USGS Science⌕ Search

SEARCH · USGS Science

Results for “Humans and Nature”

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 919 records · Page 51Linked to original sources

Enhanced between-site biosecurity to minimize herpetofaunal disease-causing pathogen transmission

Pathogens and their associated diseases have the potential to severely affect wildlife populations, including herpetofauna. Concern is increasing for transmission pathways of herpetofaunal diseases, especially for amphibians affected by the fungal pathogens Batrachochytrium dendrobatidis (Bd: Longcore et al. 1999) and B. salamandrivorans (Bsal: Martel et al. 2013), and amphibians and reptiles affected by Iridoviruses of the genus Ranavirus (Rv: Gray and Chinchar 2015) for which global human-mediated pathogen transmission is increasingly implicated (e.g., Fisher and Garner 2007; Picco and Collins 2008; Walker et al. 2008; Schloegel et al. 2009; Auliya et al. 2016; Martel et al. 2013, 2014; Fisher et al. 2012; Nguyen et al. 2017; O’Hanlon et al. 2018). Preventing the novel introductions of emerging infectious diseases is of paramount importance (Gray et al. 2015; Grant et al. 2016), as once they gain a foothold, they can be “essentially unstoppable” (Fisher et al. 2012). In order to minimize anthropogenic influences on disease dynamics, biosecurity procedures and decision-support systems for biosecurity prioritization have been developed. In general, such procedures for herpetofaunal emerging infectious diseases have been framed relative to the stages of pathogen emergence (pre-arrival, invasion front, epidemic, and establishment: e.g., Garner et al. 2016; Grant et al. 2017) as well as the intertwining contexts of herpetological research, natural resource management activities, integrated biodiversity conservation practices, and the human dimension of transmission of novel pathogens, (e.g., Gray et al. 2018; More et al. 2018).

Herpetological Review↗

Managing the effects of endocrine disrupting chemicals in wastewater-impacted streams

A revolution in analytical instrumentation circa 1920 greatly improved the ability to characterize chemical substances. This analytical foundation resulted in an unprecedented explosion in the design and production of synthetic chemicals during and post-World War II. What is now often referred to as the 2nd Chemical Revolution has provided substantial societal benefits; with modern chemical design and manufacturing supporting dramatic advances in medicine, increased food production, and expanding gross domestic products at the national and global scales as well as improved health, longevity, and lifestyle convenience at the individual scale. Presently, the chemical industry is the largest manufacturing sector in the United States (U.S.) and the second largest in Europe and Japan, representing approximately 5% of the Gross Domestic Product (GDP) in each of these countries. At the turn of the 21st century, the chemical industry was estimated to be worth more than $1.6 trillion and to employ over 10 million people, globally. During the first half of the 20th century, the chemical sector expanded rapidly, the chemical industry enjoyed a generally positive status in society, and chemicals were widely appreciated as fundamental to individual and societal quality of life. Starting in the 1960s, however, the environmental costs associated with the chemical industry increasingly became the focus, due in part to the impact of books like “Silent Spring” and “Our Stolen Future” and to a number of highly publicized environmental disasters. Galvanizing chemical industry disasters included the 1976 dioxin leak north of Milan, Italy, the Love Canal evacuations in Niagara, New York beginning in 1978, and the Union Carbide leak in Bhopal, India in 1984. Understanding the environmental impact of synthetic compounds is essential to any informed assessment of net societal benefit, for the simple reason that any chemical substance that is in commercial production or use will eventually find its way to the environment. Not surprisingly given the direct link to profits, manufacturers intensely investigate and routinely document the potential benefits of new chemicals and chemical products. In contrast, the environmental risks associated with chemical production and uses are often investigated less intensely and are poorly communicated. An imbalance in the risk-benefit analysis of any synthetic chemical substance or naturally occurring chemical, which presence and concentration in the environment largely reflects human activities and management, is a particular concern owing to the fundamental link between chemistry and biology. Biological organisms are intrinsically a homeostatic balance of innumerable internal and external chemical interactions and, thus, inherently sensitive to changes in the external chemical environment.

Book chapter↗

The Great Acceleration and the disappearing surficial geologic record

The surficial geologic record is the relatively thin veneer of young (<~1 Ma) and mostly unconsolidated sediments that cover portions of Earth’s terrestrial surface (Fig. 1). Once largely ignored as “overburden” by geologists, surficial deposits are now studied to address a wide range of issues related to the sustainability of human societies. Geologists use surficial deposits to determine the frequency and severity of past climatic changes, quantify natural and anthropogenic erosion rates, identify hazards, and calculate recurrence intervals associated with earthquakes, landslides, tsunamis, and volcanic eruptions. Increasingly, however, humans are eradicating the surficial geologic record in many key areas through progressive modification of Earth’s surface.

