mangrove islands), impoundments (waterbirds and waterfowl), sea grass beds (manatees), and upland hardwood hammocks and ridges (threatened eastern indigo snake [Drymarchon couperi]). &bull; The refuge complex sustained moderate to catastrophic damage to vegetation, especially mangrove forests and waterbird nesting or roosting islands. Lumpkin Island, Hemp Island, and Bird Key waterbird nesting areas had >50% and sometimes 90% of their vegetation severely damaged (dead, broken tree stems, and tipped trees). The Shell Mound Trail area of JNDDNWR sustained catastrophic damage to its old growth mangrove forests. Direct storm mortality and injury to manatees in the area of the JNDDNWR Complex was probably slight as manatees may have several strategies to reduce storm mortality. Damage to seagrass beds, an important habitat for manatees, fishes and invertebrates, is believed to be limited to the breach at North Captiva Island. At this breach, refuge staff documented inundation of beds by sand and scarring by trees dragged by winds. &bull; Because seagrass beads and manatee habitat extend beyond refuge boundaries (see p. 28), a regional approach with partner agencies to more thoroughly assess storm impacts and monitor recovery of seagrass and manatees is recommended. &bull; Besides intensive monitoring of waterbirds and their nesting habitat (pre- and post-storm), the survey team recommends that the Mangrove Cuckoo be used as an indicator species for recovery of mangrove forests and also for monitoring songbirds at risk (this songbird is habitat-area sensitive). Black-whiskered Vireo may be another potential indicator species to monitor in mangrove forests. Monitoring for these species can be done by distance sampling on transects or by species presenceabsence from point counts. &bull; Damaged vegetation should be monitored for recovery (permanent or long-term plots), especially where previous study plots have been established and with additional plots in mangrove forests of waterbird nesting islands and freshwater wetlands. &bull; Potential loss of wetlands (and information for management) may be prevented by water level monitoring (3 permanent stations), locating the positions (GPS-GIS) and maintaining existing water control structures, creating a GIS map of the refuge with accurate vertical data, and monitoring and eradicating invasive plants. Invasive species, including Brazilian pepper (Schinus terebinthifolius) and air potato (Dioscorea bulbifora), were common in a very limited survey and may become more dominant in areas damaged by the storm. Special attention is needed to eradicate these exotic plants. &bull; As an important monitoring goal, the survey team recommends that species presence-absence data analysis (with probability of detection) be used to determine changes in animal communities. This could be accomplished possibly with comparison to other storm-damaged and undamaged refuges in the Region. This information may be helpful to refuge managers when storms return in the future.

Florida↗

Watershed hydrology assessment for the Lower Colorado River Basin. Appendix D: RiverWare analyses

RiverWare is a river system modeling tool developed by CADSWES (Center of Advanced Decision Support for Water and Environmental Systems) that allows the user to simulate complex reservoir operations and perform period-of-record analyses for different scenarios. For the InFRM hydrology studies, RiverWare is used to generate a homogeneous regulated POR by simulating the basin as if the reservoirs and their current rule sets had been present in the basin for the entire time period. Statistical analyses can then be performed on the extended records at the gages. This report summarizes the RiverWare portion of the hydrologic analysis being completed for the InFRM Hydrology study of the Colorado River Basin. The RiverWare model described in this chapter presents development of the Colorado River Basin hydrology, which mimics current operational conditions. The use of the RiverWare program allows for data extension to periods prior to dam construction. The utilization of longer gage record improves discharge frequency results and increases the confidence of the analysis being performed. The modeling evaluation criteria are: (1) evaluate output based on validating policies and functions, and (2) prioritize operation based on surcharge and flood control. A detailed explanation of the Colorado River Basin POR hydrology will be in a later section. Calibration results will also be shown that illustrate the overall model performance for the POR. The time window simulation run is for January 01, 1930 – September 30, 2019. This time window captures all big events occurred over the Colorado River basin. Each simulated water year was inspected individually to better validate the results. Historical pool elevations along with observed inflows and outflows were compared against the model simulated results.

Texas↗

Understanding knowledge and perceptions of bats among residents of Fort Collins, Colorado

