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At least 973 records · Page 54Linked to original sources

Population viability analysis for a pond-breeding amphibian under future drought scenarios in the southeastern United States

Climate change effects are contributing to widespread declines of amphibians, and pond-breeding species may be particularly sensitive to future drought conditions that restrict wetland hydroperiods and decrease opportunities for successful breeding and recruitment. Pond-breeding amphibian populations can compensate for periodic droughts via episodic booms in recruitment, but studies predict that increased future drought conditions will negatively impact long-term persistence for several species. The southeastern United States is a global hotspot of amphibian biodiversity where future trends in drought conditions are uncertain. This study applied a population viability analysis (PVA) framework for an at-risk amphibian, the gopher frog ( Lithobates [ Rana ] capito ), to (i) explore population sensitivity to the frequency of droughts that restrict reproductive events, relative to changes in other demographic rates, and (ii) forecast future population viability over 30 years, given plausible scenarios varying in the frequency and duration of droughts adapted from recent historical patterns in the southeastern United States. Population persistence was highly sensitive to frequency of reproductive success. Persistence was fairly insensitive to all demographic parameters when reproductive success was ≥ 0.7 (i.e., ≤ 3 drought years per decade, on average), but sensitivity to survival of terrestrial stages (juvenile, adults) and initial abundance increased as reproductive success decreased. Persistence probabilities were relatively high (0.63–0.99) across a range of plausible future drought scenarios, with higher persistence probabilities (> 0.89) for all scenarios where drought years did not increase from recent historical conditions. Our results indicate gopher frog populations are likely resilient to periodic droughts that occur in 4 or fewer years per decade, but extirpation of some populations is possible if recent drought patterns repeat or increase during the next 30 years. Estimates of future risk to gopher frog populations can inform forthcoming status assessments and designation decisions of the U.S. Fish and Wildlife Service. More broadly, PVAs incorporating drought dynamics can identify climate thresholds that at-risk, pond-breeding amphibian populations can tolerate, which can inform management actions (e.g., maintaining a range of hydroperiods across proximate wetlands) that provide sufficient frequent breeding opportunities for long-term persistence even under drought conditions.

Global Ecology and Conservation↗

Practical guidance for engaging end-users and experts in developing scientific tools

This report provides actionable guidance for scientists developing scientific tools that inform on-the-ground decision making. Scientific tools, in the context of this report, are technology or protocols that help practitioners collect and analyze their own data, and information products and web tools that practitioners could use to inform decisions. Engaging end-users and fellow experts is fundamental to the creation of useful scientific tools. Scientists can use clear and specific direction on action steps and activities to effectively engage with end-users and fellow experts during development. Our study explores lessons learned from six U.S. Geological Survey projects that designed and implemented engagement activities with end-users and experts to coproduce scientific tools for natural resource managers. U.S. Geological Survey teams engaged end-users and experts across the United States from Federal, State, and local governments; universities; Tribes; territories; and nongovernmental organizations in designing and developing scientific tools intended to support end-users in their work. An online survey with 98 participants measured satisfaction across several indicators of successful engagement, including engagement activity frequency, sufficient opportunities to provide feedback, feedback implementation, inclusion of necessary perspectives, and functionality of the tool for end-users. Semistructured interviews were held with project leads, during which the project leads reviewed a summary of the survey results. The project leads reflected on the engagement efforts used in their project, then described lessons learned from the engagement experience and participant feedback. Common themes for ensuring effective engagement identified through thematic analysis included engaging end-users during product conceptualization; establishing clear roles and expectations; considering who end-users are and how end-users may use the tool; recruiting participants through your network, boundary spanners, and leadership; understanding individual use cases; communicating how feedback was integrated into the product; and strategically using virtual meeting tools. This guide shares practical steps and exercises for planning and facilitating effective engagement based on lessons learned from project leads and case study summaries of each project.