GSA Today↗

Structured decision-making workshop: Chronic wasting disease management in free-ranging cervids in Massachusetts

This document describes the results of a 2.5-day rapid decision prototype workshop that evaluated management activities for chronic wasting disease (CWD) in Massachusetts (MA) that were either proactive (i.e., actions taken prior to CWD arrival/detection) or reactive (i.e., actions taken after CWD arrival/detection). The workshop was led by members of the Wildlife Section of the MA Division of Fisheries and Wildlife (hereafter referred to as MassWildlife) and included a group of agency communications specialists and district managers. U. S. Geological Survey staff and a volunteer acted as decision facilitators and led the analysis of the decision. Chronic wasting disease is an always fatal neurological disease that has spread across much of North America and threatens the health of deer populations in locations where it occurs (reviewed by Escobar et al. 2020). CWD can spread into new areas via two general mechanisms: (1) natural spread (e.g., dispersal of CWD-infected male white-tailed deer [Odocoileus virginianus]), and (2) anthropogenic spread (e.g., CWD spread facilitated by human intervention; Leiss et al. 2017, Escobar et al. 2020). Once CWD arrives in a state, natural resources agencies spend eight times more on CWD than agencies with no known cases; to cover these new CWD-related management activities, the natural resources agencies are typically forced to reallocate money from existing conservation priorities (Chiavacci, 2022). As of May 2024, there were 34 U.S. states and five Canadian provinces that had detected CWD positive free-ranging and/or captive animals in the family Cervidae (collectively referred to as ‘cervid’ hereafter), and the number of new states/provinces that are detecting CWD for the first time continues to grow (U. S. Geological Survey, May 2024). As of February 2024, the closest CWD positive state to MA with CWD detected in free-ranging white-tailed deer is Pennsylvania. To date, there have been no detections of CWD in MA, but testing has been limited in MA since 2012. The growing number of CWD positive states suggests that there may be increasing risk of CWD entering and establishing in MA as the number of CWD cases increases across North America. According to a 2023 survey of hunters in MA conducted by MassWildlife, 68% of hunters were concerned about CWD entering MA, and 88% of respondents said that it was at least moderately important to keep CWD out of MA; these survey results indicate that most hunters may support CWD risk reduction actions (Martin Feehan, Massachusetts Division of Fisheries and Wildlife, oral communication, 12 Feb 2024). In addition, 23.1% of responding deer hunters in MA have hunted for cervids in CWD-positive states/provinces in the last five years (not including states/provinces that have been able to successfully eradicate CWD following a positive detection). Participants of the survey were also asked, “how many deer have you harvested that tested positive for CWD?”. A total of three respondents said that they had one deer test positive for CWD, which, when extended to the whole population of MA deer hunters, results in an estimated 32 CWD positive deer harvested in CWD-positive states and imported into MA in the last five years. When asked about how they transport harvested deer from out of state into MA, the three participants indicated either “already processed & packaged” or “not applicable.” Note, that in MA, it is a violation of regulation to import whole carcasses or high-risk parts (e.g., head, brain, spinal tissues, bones) of any member of the Cervidae family (wild or captive) from a state/province that has detected CWD; it is legal to bring in deboned meat, cleaned skull caps, hides without the head, or a fixed taxidermy mount (Massachusetts Division of Fisheries and Wildlife, 2024a). To date, testing for CWD has been limited in MA since 2012. However, the data collected from the 2023 MA hunter survey suggests that there is a real risk of CWD being imported by a MA resident who has hunted in a CWD positive state. Therefore, given the higher costs of CWD management post arrival, the potential natural spread of CWD from nearby states, and the risk of CWD introduction via humanmediated cervid movement, MassWildlife is motivated to take actions that minimize the risk of CWD introduction and spread in MA with the ultimate goal of managing thriving wildlife populations and maximizing hunter and general public satisfaction, which are both parts of the MassWildlife mission. A 2.5-day rapid prototyping structured decision making workshop was held with MassWildlife staff to develop a decision framework for CWD management in MA. During the workshop, we defined the context and extent of CWD management activities in MA. Next, we identified four fundamental objectives that help achieve the mission of MassWildlife and that address stakeholder concerns. The fundamental objectives included: (1) maximizing hunter satisfaction and participation, (2) maximizing public satisfaction (non-consumptive), (3) maximizing health and sustainability of cervids, and (4) maximizing the efficiency of CWD management. Then, we generated a list of five alternatives (i.e., strategies) that varied the intensity of proactive and reactive actions. The five strategies were: (1) minimal proactive and minimal reactive actions, (2) intermediate proactive and intermediate reactive actions, (3) intensive proactive and intermediate reactive actions, (4) minimal proactive and intensive reactive actions, and (5) intensive proactive and intensive reactive actions. Lastly, we estimated the performance of each strategy on the fundamental objectives and assessed the overall performance of strategies relative to one another. We did so by first estimating the consequences of each alternative strategy on fundamental objectives using expert elicitation, and then, we elicited objective weights from MassWildlife staff to incorporate the relative importance of different fundamental objectives. Given that it is unknown when CWD will arrive in MA, we evaluated the performance of alternative strategies against fundamental objectives given three distinct scenarios for time to arrival of CWD: introduction in 2.5, 7.5, or 10+ years. The preliminary results of the rapid prototype indicate that the performance of the CWD management strategies that we evaluated depends on when CWD first arrives in MA. If CWD were to arrive in 2.5 or 7.5 years from now (February, 2024), then the ‘minimal proactive and minimal reactive’ strategy performs the best on both the deer population and cost fundamental objectives (fundamental objectives 3 & 4), but the ‘intensive proactive and intensive reactive’ strategy performs best on both of the human dimensions fundamental objectives (fundamental objectives 1 & 2) as well as the minimize CWD prevalence objective (also related to fundamental objective 3). We also found that public trust is likely to remain high across all five alternative strategies if CWD arrives after year 10, but public trust decreases if CWD arrives in year 2.5 or 7.5. After incorporating objective weights, we found that in scenarios where CWD arrives in the near-term (in years 2.5 or 7.5), an intermediate strategy (e.g., ‘intermediate proactive and intermediate reactive’ or ‘intensive proactive and intermediate reactive’) performed best, and the ‘minimal proactive and intensive reactive’ strategy performed worst. Conversely, if CWD were to arrive after 10 years, then the ‘minimal proactive and minimal reactive’ and ‘minimal proactive and intensive reactive’ strategies performed best. Collectively, these results suggest that the decision on which alternative strategy to employ is sensitive to when CWD arrives in MA. Following the discussion of the preliminary results, we identified the following four next steps. First, we discussed how a more detailed communications plan is needed and would likely alter the performance estimates of the alternative strategies on fundamental objectives 1 & 2, which were hunter and public satisfaction, respectively. The development of the communication plan would likely be easier once the alternative actions have been identified along with the audience and message. Second, a surveillance plan could be a useful tool to inform CWD management. Surveillance for CWD was performed in MA annually from 2002 to 2012 (n = 4,356 wild white-tailed deer and moose [Alces alces] samples). Limited surveillance was conducted from 2013 to 2022; and in 2023, 242 wild samples were collected. It is not clear whether MA needs a robust or minimal surveillance plan (e.g., is a minimal surveillance plan enough to detect the pathogen at the threshold that would trigger action?), or what type of invasion event the surveillance plan should target (e.g., natural vs anthropogenic spread events). The use of decision trees and a formal risk assessment may help answer these questions. Third, some of the elicited estimates from experts during this rapid prototype could be replaced with empirical data. Lastly, given that the decision was sensitive to when CWD arrived in MA and a surveillance plan would rely on the mode of introduction, forecasting and predicting the CWD invasion front and/or the likelihood of different incursion events across MA would provide valuable insights.