As regional urbanization increases in Colorado, so do interactions between humans and wildlife. Where previous habitat has been reduced due to urbanization and development, a few bat species that easily adapt to new environments now roost in homes and buildings (Kunz and Reynolds, 2003). Bats frequently serve as reservoirs of disease that have potential health consequences for humans and other mammals (Messenger and others, 2003). As bat use of buildings becomes more frequent, the incidences of bat/human contact and the risk of spreading disease also increase. In Colorado, rabies is most common in the big brown bat (Eptesicus fuscus) Pape and others, 1999), the most ubiquitous species of urban-dwelling bat in the United States (Barbour and Davis, 1969) and the most common species submitted for rabies testing in Colorado (Pape and others, 1999). An in-depth knowledge of the big brown bat - including its ecology, habitat and movements, and aspects of disease transmission - and of its interactions with humans is essential for making informed management decisions regarding this species. To balance the competing priorities of species preservation and public safety, natural resource managers and public health professionals must be able to accurately estimate citizens' knowledge, perceptions, and perceived risks regarding the bat species that use human dwellings and harbor diseases potentially dangerous to humans. A recently completed five-year ecological study (2001-2005) on bats inhabiting buildings in Fort Collins, Colo., has provided much information on the basic epidemiology of rabies and on the ecology of the local bat population (Davis, Rudd, and Bowen, 2007; Ellison and others, 2007; Neubaum, Douglas, and others, in press; Neubaum, O'Shea, and Wilson, 2006; Neubaum, Wilson, and O'Shea, 2007; O'Shea, Ellison, and Stanley, 2004; Pearce and O'Shea, 2007; Pearce and others, in press; Shankar and others, 2004; Shankar and others, 2005; Wimsatt and others 2005). Research investigating the human dimensions of bats and bat/rabies relationships, however, has been very limited (Gibbins and others, 2002; Liesener and others, 2006). Herein, we report the results of a study to evaluate perceptions and knowledge of bats and rabies among residents of Fort Collins, Colo. The study resulted from collaborations between U.S. Geological Survey (USGS) bat ecologists of the Trust Species and Habitats branch, and social scientists of the Policy Analysis and Science Assistance branch, both of the USGS Fort Collins Science Center (FORT).

Open-File Report↗

Animal population dynamics: Identification of critical components

There is a growing interest in the use of population dynamics models in environmental risk assessment and the promulgation of environmental regulatory policies. Unfortunately, because of species and areal differences in the physical and biotic influences on population dynamics, such models must almost inevitably be both complex and species- or site-specific. Given the emormous variety of species and sites of potential concern, this fact presents a problem; it simply is not possible to construct models for all species and circumstances. Therefore, it is useful, before building predictive population models, to discover what input parameters are of critical importance to the desired output. This information should enable the construction of simpler and more generalizable models. As a first step, it is useful to consider population models as composed to two, partly separable classes, one comprising the purely mechanical descriptors of dynamics from given demographic parameter values, and the other describing the modulation of the demographic parameters by environmental factors (changes in physical environment, species interactions, pathogens, xenobiotic chemicals). This division permits sensitivity analyses to be run on the first of these classes, providing guidance for subsequent model simplification. We here apply such a sensitivity analysis to network models of mammalian and avian population dynamics.

Ecological Modelling↗

A spatial analysis of the groundwater emergence flood hazard in Long Island, New York and near coastal areas surrounding Long Island Sound in New York, Connecticut, and Rhode Island

Long Island, New York and near coastal areas surrounding Long Island Sound are densely populated and, like other coastal areas, are susceptible to flooding from several potential sources, including stormwater from precipitation events, tidal flooding and storm surge, and groundwater inundation or groundwater emergence flooding. The latter refers to the intersection of a rising water table with land surface or critical infrastructure. Many studies of flood drivers either neglect or only briefly discuss how shallow groundwater conditions may contribute to or exacerbate flood conditions. As part of a comprehensive study of compound flood hazards in the near coastal areas surrounding Long Island and Long Island Sound, a spatial analysis was completed, in cooperation with the Environmental Protection Agency’s Long Island Sound Study, using available regional datasets to characterize the potential hazard for groundwater emergence flooding. The approximately 3,100 square mile study area was subdivided into 11,407 900-meter by 900-meter (approximately 3,000-feet by 3,000-feet) grid cells, for the purposes of integrating the spatial datasets to calculate and map the groundwater emergence flood hazard. The depth to the water table, hydrologic soil groups, and National Land Cover Database were harmonized to the common grid. A groundwater emergence flood hazard rank was calculated for each grid cell for current average conditions following a set of rules accounting for the depth to the water table and the percent of area within each cell with slow infiltrating soils. A higher sea level position scenario was also calculated for the Long Island part of the study area. The calculated groundwater emergence flood hazard rank was reviewed in concert with the National Land Cover Data Base to identify developed areas and associated infrastructure that may be at risk to groundwater emergence flooding. Study results indicate that the groundwater emergence flood hazard is highest in coastal areas and near surface water where the water table is close to ground surface. Inland areas away from surface water bodies are not likely to be exposed to groundwater emergence flooding. For Long Island, under a scenario with higher sea level position, a greater groundwater emergence flood hazard is calculated in some locations closer to the coast and where land is submerged. Away from the coast and surface-water drainage, the groundwater emergence flood hazard is similar between the current average sea level condition and a higher sea level position scenario.