Scientific Investigations Report↗

Using mercury stable isotope fractionation to identify the contribution of historical mercury mining sources present in downstream water, sediment and fish

Ecosystems downstream of mercury (Hg) contaminated sites can be impacted by both localized releases as well as Hg deposited to the watershed from atmospheric transport. Identifying the source of Hg in water, sediment, and fish downstream of contaminated sites is important for determining the effectiveness of source-control remediation actions. This study uses measurements of Hg stable isotopes in soil, sediment, water, and fish to differentiate between Hg from an abandoned Hg mine from non-mine-related sources. The study site is located within the Willamette River watershed (Oregon, United States), which includes free-flowing river segments and a reservoir downstream of the mine. The concentrations of total-Hg (THg) in the reservoir fish were 4-fold higher than those further downstream (>90 km) from the mine site in free-flowing sections of the river. Mercury stable isotope fractionation analysis showed that the mine tailings (δ 202 Hg: −0.36‰ ± 0.03‰) had a distinctive isotopic composition compared to background soils (δ 202 Hg: −2.30‰ ± 0.25‰). Similar differences in isotopic composition were observed between stream water that flowed through the tailings (particulate bound δ 202 Hg: −0.58‰; dissolved: −0.91‰) versus a background stream (particle-bound δ 202 Hg: −2.36‰; dissolved: −2.09‰). Within the reservoir sediment, the Hg isotopic composition indicated that the proportion of the Hg related to mine-release increased with THg concentrations. However, in the fish samples the opposite trend was observed—the degree of mine-related Hg was lower in fish with the higher THg concentrations. While sediment concentrations clearly show the influence of the mine, the relationship in fish is more complicated due to differences in methylmercury (MeHg) formation and the foraging behavior of different fish species. The fish tissue δ 13 C and Δ 199 Hg values indicate that there is a higher influence of mine-sourced Hg in fish feeding in a more sediment-based food web and less so in planktonic and littoral-based food webs. Identifying the relative proportion of Hg from local contaminated site can help inform remediation decisions, especially when the relationship between total Hg concentrations and sources do not show similar covariation between abiotic and biotic media.

Oregon↗

Defining biologically relevant and hierarchically nested population units to inform wildlife management

Wildlife populations are increasingly affected by natural and anthropogenic changes that negatively alter biotic and abiotic processes at multiple spatiotemporal scales and therefore require increased wildlife management and conservation efforts. However, wildlife management boundaries frequently lack biological context and mechanisms to assess demographic data across the multiple spatiotemporal scales influencing populations. To address these limitations, we developed a novel approach to define biologically relevant subpopulations of hierarchically nested population levels that could facilitate managing and conserving wildlife populations and habitats. Our approach relied on the Spatial “K”luster Analysis by Tree Edge Removal clustering algorithm, which we applied in an agglomerative manner (bottom-to-top). We modified the clustering algorithm using a workflow and population structure tiers from least-cost paths, which captured biological inferences of habitat conditions (functional connectivity), dispersal capabilities (potential connectivity), genetic information, and functional processes affecting movements. The approach uniquely included context of habitat resources (biotic and abiotic) summarized at multiple spatial scales surrounding locations with breeding site fidelity and constraint-based rules (number of sites grouped and population structure tiers). We applied our approach to greater sage-grouse ( Centrocercus urophasianus ), a species of conservation concern, across their range within the western United States. This case study produced 13 hierarchically nested population levels (akin to cluster levels, each representing a collection of subpopulations of an increasing number of breeding sites). These closely approximated population closure at finer ecological scales (smaller subpopulation extents with fewer breeding sites; cluster levels ≥2), where >92% of individual sage-grouse's time occurred within their home cluster. With available population monitoring data, our approaches can support the investigation of factors affecting population dynamics at multiple scales and assist managers with making informed, targeted, and cost-effective decisions within an adaptive management framework. Importantly, our approach provides the flexibility of including species-relevant context, thereby supporting other wildlife characterized by site fidelity.

Ecology and Evolution↗

Fine-scale population structure Atlantic salmon from Maine's Penobscot River drainage

We report a survey of microsatellite DNA variation in Atlantic salmon from the unimpounded lower reaches of Maine's Penobscot River. Our analysis indicates that Atlantic salmon in the Penobscot River are distinct from other populations that have little or no history of human-mediated repopulation, including two of its tributaries, Cove Brook and Kenduskeag Stream, another Maine river, the Ducktrap, and Canada's Miramichi and Gander rivers. Significant heterogeneity was detected in allele frequency among all three subpopulations sampled in the Penobscot drainage. The high resolution of the 12-locussuite was quantified using maximum likelihood assignment tests, which correctly identified the source of 90.4–96.1% of individuals from within the Penobscot drainage. Current populations are clearly isolated from each other, however we are unable to determine from the present data whether the populations in Cove Brook and Kenduskeag Stream are recently diverged from populations stocked into the Penobscot River over the last century, or are aboriginal in origin. The degree of population structure identified in the Penobscot drainage is noteworthy in light of its lengthy history of systematic restocking, the geographic proximity of the subpopulations, and the extent of the differentiation. Similar population structure on this extremely limited geographic scale could exist among Atlantic salmon runs elsewhere in Maine and throughout the species' range and should be taken into account for future management decisions.