Massachusetts↗

Identification of conservation and restoration priority areas in the Danube River based on the multi-functionality of river-floodplain systems

Large river-floodplain systems are hotspots of biodiversity and ecosystem services but are also used for multiple human activities, making them one of the most threatened ecosystems worldwide. There is wide evidence that reconnecting river channels with their floodplains is an effective measure to increase their multi-functionality, i.e., ecological integrity, habitats for multiple species and the multiple functions and services of river-floodplain systems, although, the selection of promising sites for restoration projects can be a demanding task. In the case of the Danube River in Europe, planning and implementation of restoration projects is substantially hampered by the complexity and heterogeneity of the environmental problems, lack of data and strong differences in socio-economic conditions as well as inconsistencies in legislation related to river management. We take a quantitative approach based on best-available data to assess biodiversity using selected species and three ecosystem services (flood regulation, crop pollination , and recreation), focused on the navigable main stem of the Danube River and its floodplains. We spatially prioritize river-floodplain segments for conservation and restoration based on (1) multi-functionality related to biodiversity and ecosystem services, (2) availability of remaining semi-natural areas and (3) reversibility as it relates to multiple human activities (e.g. flood protection, hydropowerand navigation). Our approach can thus serve as a strategic planning tool for the Danube and provide a method for similar analyses in other large river-floodplain systems.

Danube River↗

Environmental and biomedical applications of natural metal stable isotope variations

etal stable isotopes are now being used to trace metal contaminants in the environment and as indicators of human systemic function where metals play a role. Stable isotope abundance variations provide information about metal sources and the processes affecting metals in complex natural systems, complementing information gained from surrogate tracers, such as metal abundance ratios or biochemical markers of metal metabolism. The science is still in its infancy, but the results of initial studies confirm that metal stable isotopes can provide a powerful tool for forensic and biomedical investigations.