EarthArXiv↗

Resilience and resistance in sagebrush ecosystems are associated with seasonal soil temperature and water availability

Invasion and dominance of exotic grasses and increased fire frequency threaten native ecosystems worldwide. In the Great Basin region of the western United States, woody and herbaceous fuel treatments are implemented to decrease the effects of wildfire and increase sagebrush ( Artemisia spp.) ecosystem resilience to disturbance and resistance to exotic annual grasses. High cover of the exotic annual cheatgrass ( Bromus tectorum ) after treatments increases fine fuels, which in turn increases the risk of passing over a biotic threshold to a state of increased wildfire frequency and conversion to cheatgrass dominance. Sagebrush ecosystem resilience to wildfire and resistance to cheatgrass depend on climatic conditions and abundance of perennial herbaceous species that compete with cheatgrass. In this study, we used longer‐term data to evaluate the relationships among soil climate conditions, perennial herbaceous cover, and cheatgrass cover following fuel management treatments across the environmental gradients that characterize sagebrush ecosystems in the Great Basin. We examined the effects of woody and herbaceous fuel treatments on soil temperature, soil water availability (13–30 and 50 cm depths), and native and exotic plant cover on six sagebrush sites lacking piñon ( Pinus spp.) or juniper ( Juniperus spp.) tree expansion and 11 sagebrush sites with tree expansion. Both prescribed fire and mechanical treatments increased soil water availability on woodland sites and perennial herbaceous cover on some woodland and sagebrush sites. Prescribed fire also slightly increased soil temperatures and especially increased cheatgrass cover compared to no treatment and mechanical treatments on most sites. Non‐metric dimensional scaling ordination and decision tree partition analysis indicated that sites with warmer late springs and warmer and wetter falls had higher cover of cheatgrass. Sites with wetter winters and early springs (March–April) had higher cover of perennial herbs. Our findings suggest that site resistance to cheatgrass after fire and fuel control treatments decreases with a warmer and drier climate. This emphasizes the need for management actions to maintain and enhance perennial herb cover, such as implementing appropriate grazing management, and revegetating sites that have low abundance of perennial herbs in conjunction with fuel control treatments.

Ecosphere↗

Hydrology and water quality in 15 watersheds in DeKalb County, Georgia, 2012–16

The U.S. Geological Survey, in cooperation with DeKalb County Department of Watershed Management, established a long-term water-quantity and water-quality monitoring program in 2012 to monitor and analyze the hydrologic and water-quality conditions of 15 watersheds in DeKalb County, Georgia—an urban and suburban area located in north-central Georgia that includes the easternmost part of the City of Atlanta. This report synthesizes the watershed characteristics and monitoring data collected for the first 5 years of the program, 2012 through 2016. The study area was predominantly medium-density residential (43.9 percent), commercial/industrial/institutional (21.4 percent), forest/park/agriculture (13.6 percent), and high-density residential (11.5 percent) land uses. Land-surface slope averaged 8.7 percent, imperviousness averaged 25.3 percent, and population density averaged 2,936 people per square mile. Watershed imperviousness ranged from 8.7 to 36.6 percent. In the study area for 2014 to 2016 (when streamflow data were available for all watersheds), runoff represented 40.9 percent of precipitation. Hydrograph separations indicated that 43 percent of runoff occurred as base flow, whereas the remainder occurred as stormflow. Higher watershed imperviousness was significantly related to higher amounts of runoff (Pearson product-moment correlation coefficient [ r ] = 0.517), higher runoff ratios ( r = 0.646), and lower amounts ( r = −0.637) and proportions ( r = −0.898) of base-flow runoff. Stormwater best management practices have been implemented in the study watersheds; however, these practices do not appear to fully mitigate the effects of urban development and land use on stream hydrology. Total copper, lead, and zinc concentrations in base-flow and stormflow samples exceeded the national recommended aquatic life criteria for chronic and acute conditions, respectively, to varying degrees. Escherichia coli density predictive regression models indicated that the U.S. Environmental Protection Agency’s Beach Action Value was exceeded at individual watersheds between 44.6 and 100 percent of the time. Exceedance of the Beach Action Value indicates possible unsafe conditions for primary contact recreation and could be used for timely notification of the potential health risks. Annual loads and yields were estimated for 15 constituents. Loads were typically higher for years with higher runoff while variations among watershed yields appear associated with watershed and land use characteristics. The lowest yields for almost all constituents occurred in the Stone Mountain Creek watershed—likely the result of the retention of sediment and reduction of nutrients in Stone Mountain Lake and two smaller downstream reservoirs within the watershed. The Little Stone Mountain Creek watershed also had some of the lowest yields for most constituents, likely due to the lack of many pollutant sources associated with its predominantly medium-density residential land use (95.5 percent), but had the highest total nitrate plus nitrite yields. The Intrenchment Creek watershed consistently had some of the highest yields across all constituents except for total nitrate plus nitrite. The high yields may be related to its high percentage of impervious area (36.0 percent) and high amount of heavily developed land use (high-density residential, 29.9 percent and commercial/industrial/institutional, 26.0 percent). Mean watershed constituent yields in this study were significantly higher than those from a similar analysis of 13 suburban to urban watersheds in adjacent Gwinnett County for 6 of the 10 constituents compared. This study provides a thorough assessment of watershed characteristics, hydrology, and water-quality conditions of the 15 study watersheds and can be used to identify possible factors that affect runoff and water quality. Watershed managers can use these data and analyses to inform management decisions regarding the designated uses of streams, minimization of flooding, protection of aquatic habitats, and optimization of the effectiveness of best management practices.