Maine↗

Estimating juvenile Chinook salmon ( Oncorhynchus tshawytscha ) abundance from beach seine data collected in the Sacramento–San Joaquin Delta and San Francisco Bay, California

Resource managers rely on abundance or density metrics derived from beach seine surveys to make vital decisions that affect fish population dynamics and assemblage structure. However, abundance and density metrics may be biased by imperfect capture and lack of geographic closure during sampling. Currently, there is considerable uncertainty about the capture efficiency of juvenile Chinook salmon ( Oncorhynchus tshawytscha ) by beach seines. Heterogeneity in capture can occur through unrealistic assumptions of closure and from variation in the probability of capture caused by environmental conditions. We evaluated the assumptions of closure and the influence of environmental conditions on capture efficiency and abundance estimates of Chinook salmon from beach seining within the Sacramento–San Joaquin Delta and the San Francisco Bay. Beach seine capture efficiency was measured using a stratified random sampling design combined with open and closed replicate depletion sampling. A total of 56 samples were collected during the spring of 2014. To assess variability in capture probability and the absolute abundance of juvenile Chinook salmon, beach seine capture efficiency data were fitted to the paired depletion design using modified N-mixture models. These models allowed us to explicitly test the closure assumption and estimate environmental effects on the probability of capture. We determined that our updated method allowing for lack of closure between depletion samples drastically outperformed traditional data analysis that assumes closure among replicate samples. The best-fit model (lowest-valued Akaike Information Criterion model) included the probability of fish being available for capture (relaxed closure assumption), capture probability modeled as a function of water velocity and percent coverage of fine sediment, and abundance modeled as a function of sample area, temperature, and water velocity. Given that beach seining is a ubiquitous sampling technique for many species, our improved sampling design and analysis could provide significant improvements in density and abundance estimation.

California↗

The effect of call libraries and acoustic filters on the identification of bat echolocation

Quantitative methods for species identification are commonly used in acoustic surveys for animals. While various identification models have been studied extensively, there has been little study of methods for selecting calls prior to modeling or methods for validating results after modeling. We obtained two call libraries with a combined 1556 pulse sequences from 11 North American bat species. We used four acoustic filters to automatically select and quantify bat calls from the combined library. For each filter, we trained a species identification model (a quadratic discriminant function analysis) and compared the classification ability of the models. In a separate analysis, we trained a classification model using just one call library. We then compared a conventional model assessment that used the training library against an alternative approach that used the second library. We found that filters differed in the share of known pulse sequences that were selected (68 to 96%), the share of non-bat noises that were excluded (37 to 100%), their measurement of various pulse parameters, and their overall correct classification rate (41% to 85%). Although the top two filters did not differ significantly in overall correct classification rate (85% and 83%), rates differed significantly for some bat species. In our assessment of call libraries, overall correct classification rates were significantly lower (15% to 23% lower) when tested on the second call library instead of the training library. Well-designed filters obviated the need for subjective and time-consuming manual selection of pulses. Accordingly, researchers should carefully design and test filters and include adequate descriptions in publications. Our results also indicate that it may not be possible to extend inferences about model accuracy beyond the training library. If so, the accuracy of acoustic-only surveys may be lower than commonly reported, which could affect ecological understanding or management decisions based on acoustic surveys.