Elements↗

A decision tool to identify population management strategies for common ravens and other avian predators

Some avian species have developed the capacity to leverage resource subsidies associated with human manipulated landscapes to increase population densities in habitats with naturally low carrying capacities. Elevated corvid densities and new territory establishment have led to an unsustainable increase in depredation pressure on sympatric native wildlife prey populations as well as in crop damage. Yet, subsidized predator removal programs aimed at reducing densities are likely most effective longer-term when conducted in tandem with subsidy control, habitat management, and robust assessment monitoring programs. We developed decision support software that leverages stage structured Lefkovitch population matrices to compare and identify treatment strategies that reduce subsidized avian predator densities most efficiently, in terms of limiting both cost and take levels. The StallPOPd (Version 4; available at https://doi.org/10.7298/sk2e-0c38.4) software enables managers to enter the area of their management stratum and the demographic properties (vital rates) of target bird population(s) of interest to evaluate strategies to decrease or curtail further population growth. Strategies explicitly include the reduction in fertility (i.e., eggs hatched) and/or the culling of hatchlings, non-breeders and/or breeders, but implicitly comprise reduction in survival or reproduction through subsidy denial. We illustrate the utilities of the software with examples using common ravens ( Corvus corax; ravens) in the Mojave Desert of California, USA. Unfortunately, the survival and reproduction effects of each unit of a particular subsidy in that system have remained elusive, though this is the priority of current research. Because the software leverages a life history representation that is known to characterize hundreds of wildlife species in addition to ravens, the work expands the suite of tools available to wildlife managers and agricultural industry specialists to abate bird damage and impacts on sensitive wildlife in habitats with persistent human subsidies.

Human-Wildlife Interactions↗

Landscapes of West Africa: A window on a changing world

Our global ecosystem is and has always been complex, dynamic, and in constant flux. Science tells us how natural forces of enormous power have shaped and reshaped Earth’s surface, atmosphere, climate, and biota again and again since the planet’s beginnings about 4.5 billion years ago. For most of the planet’s history those environmental changes were the result of the interaction of natural processes such as geology and climate and were described on the geological time scale in epochs spanning millions of years. When humankind appeared on Earth around 200,000 years ago the influence of human activity on the environment must have been small and localized. The influence of scattered small groups of people on the global ecosystem would have been overwhelmed by the forces of natural systems (Steffen and others, 207). Human population would not grow to 50 million (about 0.7 percent of the Earth’s current population) for another 197,000 years. Population growth accelerated over the centuries that followed until the planet was adding more than that 50 million people every year. Our planet is now home to roughly 7.3 billion people and we are adding 1 million more people roughly every 4.8 days (US Census Bureau, 2011). Before 1950, no one on Earth had lived through a doubling of the human population, but now some people have experienced a tripling in their lifetime (Cohen, 2003).

Book↗

Changes in streamflow and the flux of nutrients in the Mississippi-Atchafalaya River Basin, USA, 1980-2007

Nutrients and freshwater delivered by the Mississippi and Atchafalaya Rivers drive algal production in the northern Gulf of Mexico, which eventually results in the widespread occurrence of hypoxic bottom waters along the Louisiana and Texas coast. Researchers have demonstrated a relation between the extent of the hypoxic zone and the magnitude of streamflow, nutrient fluxes, and nutrient concentrations in the Mississippi River, with springtime streamflows and fluxes being the most predictive. In 1999 the U.S. Geological Survey (USGS) estimated the flux of nitrogen, phosphorus, and silica at selected sites in the Mississippi Basin and to the Gulf of Mexico for 1980-1996. These flux estimates provided the baseline information used by the Mississippi River/Gulf of Mexico Watershed Nutrient Task Force to develop an Action Plan for reducing hypoxia in the northern Gulf of Mexico. The primary goal of the Action Plan was to achieve a reduction in the size (areal extent) of the hypoxic zone from an average of approximately 14,000 square kilometers in 1996-2000 to a 5-year moving average of less than 5,000 square kilometers by 2015. Improved statistical models and adjusted maximum likelihood estimation using USGS Load Estimator (LOADEST) software were used to estimate annual and seasonal nutrient fluxes for 1980-2007 at selected sites on the Mississippi River and its tributaries. These data provide a means to evaluate the influence of natural and anthropogenic effects on delivery of water and nutrients to the Gulf of Mexico; to define subbasins that are the most important contributors of nutrients to the gulf; and to investigate the relations among streamflow, nutrient fluxes, and the size and duration of the Gulf of Mexico hypoxic zone. A comparative analysis between the baseline period of 1980-1996 and 5-year moving averages thereafter indicate that the average annual streamflow and fluxes of total nitrogen, nitrate, orthophosphate, and silica to the Gulf of Mexico have decreased. However, the flux of total phosphorus between the baseline period and subsequent 5-year periods has increased. The average spring (April, May, and June) streamflow and fluxes of silica, total nitrogen, nitrate, and orthophosphate to the Gulf of Mexico also decreased, whereas the spring flux of total phosphorus has increased. Similar changes in streamflow and nutrient flux were observed at many sites Buxtonwithin the basin. The inputs of water, total nitrogen, and total phosphorus from the major subbasins of the Mississippi-Atchafalaya River Basin as a percentage of the to-the-gulf totals have increased from the Ohio River Basin, decreased from the Missouri River Basin, and remained relatively unchanged from the Upper Mississippi, Red, and Arkansas River Basins. Changes in streamflow and nutrient fluxes are related, but short-term variations in sources of streamflow and nutrients complicate the interpretation of factors that affect nutrient delivery to the Gulf of Mexico. Parametric time-series models are used to try and separate natural variability in nutrient flux from changes due to other causes. Results indicate that the decrease in annual nutrient fluxes that has occurred between the 1980-1996 baseline period and more recent years can be largely attributed to natural causes (climate and streamflow) and not management actions or other human controlled activities in the Mississippi-Atchafalaya River Basin. The downward trends in total nitrogen, nitrate, ammonium, and orthophosphate that were detected at either the Mississippi River near St. Francisville, La., or the Atchafalaya River at Melville, La., occurred prior to 1995. In spite of the general decrease in nutrient flux, the average size of the Gulf of Mexico hypoxic zone has increased between 1997 and 2007. The reasons for this are not clear but could be due to the type or nature of nutrient delivery. Whereas the annual flux of total nitrogen to the Gulf of Mexico has decreased, the proporti