Georgia↗

Increasing seasonal variation in the extent of rivers and lakes from 1984 to 2022

Knowledge of the spatial and temporal distribution of surface water is important for water resource management, flood risk assessment, monitoring ecosystem health, constraining estimates of biogeochemical cycles and understanding our climate. While global-scale spatiotemporal change detection of surface water has significantly improved in recent years due to planetary-scale remote sensing and computing, it has remained challenging to distinguish the changing characteristics of rivers and lakes. Here we analyze the spatial extent of permanent and seasonal rivers and lakes globally over the past 38 years based on new data of river system extents and surface water trends. Results show that while the total permanent surface area of both rivers and lakes has remained relatively constant, the areas with intermittent seasonal coverage have increased by 12 % and 27 % for rivers and lakes, respectively. The increase is statistically significant in over 84 % of global water catchments based on Spearman's rank correlations (rho) above 0.05 and p values less than 0.05. The seasonal river extent is nearly 32 % larger than the previously observed annual mean river extent, suggesting large seasonal variations that impact not only ecosystem health but also estimations of terrestrial biogeochemical cycles of carbon. The outcomes of our analysis are shared as the Surface Area of Rivers and Lakes (SARL) database, serving as a valuable resource for monitoring and research of hydrological cycles, ecosystem accounting, and water management.

Hydrology and Earth System Sciences↗

Patterns and drivers of cliff erosion in Big Sur, California, USA using repeat photogrammetry, 2017–2023

Seacliff erosion in steep terrain poses major risks to transportation and critical infrastructure. In Big Sur, California, USA, seacliff erosion threatens the sustainability of the central coast stretch of California State Route 1, a transportation corridor that is critical to the region's economy. Published cliff retreat rates for the region range from 1 to 40 cm yr −1 , highlighting that high-resolution, process-based studies could enhance understanding of the causes of spatial and temporal variability. We quantified cliff erosion and investigated its drivers along ∼13 km of the Big Sur coastline at week–month timescales during the late fall to early spring wet seasons between January 2017 and June 2023 by analyzing 3D point clouds developed from aerial imagery using four-dimensional structure-from-motion (4D SfM) photogrammetry techniques. We calculated cliff face retreat rates of 2.23 ± 3.06 cm yr −1 (mean ±1 σ ), an order of magnitude lower than long-term estimated rates for the region (which included large deep-seated landslides), but in line with short-term rates reported across California. Change detection imagery comparison, cliff profiles through time, and statistical analysis reveal a cyclical cliff evolution process in which erosion by wave action at the cliff base destabilizes the cliff and primes it for subsequent failure during precipitation events. Although more erosion by volume could be attributed to precipitation-induced increases in soil moisture (784 m 3 km −1 yr −1 ) compared with erosion attributed to wave power (282 m 3 km −1 yr −1 ), our observations underscore the coupled nature of these processes in driving cliff evolution, consistent with established theory and observations.