Ecology and Evolution↗

Birdwatching preferences reveal synergies and tradeoffs among recreation, carbon, and fisheries ecosystem services in Pacific Northwest estuaries, USA

Coastal ecosystems provide multiple ecosystem services that are valued in diverse ways. The Nisqually River Delta (the Delta), an estuary in Puget Sound, Washington, U.S.A., is co-managed by the Nisqually Indian Tribe and the Billy Frank Jr. Nisqually National Wildlife Refuge. In an ecosystem services assessment, we used different service-appropriate methods including citizen science, statistical and geospatial models, and scenario analysis to evaluate three ecosystem services – recreational birdwatching, soil carbon accumulation and fishery production – indicated as priorities for the Refuge, Nisqually Indian Tribe, and surrounding communities. We developed a generalized additive mixed model set based on eBird mobile application birdwatching observations to understand the biological and landscape features that influence birdwatching and to project birdwatching visitation based on scenarios of Delta habitat change. We evaluated ecosystem service synergies and tradeoffs associated with habitat change for three coastal habitat types using scenario outputs from the birdwatching model and published results on Delta soil carbon accumulation and fishery production. The highest-ranked birdwatching models explained 88 % of the deviance and showed that visitation was greatest in winter months when distance to major cities was approximately 20 km. Recreational birdwatching increased with increasing area of forested wetland, emergent wetland, aquatic vegetation bed, open access, and total estuary. With increasing forested and emergent wetland area, recreational birdwatching, out-migrating juvenile Chinook salmon weight and soil carbon accumulation all increased. With increasing aquatic vegetation bed (resulting from sea level rise), recreational birdwatching increased, but salmon weight and soil carbon accumulation decreased. We identified practical ways in which ecosystem services may be incorporated into adaptive management frameworks that support climate adaptation decision making. This study illustrated how use of ecosystem services can help managers make decisions that have greater benefit for wildlife and people, communicate the societal value of decisions and increase local support and participation.

Washington↗

Development of a bioenergetics model for age-0 American shad

Bioenergetics modeling can be used as a tool to investigate the impact of non-native age-0 American shad ( Alosa sapidissima ) on reservoir and estuary food webs. The model can increase our understanding of how these fish influence lower trophic levels as well as predatory fish populations that feed on juvenile salmonids. Bioenergetics modeling can be used to investigate ecological processes, evaluate alternative research hypotheses, provide decision support, and quantitative prediction. Bioenergetics modeling has proven to be extremely useful in fisheries research (Ney et al. 1993,Chips and Wahl 2008, Petersen et al. 2008). If growth and diet parameters are known, the bioenergetics model can be used to quantify the relative amount of zooplankton or insects consumed by age-0 American shad. When linked with spatial and temporal information on fish abundance, model output can guide inferential hypothesis development to demonstrate where the greatest impacts of age-0 American shad might occur. Bioenergetics modeling is particularly useful when research questions involve multiple species and trophic levels (e.g. plankton communities). Bioenergetics models are mass-balance equations where the energy acquired from food is partitioned between maintenance costs, waste products, and growth (Winberg 1956). Specifically, the Wisconsin bioenergetics model (Hanson et al. 1997) is widely used in fisheries science. Researchers have extensively tested, reviewed, and improved on this modeling approach for over 30 years (Petersen et al. 2008). Development of a bioenergetics model for any species requires three key components: 1) determine physiological parameters for the model through laboratory experiments or incorporate data from a closely related species, 2) corroboration of the model with growth and consumption estimates from independent research, and 3) error analysis of model parameters. Wisconsin bioenergetics models have been parameterized for many of the salmonids and predatory fishes encountered in the lower Columbia River (Petersen and Ward 1999). The Wisconsin bioenergetics model has not been developed for American shad, however Limburg (1996) parameterized a simplified bioenergetics growth model for this species. A common application for the Wisconsin bioenergetics model is to estimate the consumption or growth of a fish population under different temperature and feeding scenarios (Ney 1993). One advantage of the bioenergetics approach is that consumption can be estimated without direct field measurements of predation rate (prey·predator -1 · day -1 ; Petersen and Ward 1999). Field estimates of fish consumption are time consuming and costly to determine, and estimates may show wide variance due to environmental and sampling variability. However, the consumption parameters used in a newly developed bioenergetics model must be verified with field and laboratory estimates of consumption (Ney 1993). The objective of this research was to parameterize a Wisconsin bioenergetics model for age-0 American shad using published physiological data on American shad and closely related alosine species. The American shad bioenergetics model will be used as a tool to explore various hypotheses about how age-0 American shad directly and indirectly affect Columbia River salmon through ecological interactions in lower Columbia River food webs. One over-arching focus of the larger research project was to identify potential interactions between age-0 American shad and juvenile salmonids, addressing potential outcomes through bioenergetics modeling scenarios. This report contains two bioenergetics modeling applications to demonstrate how these models can be used to address management questions and direct research effort. The first modeling application uses the American shad bioenergetics model described in this report to explore prey consumption by age-0 American shad (Chapter 1, this report). Dietary data on age-0 American shad and previously published reports on the diet of juvenile fall Chinook salmon (Rondorf et al. 1990, USGS unpublished data) suggested there might be considerable dietary overlap between these species in the lower Columbia River. The U.S. Geological Survey (USGS) was interested in using the American shad bioenergetics model to explore hypotheses concerning dietary overlap between age-0 American shad and emigrating fall Chinook salmon. The second modeling application uses the fall Chinook salmon bioenergetics model (Koehler et al. 2006) to explore the growth potential of juvenile fall Chinook salmon predating on age-0 American shad in the lower Columbia River. This modeling was based dietary information on a small number of age-0 fall Chinook salmon (n = 13) collected in John Day Reservoir in 1994 - 1996 (unpublished USGS data). Analysis of this dietary data found that these salmonids were feeding primarily on age-0 American shad (> 75% by weight).