Scientific Investigations Report↗

Niobium and tantalum

Niobium and tantalum are transition metals that are almost always found together in nature because they have very similar physical and chemical properties. Their properties of hardness, conductivity, and resistance to corrosion largely determine their primary uses today. The leading use of niobium (about 75 percent) is in the production of high-strength steel alloys used in pipelines, transportation infrastructure, and structural applications. Electronic capacitors are the leading use of tantalum for high-end applications, including cell phones, computer hard drives, and such implantable medical devices as pacemakers. Niobium and tantalum are considered critical and strategic metals based on the potential risks to their supply (because current production is restricted to only a few countries) and the significant effects that a restriction in supply would have on the defense, energy, high-tech industrial, and medical sectors. The average abundance of niobium and tantalum in bulk continental crust is relatively low—8.0 parts per million (ppm) niobium and 0.7 ppm tantalum. Their chemical characteristics, such as small ionic size and high electronic field strength, significantly reduce the potential for these elements to substitute for more common elements in rock-forming minerals and make niobium and tantalum essentially immobile in most aqueous solutions. Niobium and tantalum do not occur naturally as pure metals but are concentrated in a variety of relatively rare oxide and hydroxide minerals, as well as in a few rare silicate minerals. Niobium is primarily derived from the complex oxide minerals of the pyrochlore group ((Na,Ca,Ce) 2 (Nb,Ti,Ta) 2 (O,OH,F) 7 ), which are found in some alkaline granite-syenite complexes (that is, igneous rocks containing sodium- or potassium-rich minerals and little or no quartz) and carbonatites (that is, igneous rocks that are more than 50 percent composed of primary carbonate minerals, by volume). Tantalum is derived mostly from the mineral tantalite ((Fe,Mn)(Ta,Nb) 2 O 6 ), which is found as an accessory mineral in rare-metal granites and pegmatites that are also enriched in lithium and cesium (termed lithium-cesium-tantalum (LCT)-type pegmatites). Brazil and Canada are the leading nations that produce niobium mineral concentrates, but Brazil is by far the leading producer, accounting for about 90 percent of production, which comes mostly from weathered material derived from carbonatites. Brazil and Canada also have the largest identified niobium resources; additional resources, although they are less well reported, occur in Angola, Australia, China, Greenland, Malawi, Russia, and South Africa. Australia and Brazil have been the leading producers of tantalum mineral concentrates, although recently Ethiopia and Mozambique have also been significant suppliers of tantalum. Artisanal mining of columbite-tantalite (also called coltan) is practiced in many countries, particularly Burundi, the Democratic Republic of the Congo (Congo [Kinshasa]), Nigeria, Rwanda, and Uganda. Brazil has about 40 percent of the identified tantalum resources; other countries and regions with identified tantalum resources include, in decreasing order of resources, Australia, Asia, Russia and the Middle East, Africa, North America, and Europe. Identified niobium and tantalum resources in the United States are small, low grade, and difficult to recover and process, and are thus not commercially recoverable at current prices. Consequently, the United States meets its current and expected future needs for niobium and tantalum through imports of primary mineral concentrates and alloys and through recovery from foreign and domestic alloy scrap that contain the metals. Environmentally, the main issues related to niobium and tantalum mining are land disruptions, the volume of waste materials and their disposal, and the radioactivity of some tailings and waste materials that contain thorium and uranium. Because of the relative biological inertness of niobium and tantalum, human and ecological health concerns are generally minimal under most natural conditions. Demand for both niobium and tantalum is expected to increase as the world economy continues to recover from the downturn that began in 2008. Increased demand for niobium is linked to increased consumption of microalloyed steel, which is used in the manufacture of cars, buildings, ships, and refinery equipment. Demand for these steels will likely increase with continued economic development in such countries as Brazil, China, and India. In addition, increased global demand for cars, cell phones, computers, superconducting magnets, and other high-tech devices will likely spur increased demand for both niobium and tantalum. The estimated global reserves and resources of niobium and tantalum are large and appear more than sufficient to meet global demand for the foreseeable future, possibly the next 500 years. The sale of “conflict coltan” attributed to rebel forces waging a civil war in Congo (Kinshasa) has been of recent concern and has highlighted the need for a transparent and traceable global supply chain that can exclude illegal columbite-tantalite from the conventional market while discerning legitimate artisanal mine production in central Africa.