California↗

National water summary 1986: Hydrologic events and ground-water quality

Ground water is one of the most important natural resources of the United States and degradation of its quality could have a major effect on the welfare of the Nation. Currently (1985), ground water is the source of drinking water for 53 percent of the Nation's population and for more than 97 percent of its rural population. It is the source of about 40 percent of the Nation's public water supply, 33 percent of water for irrigation, and 17 percent of freshwater for selfsupplied industries. Ground water also is the source of about 40 percent of the average annual streamflow in the United States, although during long periods of little or no precipitation, ground-water discharges provide nearly all of the base streamflow. This hydraulic connection between aquifers and streams implies that if a persistent pollutant gets into an aquifer, it eventually could discharge into a stream. Information presented in the 1986 National Water Summary clearly shows that the United States has very large amounts of potable ground water available for use. Although naturally occurring constituents, such as nitrate, and human-induced substances, such as synthetic organic chemicals, frequently are detected in ground water, their concentrations usually do not exceed existing Federal or State standards or guidelines for maximum concentrations in drinking water. Troublesome contamination of ground water falls into two basic categories related to the source or sources of the contamination. Locally, high concentrations of a variety of toxic metals, organic chemicals, and petroleum products have been detected in ground water associated with point sources such as wastedisposal sites, storage-tank leaks, and hazardous chemical spills. These types of local problems commonly occur in densely populated urban areas and industrialized areas. Larger, multicounty areas also have been identified where contamination frequently is found in shallow wells. These areas generally are associated with broad-scale, or nonpoint, sources of contamination such as agricultural activities or highdensity domestic waste disposal (septic systems) in urban centers. At present, only a very small percentage of the total volume of potable ground water in the United States is contaminated from both point and nonpoint sources; however, available data, especially data about the occurrence of synthetic organic and toxic substances, generally are inadequate to determine the full extent of ground-water contamination in the Nation's aquifers or to define trends in groundwater quality. Most information about the occurrence of these substances has come from the study of individual sites or areas where contamination had already been detected or suspected. Management and protection of ground water present a major challenge to the Nation. Current and projected costs of detection and cleanup of existing ground-water contamination are staggering and, even so, complete removal of pollutants from ground water in the vicinity of some waste sites might not be technically feasible. At all levels of government, the task of protecting the resource for its most beneficial uses is difficult and controversial. Despite increasing awareness that some of the Nation's ground water is contaminated with a variety of toxic metals, synthetic organic chemicals, radionuclides, pesticides, and other contaminants that might present a long-term risk to human health, public policy towards ground-water protection is still in the formative stages. Despite increasing efforts devoted to ground-water protection by State and Federal regulatory and resource-management agencies, the extent of ground-water contamination is likely to appear to increase over the next few years because more agencies will be searching for evidence of contamination, and they will be using increasingly sensitive analytical procedures. Increased technology and expanded monitoring activities probably will detect the effects of past contamination and land uses on water quality. The significant time lag between a waterquality change in one part of an aquifer system and the effects of that change at a downgradient site, such as a well, results from the generally slow movement of ground water. This lag between cause and observed effect needs to be considered in evaluating the effectiveness of current and future ground-water policies and remedial measures. Conclusive answers to questions about the location, extent, and severity of ground-water contamination, and about trends in ground-water quality, must await further collection and analysis of data from the Nation's aquifers. Generalizations, however, can be made, and the 1986 National Water Summary, which describes the natural quality of ground-water resources in each State and the major contamination problems that have been identified as of 1986, provides a national perspective of the ground-water-quality situation. The 1986 National Water Summary follows the format of previous volumes. It contains three parts, and the contents of each of these parts are highlighted below.

Water Supply Paper↗

Geometric quality assessment of lidar data based on swath overlap

This paper provides guidelines on quantifying the relative horizontal and vertical errors observed between conjugate features in the overlapping regions of lidar data. The quantification of these errors is important because their presence quantifies the geometric quality of the data. A data set can be said to have good geometric quality if measurements of identical features, regardless of their position or orientation, yield identical results. Good geometric quality indicates that the data are produced using sensor models that are working as they are mathematically designed, and data acquisition processes are not introducing any unforeseen distortion in the data. High geometric quality also leads to high geolocation accuracy of the data when the data acquisition process includes coupling the sensor with geopositioning systems. Current specifications (e.g. Heidemann 2014) do not provide adequate means to quantitatively measure these errors, even though they are required to be reported. Current accuracy measurement and reporting practices followed in the industry and as recommended by data specification documents also potentially underestimate the inter-swath errors, including the presence of systematic errors in lidar data. Hence they pose a risk to the user in terms of data acceptance (i.e. a higher potential for Type II error indicating risk of accepting potentially unsuitable data). For example, if the overlap area is too small or if the sampled locations are close to the center of overlap, or if the errors are sampled in flat regions when there are residual pitch errors in the data, the resultant Root Mean Square Differences (RMSD) can still be small. To avoid this, the following are suggested to be used as criteria for defining the inter-swath quality of data: a) Median Discrepancy Angle b) Mean and RMSD of Horizontal Errors using DQM measured on sloping surfaces c) RMSD for sampled locations from flat areas (defined as areas with less than 5 degrees of slope) It is suggested that 4000-5000 points are uniformly sampled in the overlapping regions of the point cloud, and depending on the surface roughness, to measure the discrepancy between swaths. Care must be taken to sample only areas of single return points only. Point-to-Plane distance based data quality measures are determined for each sample point. These measurements are used to determine the above mentioned parameters. This paper details the measurements and analysis of measurements required to determine these metrics, i.e. Discrepancy Angle, Mean and RMSD of errors in flat regions and horizontal errors obtained using measurements extracted from sloping regions (slope greater than 10 degrees). The research is a result of an ad-hoc joint working group of the US Geological Survey and the American Society for Photogrammetry and Remote Sensing (ASPRS) Airborne Lidar Committee.