Oregon↗

Measurement of unsaturated hydraulic properties and evaluation of property-transfer models for deep sedimentary interbeds, Idaho National Laboratory, Idaho

Operations at the Idaho National Laboratory (INL) have the potential to contaminate the underlying Eastern Snake River Plain (ESRP) aquifer. Methods to quantitatively characterize unsaturated flow and recharge to the ESRP aquifer are needed to inform water-resources management decisions at INL. In particular, hydraulic properties are needed to parameterize distributed hydrologic models of unsaturated flow and transport at INL, but these properties are often difficult and costly to obtain for large areas. The unsaturated zone overlying the ESRP aquifer consists of alternating sequences of thick fractured volcanic rocks that can rapidly transmit water flow and thinner sedimentary interbeds that transmit water much more slowly. Consequently, the sedimentary interbeds are of considerable interest because they primarily restrict the vertical movement of water through the unsaturated zone. Previous efforts by the U.S. Geological Survey (USGS) have included extensive laboratory characterization of the sedimentary interbeds and regression analyses to develop property-transfer models, which relate readily available physical properties of the sedimentary interbeds (bulk density, median particle diameter, and uniformity coefficient) to water retention and unsaturated hydraulic conductivity curves. During 2013–14, the USGS, in cooperation with the U.S. Department of Energy, focused on further characterization of the sedimentary interbeds below the future site of the proposed Remote Handled Low-Level Waste (RHLLW) facility, which is intended for the long-term storage of low-level radioactive waste. Twelve core samples from the sedimentary interbeds from a borehole near the proposed facility were collected for laboratory analysis of hydraulic properties, which also allowed further testing of the property-transfer modeling approach. For each core sample, the steady-state centrifuge method was used to measure relations between matric potential, saturation, and conductivity. These laboratory measurements were compared to water-retention and unsaturated hydraulic conductivity parameters estimated using the established property-transfer models. For each core sample obtained, the agreement between measured and estimated hydraulic parameters was evaluated quantitatively using the Pearson correlation coefficient (r). The highest correlation is for saturated hydraulic conductivity ( K sat ) with an r value of 0.922. The saturated water content (q sat ) also exhibits a strong linear correlation with an r value of 0.892. The curve shape parameter (λ) has a value of 0.731, whereas the curve scaling parameter (y o ) has the lowest r value of 0.528. The r values demonstrate that model predictions correspond well to the laboratory measured properties for most parameters, which supports the value of extending this approach for quantifying unsaturated hydraulic properties at various sites throughout INL.

Idaho↗

Understanding gaps in early detection of and rapid response to invasive species in the United States: A literature review and bibliometric analysis

While concepts regarding invasive species establishment patterns and eradication possibilities have long been a topic of invasion biology, the specific terminology referring to early detection of and rapid response to (EDRR) invasive species emerged in scientific literature during the early 2000s. Since then, the EDRR approach has expanded to include a suite of detection, planning, and management tools. By conducting a systematic literature review, we attempt to characterize the field of EDRR in the United States and its territories as reflected by publication records. Specifically, we assessed publication data such as the number of publications per year, the most common journals where papers were published, and the relationship between author’s keywords for studies focusing on aquatic and terrestrial habitats. For publications that used invasive species occurrence or abundance data (whether collected for the purposes of the respective publication or acquired from another data source), we manually vetted additional information such as focal taxa, data collection years and locations, sources of other data used, and whether data or code were deposited in open access formats. We also conducted network analyses for the author institutions that coauthored papers together most frequently and for the references most cited by EDRR publications. Overall, we found that silos existed in terms of which author institutions worked together, which existing literature was cited, and which topics were frequently explored. We also found evidence of substantial gaps in data access and use. For example, although a wide variety of data sources for invasive species occurrences are available, these sources were seldom cited by published literature, and newly collected data was not often deposited into invasive species databases or other open-source data repositories. Considering the continued advocation for a centralized national EDRR information system, our study suggests that facilitating access to data, decision support tools, and other informational resources represents a key opportunity for improving EDRR capabilities.