Professional Paper↗

Quality of Source Water from Public-Supply Wells in the United States, 1993-2007

More than one-third of the Nation's population receives their drinking water from public water systems that use groundwater as their source. The U.S. Geological Survey (USGS) sampled untreated source water from 932 public-supply wells, hereafter referred to as public wells, as part of multiple groundwater assessments conducted across the Nation during 1993-2007. The objectives of this study were to evaluate (1) contaminant occurrence in source water from public wells and the potential significance of contaminant concentrations to human health, (2) national and regional distributions of groundwater quality, and (3) the occurrence and characteristics of contaminant mixtures. Treated finished water was not sampled. The 932 public wells are widely distributed nationally and include wells in selected parts of 41 states and withdraw water from parts of 30 regionally extensive aquifers used for public water supply. These wells are distributed among 629 unique public water systems-less than 1 percent of all groundwater-supplied public water systems in the United States-but the wells were randomly selected within the sampled hydrogeologic settings to represent typical aquifer conditions. Samples from the 629 systems represent source water used by one-quarter of the U.S. population served by groundwater-supplied public water systems, or about 9 percent of the entire U.S. population in 2008. One groundwater sample was collected prior to treatment or blending from each of the 932 public wells and analyzed for as many as six water-quality properties and 215 contaminants. Consistent with the terminology used in the Safe Drinking Water Act (SDWA), all constituents analyzed in water samples in this study are referred to as 'contaminants'. More contaminant groups were assessed in this study than in any previous national study of public wells and included major ions, nutrients, radionuclides, trace elements, pesticide compounds, volatile organic compounds (VOCs), and fecal-indicator microorganisms. Contaminant mixtures were assessed in subsets of samples in which most contaminants were analyzed. Contaminant concentrations were compared to human-health benchmarks-regulatory U.S. Environmental Protection Agency (USEPA) Maximum Contaminant Levels (MCLs) for contaminants regulated in drinking water under the SDWA or non-regulatory USGS Health-Based Screening Levels (HBSLs) for unregulated contaminants, when available. Nearly three-quarters of the contaminants assessed in this study are unregulated in drinking water, and the USEPA uses USGS data on the occurrence of unregulated contaminants in water resources to fulfill part of the SDWA requirements for determining whether specific contaminants should be regulated in drinking water in the future. More than one in five (22 percent) source-water samples from public wells contained one or more naturally occurring or man-made contaminants at concentrations greater than human-health benchmarks, and 80 percent of samples contained one or more contaminants at concentrations greater than one-tenth of benchmarks. Most individual contaminant detections, however, were less than one-tenth of human-health benchmarks. Public wells yielding water with contaminant concentrations greater than benchmarks, as well as those with concentrations greater than one-tenth of benchmarks, were distributed throughout the United States and included wells that withdraw water from all principal aquifer rock types included in this study. Ten contaminants individually were detected at concentrations greater than human-health benchmarks in at least 1 percent of source-water samples and collectively accounted for most concentrations greater than benchmarks. Seven of these 10 contaminants occur naturally, including three radionuclides (radon, radium, and gross alpha-particle radioactivity) and four trace elements (arsenic, manganese, strontium, and boron); three of these 10 contaminants (dieldrin, nitrate, and perchl

Scientific Investigations Report↗

Floodplain geomorphic processes and environmental impacts of human alteration along coastal plain rivers, USA