Conference Paper↗

Monitoring plans for Louisiana’s system-wide assessment and monitoring program (SWAMP). Version IV

The System-Wide Assessment and Monitoring Program (SWAMP) has been envisioned as a long-term monitoring program to ensure a comprehensive network of coastal data collection activities is in place to support the development, implementation, and adaptive management of the coastal protection and restoration program within coastal Louisiana. The Coastwide Reference Monitoring System (CRMS) and Barrier Island Comprehensive Monitoring (BICM) programs have been implemented under SWAMP, while other aspects of system dynamics, including offshore and inland water-body boundary conditions, nontidal freshwater habitats, riverine conditions, risk status, and protection performance, are not presently the subject of CPRA-coordinated (Coastal Protection and Restoration Authority) monitoring. In order to implement these additional aspects of SWAMP, CPRA partnered with The Water Institute of the Gulf and others to develop 1) a programmatic monitoring plan for evaluating the effectiveness of the coastal protection and restoration program on a coastwide scale, and 2) basinwide monitoring plans that will incorporate the elements of the programmatic plan with specific data collection activities designed to capture effects within the basin. Monitoring plans were developed for Barataria Basin, Pontchartrain Region (includes Breton Sound, Pontchartrain and Mississippi River Delta Basins), and the western basins (Calcasieu-Sabine, Mermentau, Teche-Vermilion, Atchafalaya, and Terrebonne) for both the natural and human systems using a process to identify the monitoring variables, objectives, and sampling design. The monitoring variables and objectives identified fall under the general categories of weather and climate, biotic integrity, water quality, hydrology, physical terrain, population and demographics, housing and community characteristics, economy and employment, ecosystem dependency, residential properties protection, and critical infrastructure and essential services protection. A rigorous statistical analysis, examination of modeling needs, and thorough reviews of previous planning and monitoring efforts were conducted to develop the sampling designs for the natural and human system monitoring plans. The plan relies heavily on the use of existing data, thus, coordination with other agencies (e.g., LDEQ , LDWF) and CPRA’s existing monitoring programs (e.g., BICM, CRMS) is critical to the plan’s success. Implementation of the plans will require development of quality control and quality assurance protocols, specific standardized operating procedures for each of the data collection efforts, a data management plan, and a reporting framework to contribute to decision making and reducing uncertainty in management actions.

Louisiana↗

Extreme geomagnetic storms: Probabilistic forecasts and their uncertainties

Extreme space weather events are low-frequency, high-risk phenomena. Estimating their rates of occurrence, as well as their associated uncertainties, is difficult. In this study, we derive statistical estimates and uncertainties for the occurrence rate of an extreme geomagnetic storm on the scale of the Carrington event (or worse) occurring within the next decade. We model the distribution of events as either a power law or lognormal distribution and use (1) Kolmogorov-Smirnov statistic to estimate goodness of fit, (2) bootstrapping to quantify the uncertainty in the estimates, and (3) likelihood ratio tests to assess whether one distribution is preferred over another. Our best estimate for the probability of another extreme geomagnetic event comparable to the Carrington event occurring within the next 10 years is 10.3% 95% confidence interval (CI) [0.9,18.7] for a power law distribution but only 3.0% 95% CI [0.6,9.0] for a lognormal distribution. However, our results depend crucially on (1) how we define an extreme event, (2) the statistical model used to describe how the events are distributed in intensity, (3) the techniques used to infer the model parameters, and (4) the data and duration used for the analysis. We test a major assumption that the data represent time stationary processes and discuss the implications. If the current trends persist, suggesting that we are entering a period of lower activity, our forecasts may represent upper limits rather than best estimates.

Space Weather↗

Synoptic analysis of a decade of daily measurements of SO2 emission in the troposphere from volcanoes of the global ground-based Network for Observation of Volcanic and Atmospheric Change