Ecological Informatics↗

Weighted regressions on time, discharge, and season (WRTDS), with an application to Chesapeake Bay River inputs

A new approach to the analysis of long‐term surface water‐quality data is proposed and implemented. The goal of this approach is to increase the amount of information that is extracted from the types of rich water‐quality datasets that now exist. The method is formulated to allow for maximum flexibility in representations of the long‐term trend, seasonal components, and discharge‐related components of the behavior of the water‐quality variable of interest. It is designed to provide internally consistent estimates of the actual history of concentrations and fluxes as well as histories that eliminate the influence of year‐to‐year variations in streamflow. The method employs the use of weighted regressions of concentrations on time, discharge, and season. Finally, the method is designed to be useful as a diagnostic tool regarding the kinds of changes that are taking place in the watershed related to point sources, groundwater sources, and surface‐water nonpoint sources. The method is applied to datasets for the nine large tributaries of Chesapeake Bay from 1978 to 2008. The results show a wide range of patterns of change in total phosphorus and in dissolved nitrate plus nitrite. These results should prove useful in further examination of the causes of changes, or lack of changes, and may help inform decisions about future actions to reduce nutrient enrichment in the Chesapeake Bay and its watershed.

Maryland, Virginia↗

Rigorously valuing the coastal hazard risks reduction provided by potential coral reef restoration in Florida and Puerto Rico

The restoration of coastal habitats, particularly coral reefs, can reduce risks by decreasing the exposure of coastal communities to flooding hazards. In the United States, the protective services provided by coral reefs were recently assessed in social and economic terms, with the annual protection provided by U.S. coral reefs off the coasts of the State of Florida and the Commonwealth of Puerto Rico estimated to be more than 9,800 people and $859 million (2010 U.S. dollars). Hurricanes Irma and Maria in 2017 caused widespread damage to coral reefs in the State of Florida and the Commonwealth of Puerto Rico. Here we combine engineering, ecologic, geospatial, social, and economic data and tools to provide a rigorous valuation of where potential coral reef restoration could decrease the hazard faced by Florida and Puerto Rico’s reef-fronted coastal communities. The three restoration scenarios considered: (1) Ecological restoration, ‘E25’, which assumes planting 0.25-meter (m)-high corals on a (cross-shore) 25-m-wide reef; (2) Structural plus ecological, ‘S25’, which assumes emplacing a 1.00-m high structure with 0.25-m high corals on top on a 25 m wide reef; and (3) structural plus ecological, ‘S05’, which assumes emplacing a 1.00-m high structure with 0.25-m high corals on top on a 5 m wide reef. Planted corals are assumed to increase hydrodynamic roughness, thereby dissipating incident wave energy and decreasing flooding potential. We used a standardized approach to ‘place’ potential restoration projects throughout the whole (linear) extent of reefs bordering Florida and Puerto Rico to identify where coral reef restoration could be useful for meeting flood reduction benefits. We always sited potential restoration projects within the existing distribution of reefs even though many sites were far (kilometers [km]) offshore and some sites were relatively deep (up to 7 m depth). We followed risk-based valuation approaches to map flood zones at 10-square-meter resolution along all 980 km of Florida and Puerto’s Rico reef-lined shorelines for the three potential coral reef restoration scenarios and compare them to the flood zones without coral reef restoration. We quantified the potential coastal flood risk reduction provided by coral reef restoration using the latest information from the U.S. Census Bureau, Federal Emergency Management Agency, and Bureau of Economic Analysis for return-interval storm events. Using the damages associated with each storm probability, we also calculate the change in annual expected damages, a measure of the annual protection gained because of coral reef restoration. We found that the benefits of reef restoration off Florida and Puerto Rico are spatially highly variable. In most areas, we found little or no benefit from reef restoration (for example, restoration sites were far offshore or deep). However, there were a number of key areas where reef restoration could have substantial benefits for flood risk reduction. In particular, we estimated the protection gained by Florida and Puerto Rico’s coral reefs from coral reef restoration to result in: Avoided flooding to more than 5.6 square kilometers (2.16 square miles) of land annually; Avoided flooding affecting more than 3,100 people annually; Avoided direct damages of more than $124.2 million to more than 890 buildings annually; and Avoided indirect damages to more $148.7 million in economic activity owing to housing and business damage annually. Thus, the annual value of flood risk reduction provided by potential coral reef restoration in Florida and Puerto Rico is more than 3,100 people and $272.9 million (2010 U.S. dollars) in economic activity. These data provide stakeholders and decision makers with a spatially explicit, rigorous valuation of how, where, and when potential coral reef restoration in Florida and Puerto Rico can increase critical coastal storm flood reduction benefits. These results help identify areas where reef management, recovery, and restoration could potentially help reduce the risk to, and increase the resiliency of, Florida and Puerto Rico’s coastal communities.