Human alterations along stream channels and within catchments have affected fluvial geomorphic processes worldwide. Typically these alterations reduce the ecosystem services that functioning floodplains provide; in this paper we are concerned with the sediment and associated material trapping service. Similarly, these alterations may negatively impact the natural ecology of floodplains through reductions in suitable habitats, biodiversity, and nutrient cycling. Dams, stream channelization, and levee/canal construction are common human alterations along Coastal Plain fluvial systems. We use three case studies to illustrate these alterations and their impacts on floodplain geomorphic and ecological processes. They include: 1) dams along the lower Roanoke River, North Carolina, 2) stream channelization in west Tennessee, and 3) multiple impacts including canal and artificial levee construction in the central Atchafalaya Basin, Louisiana. Human alterations typically shift affected streams away from natural dynamic equilibrium where net sediment deposition is, approximately, in balance with net erosion. Identification and understanding of critical fluvial parameters (e.g., stream gradient, grain-size, and hydrography) and spatial and temporal sediment deposition/erosion process trajectories should facilitate management efforts to retain and/or regain important ecosystem services. ?? 2009, The Society of Wetland Scientists.

Wetlands↗

Transforming the Rockies: Human forces, settlement patterns, and ecosystem effects

The current ecological condition of the Rocky Mountains can be viewed from two somewhat opposing perspectives. The first is that human occupation has had relatively little effect on the Rockies: large natural, if not pristine, areas remain, and the region's open spaces provide wildlife habitat, majestic scenery, and a sense of wildness. Unlike the situation in, say, the Swiss Alps, where even high-elevation meadows have been mown and grazed intensively for as long as 500 years and many large mammals have been extirpated, most elements of Rocky Mountain landscapes and biota are reasonably unaltered. Even the presumption that Native Americans changed regional landscapes with deliberately set fires has been challenged by Baker and Ehle (2001) and others who think that most fires were lightning-caused or accidental ignitions. The second view is that humans have dramatically transformed the Rockies, at least since Euro-American settlement in the mid- to late 1800s. The slaughter of vast buffalo herds, the clearing of timber for railroad ties, and even the removal of whole hillsides in hydraulic placer mining represented substantial transformation. Ranch, resort, and residential development marks the latest incarnation of this transformation. Numerous, complex layers of land use have left landscape legacies, some of which may be unrecognized or underappreciated in modern assessments (Wohl 2001). Here we consider both perspectives because we are impressed with both the many effects of human use of the Rockies and the region's remaining wild landscapes. Ironically, much of the recent population growth and development in the Rockies is driven by the region's wild landscapes, which make the present widespread transformation seem all the more significant. It is, of course, the rapid clip of current human transformation&mdash;high population growth rates, pervasive rural residential development, and landscape fragmentation (Baron, Theobald, and Fagre 2000)&mdash;that worries ecologists and others concerned with Rocky Mountain ecosystems. So although we offer an overview of historical changes in the Rockies, especially since the 1800s, much of our attention here is on land uses, economies, and settlement patterns since the 1970s and on their future trends.

Book chapter↗

Millennial precipitation reconstruction for the Jemez Mountains, New Mexico, reveals changing drought signal

Drought is a recurring phenomenon in the American Southwest. Since the frequency and severity of hydrologic droughts and other hydroclimatic events are of critical importance to the ecology and rapidly growing human population of this region, knowledge of long-term natural hydroclimatic variability is valuable for resource managers and policy-makers. An October–June precipitation reconstruction for the period AD 824–2007 was developed from multi-century tree-ring records of Pseudotsuga menziesii (Douglas-fir), Pinus strobiformis (Southwestern white pine) and Pinus ponderosa (Ponderosa pine) for the Jemez Mountains in Northern New Mexico. Calibration and verification statistics for the period 1896–2007 show a high level of skill, and account for a significant portion of the observed variance (>50%) irrespective of which period is used to develop or verify the regression model. Split-sample validation supports our use of a reconstruction model based on the full period of reliable observational data (1896–2007). A recent segment of the reconstruction (2000–2006) emerges as the driest 7-year period sensed by the trees in the entire record. That this period was only moderately dry in precipitation anomaly likely indicates accentuated stress from other factors, such as warmer temperatures. Correlation field maps of actual and reconstructed October–June total precipitation, sea surface temperatures and 500-mb geopotential heights show characteristics that are similar to those indicative of El Niño–Southern Oscillation patterns, particularly with regard to ocean and atmospheric conditions in the equatorial and north Pacific. Our 1184-year reconstruction of hydroclimatic variability provides long-term perspective on current and 20th century wet and dry events in Northern New Mexico, is useful to guide expectations of future variability, aids sustainable water management, provides scenarios for drought planning and as inputs for hydrologic models under a broader range of conditions than those provided by historical climate records.