Volcanic plumes are common and far-reaching manifestations of volcanic activity during and between eruptions. Observations of the rate of emission and composition of volcanic plumes are essential to recognize and, in some cases, predict the state of volcanic activity. Measurements of the size and location of the plumes are important to assess the impact of the emission from sporadic or localized events to persistent or widespread processes of climatic and environmental importance. These observations provide information on volatile budgets on Earth, chemical evolution of magmas, and atmospheric circulation and dynamics. Space-based observations during the last decades have given us a global view of Earth's volcanic emission, particularly of sulfur dioxide ( SO 2 ). Although none of the satellite missions were intended to be used for measurement of volcanic gas emission, specially adapted algorithms have produced time-averaged global emission budgets. These have confirmed that tropospheric plumes, produced from persistent degassing of weak sources, dominate the total emission of volcanic SO 2 . Although space-based observations have provided this global insight into some aspects of Earth's volcanism, it still has important limitations. The magnitude and short-term variability of lower-atmosphere emissions, historically less accessible from space, remain largely uncertain. Operational monitoring of volcanic plumes, at scales relevant for adequate surveillance, has been facilitated through the use of ground-based scanning differential optical absorption spectrometer (ScanDOAS) instruments since the beginning of this century, largely due to the coordinated effort of the Network for Observation of Volcanic and Atmospheric Change (NOVAC). In this study, we present a compilation of results of homogenized post-analysis of measurements of SO 2 flux and plume parameters obtained during the period March 2005 to January 2017 of 32 volcanoes in NOVAC. This inventory opens a window into the short-term emission patterns of a diverse set of volcanoes in terms of magma composition, geographical location, magnitude of emission, and style of eruptive activity. We find that passive volcanic degassing is by no means a stationary process in time and that large sub-daily variability is observed in the flux of volcanic gases, which has implications for emission budgets produced using short-term, sporadic observations. The use of a standard evaluation method allows for intercomparison between different volcanoes and between ground- and space-based measurements of the same volcanoes. The emission of several weakly degassing volcanoes, undetected by satellites, is presented for the first time. We also compare our results with those reported in the literature, providing ranges of variability in emission not accessible in the past. The open-access data repository introduced in this article will enable further exploitation of this unique dataset, with a focus on volcanological research, risk assessment, satellite-sensor validation, and improved quantification of the prevalent tropospheric component of global volcanic emission.

Earth System Science Data↗

Proterozoic structure, Cambrian rifting, and younger faulting as revealed by a regional seismic reflection network in the southern Illinois Basin

Four high-quality seismic reflection profiles through the southern Illinois Basin, totaling 245 km in length, provide an excellent regional subsurface stratigraphic and structural framework for evaluation of seismic risk, hydrocarbon occurrence, and other regional geologic studies. These data provide extensive subsurface information on the geometry of the intersection of the Cambrian Reelfoot and Rough Creek rifts, on extensive Proterozoic reflection sequences, and on structures (including the Fluorspar Area Fault Complex and Hicks Dome) that underlie a transitional area between the well-defined New Madrid seismic zone (to the southwest) and a more diffuse area of seismicity in the southern Illinois Basin. Our principal interpretations from these data are listed here in order of geologic age, from oldest to youngest: Prominent Proterozoic layering, possibly equivalent to Proterozoic (∼1 Ga) Middle Run Formation clastic strata and underlying (1.3–1.5 Ga) volcanic rocks of the East Continent rift basin, has been strongly deformed, probably as part of the Grenville foreland fold and thrust belt. A well-defined angular unconformity is seen in many places between Proterozoic and Cambrian strata; a post-Grenville Proterozoic sequence is also apparent locally, directly beneath the base of the Cambrian. We infer a major reversal in Cambrian rift polarity (accommodation zone) in the Rough Creek Graben in western Kentucky. Seismic facies analysis suggests the presence of basin-floor fan complexes at and near the base of the Cambrian interval and within parts of a Proterozoic post-Grenville sequence in several parts of the Rough Creek Graben. There is an abrupt pinchout of the Mount Simon Sandstone against crystalline basement beneath the Dale Dome (near the Texaco no. 1 Cuppy well, Hamilton County) in southeastern Illinois, and a more gradual Mount Simon pinchout to the southeast. Where crossed by the seismic reflection line in southeast Illinois, some faults in the Wabash Valley Fault System produce discrete offset in Ordovician and younger strata only; one of the Wabash Valley faults cuts the top of the Precambrian on this seismic profile. The data show clear evidence of late Paleozoic reverse faulting along both boundaries of the Rough Creek Graben in western Kentucky, although significant unreactivated Cambrian rift-bounding faults are also preserved. Chaotic reflection patterns in the lower and middle Paleozoic strata near Hicks Dome, southern Illinois, are related to a combination of intrusive brecciation, intense faulting, and alteration of carbonate strata by acidic mineralizing fluids, all of which occurred in the Permian. Late Paleozoic(?) reverse faulting is interpreted on one flank of the Rock Creek Graben, southern Illinois. Permian and Mesozoic(?) extensional faulting is clearly imaged in the Fluorspar Area Fault Complex; neotectonic studies suggest that these structures were reactivated in the Quaternary.