Florida↗

Ground-water hydrology and water quality of the southern high plains aquifer, Melrose Air Force Range, Cannon Air Force Base, Curry and Roosevelt Counties, New Mexico, 2002-03

In cooperation with the U.S. Air Force, the U.S. Geological Survey characterized the ground-water hydrology and water quality at Melrose Air Force Range in east-central New Mexico. The purpose of the study was to provide baseline data to Cannon Air Force Base resource managers to make informed decisions concerning actions that may affect the ground-water system. Five periods of water-level measurements and four periods of water-quality sample collection were completed at Melrose Air Force Range during 2002 and 2003. The water-level measurements and water-quality samples were collected from a 29-well monitoring network that included wells in the Impact Area and leased lands of Melrose Air Force Range managed by Cannon Air Force Base personnel. The purpose of this report is to provide a broad overview of ground-water flow and ground-water quality in the Southern High Plains aquifer in the Ogallala Formation at Melrose Air Force Range. Results of the ground-water characterization of the Southern High Plains aquifer indicated a local flow system in the unconfined aquifer flowing northeastward from a topographic high, the Mesa (located in the southwestern part of the Range), toward a regional flow system in the unconfined aquifer that flows southeastward through the Portales Valley. Ground water was less than 55 years old across the Range; ground water was younger (less than 25 years) near the Mesa and ephemeral channels and older (25 years to 55 years) in the Portales Valley. Results of water-quality analysis indicated three areas of different water types: near the Mesa and ephemeral channels, in the Impact Area of the Range, and in the Portales Valley. Within the Southern High Plains aquifer, a sodium/chloride-dominated ground water was found in the center of the Impact Area of the Range with water-quality characteristics similar to ground water from the underlying Chinle Formation. This sodium/chloride-dominated ground water of the unconfined aquifer in the Impact Area indicates a likely connection with the deeper water-producing zone. No pesticides, explosives, volatile organic compounds, semivolatile organic compounds, organic halogens, or perchlorate were found in water samples from the Southern High Plains aquifer at the Range.

Scientific Investigations Report↗

The Central African Republic Diamond Database—A geodatabase of archival diamond occurrences and areas of recent artisanal and small-scale diamond mining