New Mexico↗

Environmental impact of the landslides caused by the 12 May 2008, Wenchuan, China earthquake

The magnitude 7.9 (M w ) Wenchuan, China, earthquake of May 12, 2008 caused at least 88,000 deaths of which one third are estimated to be due to the more than 56,000 earthquake-induced landslides. The affected area is mountainous, featuring densely-vegetated, steep slopes through which narrowly confined rivers and streams flow. Numerous types of landslides occurred in the area, including rock avalanches, rock falls, translational and rotational slides, lateral spreads and debris flows. Some landslides mobilized hundreds of million cubic meters of material, often resulting in the damming of rivers and streams, impacting river ecosystems and morphology. Through an extensive search of both Chinese- and English-language publications we provide a summary of pertinent research on environmental effects, emphasizing key findings. Environmental effects caused by landslides include the alteration of agriculture, changes to natural ecosystems, changes in river morphology due to landslide dams and other effects such as sedimentation and flooding. Damage by landslides to the giant panda reserve infrastructure and habitat, was severe, threatening the survival of one of the world’s rarest species. The Panda reserves are of national significance to China, and to the vital tourism economy of the region. One of the major impacts to both the natural and built environment is the complete relocation of some human populations and infrastructure to new areas, resulting in the abandonment of towns and other areas that were damaged by the earthquake and landslides. The landslide effects have affected the biodiversity of the affected area, and it has been hypothesized that strict forest preservation measures taken in the years preceding the earthquake resulted in a reduction of the environmental damage to the area.

Wenchuan↗

Considerations in representing human individuals in social ecological models

In this chapter we focus on how to integrate the human individual into social-ecological systems analysis, and how to improve research on individual thought and action regarding the environment by locating it within the broader social-ecological context. We discuss three key questions as considerations for future research: (1) is human thought conceptualized as a dynamic and adaptive process, (2) is the individual placed in a multi-level context (including within-person levels, person-group interactions, and institutional and structural factors), and (3) is human thought seen as mutually constructed with the social and natural environment. Increased emphasis on the individual will be essential if we are to understand agency, innovation, and adaptation in social-ecological systems.

Book chapter↗

Reverse Evolution of Armor Plates in the Threespine Stickleback

Faced with sudden environmental changes, animals must either adapt to novel environments or go extinct. Thus, study of the mechanisms underlying rapid adaptation is crucial not??only for the understanding of natural evolutionary processes but also for the understanding of human-induced evolutionary change, which is an increasingly important problem [1-8]. In the present study, we demonstrate that the frequency of completely plated threespine stickleback fish (Gasterosteus aculeatus) has increased in an urban freshwater lake (Lake Washington, Seattle, Washington) within the last 40 years. This is a dramatic example of "reverse evolution," [9] because the general evolutionary trajectory is toward armor-plate reduction in freshwater sticklebacks [10]. On the basis of our genetic studies and simulations, we propose that the most likely cause of reverse evolution is increased selection for the completely plated morph, which we suggest could result from higher levels of trout predation after a sudden increase in water transparency during the early 1970s. Rapid evolution was facilitated by the existence of standing allelic variation in Ectodysplasin (Eda), the gene that underlies the major plate-morph locus [11]. The Lake Washington stickleback thus provides a novel example of reverse evolution, which is probably caused by a change in allele frequency at the major plate locus in response to a changing predation regime. ?? 2008 Elsevier Ltd. All rights reserved.

Current Biology↗

The Chesapeake Bay program modeling system: Overview and recommendations for future development

The Chesapeake Bay is the largest, most productive, and most biologically diverse estuary in the continental United States providing crucial habitat and natural resources for culturally and economically important species. Pressures from human population growth and associated development and agricultural intensification have led to excessive nutrient and sediment inputs entering the Bay, negatively affecting the health of the Bay ecosystem and the economic services it provides. The Chesapeake Bay Program (CBP) is a unique program formally created in 1983 as a multi-stakeholder partnership to guide and foster restoration of the Chesapeake Bay and its watershed. Since its inception, the CBP Partnership has been developing, updating, and applying a complex linked modeling system of watershed, airshed, and estuary models as a planning tool to inform strategic management decisions and Bay restoration efforts. This paper provides a description of the 2017 CBP Modeling System and the higher trophic level models developed by the NOAA Chesapeake Bay Office, along with specific recommendations that emerged from a 2018 workshop designed to inform future model development. Recommendations highlight the need for simulation of watershed inputs, conditions, processes, and practices at higher resolution to provide improved information to guide local nutrient and sediment management plans. More explicit and extensive modeling of connectivity between watershed landforms and estuary sub-areas, estuarine hydrodynamics, watershed and estuarine water quality, the estuarine-watershed socioecological system, and living resources will be important to broaden and improve characterization of responses to targeted nutrient and sediment load reductions. Finally, the value and importance of maintaining effective collaborations among jurisdictional managers, scientists, modelers, support staff, and stakeholder communities is emphasized. An open collaborative and transparent process has been a key element of successes to date and is vitally important as the CBP Partnership moves forward with modeling system improvements that help stakeholders evolve new knowledge, improve management strategies, and better communicate outcomes.

Chesapeake Bay estuary and watershed↗