Illinois, Indiana, Kentucky, Missouri↗

An approach for identifying drought typologies: Drivers, characteristics, and impacts of streamflow drought across the Delaware River Basin

Connecting drought drivers to drought conditions and drought conditions to consequences are two key components of drought risk assessment. We propose a two-step data-driven approach that contributes to advancing this capability. First, we use machine learning feature selection techniques to transform hydrologic model outputs into calculated indices and determine which features are most predictive of streamflow drought duration and severity. Second, we use the selected features to cluster drought events from 1985&ndash;2015 and examine drivers of drought in each cluster, spatial and temporal patterns, frequency over time, event characteristics, and connections to water management metrics. Our approach is implemented in the Delaware River Basin (DRB), a highly managed basin in the northeastern United States with a history of consequential droughts. Feature selection identified 19 features that can predict drought duration and severity better than models fit to all features. K-means clustering identified three distinct drought types: one capturing summer and fall droughts, largely in the lower basin; one capturing winter droughts, concentrated in the upper basin; and one capturing long-duration droughts across regions and seasons. Although annual drought frequency has decreased slightly over the period of record, those declines have not been split equally between clusters. Analysis of water management metrics revealed that soil moisture indices at 3-6 month timescales are the most able to differentiate the more consequential long-duration droughts from other drought types. This work contributes both specific insights for stakeholders in the DRB and a generalizable approach for similar analyses and explorations in other basins.

ESS Open Archive↗

Linking environmental variability to long-term demographic change of an endangered species using integrated population models

Understanding how species populations change with environmental conditions is important for implementing effective habitat management and conservation strategies. Challenges to evaluating population-level responses to environmental conditions arise when data are sparse or not spatiotemporally aligned, especially for at-risk species with small, declining numbers. We synthesized 30 years (1992–2021) of three partially aligned data sets to build a Bayesian integrated population model (IPM) and evaluate demographic and environmental drivers of growth rates for six separately managed ‘subpopulations’ (A–F) of the federally endangered Cape Sable seaside sparrow endemic to the Florida Everglades. We found that juvenile survival peaked at inundation periods (hydroperiods) around 100–220 days and dropped sharply outside those values, while adult survival increased with longer periods of water depth <20 cm, but not with longer periods of water depth >20 cm. Fecundity increased when water depths were more stable, more area was dry, intervals between fires were longer and less area was burned. Changes in population growth rates tended to occur in years that juvenile and adult survival were associated with hydroperiod, especially in the two largest subpopulations B and E. Population growth rates were also associated with hydrologic conditions during the breeding season and fire dynamics through changes in fecundity, most notably in the smaller subpopulations A, C/F and D. Synthesis and applications . Our IPM represents the first long-term population analysis of the Cape Sable seaside sparrow connecting demographic processes to environmental factors. Our results suggest that sustaining periods of shallow water year-round may enhance Cape Sable seaside sparrow survival and population growth. Also, limiting water depth variability and maintaining dry conditions during the breeding season and inhibiting fires in consecutive years may increase fecundity and population growth. Identifying the mechanistic links between environmental and population dynamics could inform how species are expected to respond to management decisions and anticipated ecosystem changes.

Florida↗

Volcanic hazard assessment for an eruption hiatus, or post-eruption unrest context: Modeling continued dome collapse hazards for Soufrière Hills Volcano

Effective volcanic hazard management in regions where populations live in close proximity to persistent volcanic activity involves understanding the dynamic nature of hazards, and associated risk. Emphasis until now has been placed on identification and forecasting of the escalation phase of activity, in order to provide adequate warning of what might be to come. However, understanding eruption hiatus and post-eruption unrest hazards, or how to quantify residual hazard after the end of an eruption, is also important and often key to timely post-eruption recovery. Unfortunately, in many cases when the level of activity lessens, the hazards, although reduced, do not necessarily cease altogether. This is due to both the imprecise nature of determination of the “end” of an eruptive phase as well as to the possibility that post-eruption hazardous processes may continue to occur. An example of the latter is continued dome collapse hazard from lava domes which have ceased to grow, or sector collapse of parts of volcanic edifices, including lava dome complexes. We present a new probabilistic model for forecasting pyroclastic density currents (PDCs) from lava dome collapse that takes into account the heavy-tailed distribution of the lengths of eruptive phases, the periods of quiescence, and the forecast window of interest. In the hazard analysis, we also consider probabilistic scenario models describing the flow’s volume and initial direction. Further, with the use of statistical emulators, we combine these models with physics-based simulations of PDCs at Soufrière Hills Volcano to produce a series of probabilistic hazard maps for flow inundation over 5, 10, and 20 year periods. The development and application of this assessment approach is the first of its kind for the quantification of periods of diminished volcanic activity. As such, it offers evidence-based guidance for dome collapse hazards that can be used to inform decision-making around provisions of access and reoccupation in areas around volcanoes that are becoming less active over time.

Soufrière Hills Volcano↗