The alluvial diamond deposits of the Central African Republic (CAR) are mined almost exclusively by way of informal artisanal and small-scale mining (ASM) methods. ASM sites range in diameter from a few meters to 30 meters or more, and are typically excavated by crews of diggers using hand tools, sieves, and jigs. CAR’s reported annual production has ranged from 300,000 to 470,000 carats over the past decade. This production is significant for CAR because it accounts for a large portion of the country’s export income and employs an estimated 60,000 to 90,000 miners nationally. Diamond production has also been linked to the violent conflict and political instability which have plagued the country for decades. The most recent conflict began in 2012 and resulted in an international embargo on the export of rough diamonds from CAR. This embargo was followed by a ceasefire and a return of peace in certain zones of the country in 2015; however, political and economic instability continues to afflict many areas of the country. International efforts to restore peace in CAR have included United Nations support as well as international technical assistance in tracking, assessing, and monitoring diamond production. In 2015, the Kimberley Process (KP) developed an operational framework allowing for legitimate exports from five subprefectures in CAR that were deemed to be compliant with KP internal controls and which were also considered to be free from systematic violence or control of armed groups. The goal of this study was to address information gaps regarding the location and extent of diamond occurrences and mining activity through the integration of geologic research with remote sensing, geographic information systems analysis, and fieldwork. Effective and efficient monitoring of diamond mining activity using satellite imagery requires detailed understanding of the geographic distribution of diamond sources and mining activities. A two-phase methodology was developed to address the knowledge gaps. The first phase consisted of the creation of a comprehensive geospatial catalogue of diamond mining and occurrence locations from archival records such as historical maps, mining reports, academic publications, and field data. Building upon this locational database, the second phase consisted of the creation of a geospatial dataset cataloguing current mining activity locations through manual interpretation of recently acquired satellite imagery. The accuracy of this second geospatial dataset was then assessed using field observations made between 2016 and 2017 by the U.S. Agency for International Development’s Property Rights and Artisanal Diamond Development II project. This report presents a two-part geodatabase: part 1 contains the locations of diamond mine sites and occurrences from archival sources, and part 2 indicates areas of current or recent mining activity. This geodatabase is unique in its temporal and spatial extent and may be used to analyze the geographic distribution of CAR’s known diamond resources, to assess the effect of recent violent conflicts and KP actions on diamond produc-tion, to provide decision makers with information regarding small-scale diamond mining, and to improve the monitoring of mining in regions of the country prone to conflict.

Open-File Report↗

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↗

Improving species status assessments under the U.S. Endangered Species Act and implications for multispecies conservation challenges worldwide

Despite its successes, the U.S. Endangered Species Act (ESA) has proven challenging to implement due to funding limitations, workload backlog, and other problems. As threats to species survival intensify and as more species come under threat, the need for the ESA and similar conservation laws and policies in other countries to function efficiently has grown. Attempts by the U.S. Fish and Wildlife Service (USFWS) to streamline ESA decisions include multispecies recovery plans and habitat conservation plans. We address species status assessment (SSA), a USFWS process to inform ESA decisions from listing to recovery, within the context of multispecies and ecosystem planning. Although existing SSAs have a single-species focus, ecosystem-based research can efficiently inform multiple SSAs within a region and provide a foundation for transition to multispecies SSAs in the future. We considered at-risk grassland species and ecosystems within the southeastern United States, where a disproportionate number of rare and endemic species are associated with grasslands. To initiate our ecosystem-based approach, we used a combined literature-based and structured World Café workshop format to identify science needs for SSAs. Discussions concentrated on 5 categories of threats to grassland species and ecosystems, consistent with recommendations to make shared threats a focus of planning under the ESA: (1) habitat loss, fragmentation, and disruption of functional connectivity; (2) climate change; (3) altered disturbance regimes; (4) invasive species; and (5) localized impacts. For each threat, workshop participants identified science and information needs, including database availability, research priorities, and modeling and mapping needs. Grouping species by habitat and shared threats can make the SSA process and other planning processes for conservation of at-risk species worldwide more efficient and useful. We found a combination of literature review and structured discussion effective for identifying the scientific information and analysis needed to support the development of multiple SSAs.

Conservation Biology↗

Where to restore and conserve? A regional benefit cost analysis of coral reef protection and restoration for coastal flood resilience

Momentum is growing for the management of coral reefs as a strategy to reduce climate risks in tropical coastlines. Yet, quantification of the life-time costs, impacts, and benefits remains limited. This study provides one of the first rigorous, spatially explicit, regional-scale Benefit:Cost Analyses (BCA) for coral reef restoration and was designed to meet the BCA requirements of major hazard mitigation funding and programs. This study simulates coastal flooding using a hydrodynamic model under different scenarios representing current coral reef conditions, reef degradation, and reef restoration. These coastal flood maps are used to estimate socioeconomic damages, which are included in a BCA to assess cost-effectiveness and priority areas for coral reef conservation and restoration. The United States Virgin Islands is used as a case study given recent impacts from storms and their new policy that declares reefs as natural infrastructure. The results show that flood risk across the islands of Saint Croix, Saint John, and Saint Thomas is $51.4 million USD per year. Annually, coral reefs prevent flood damages to 481 people and $43.6 million USD of infrastructure, which represents 87 % of the flood risk. These results identify the communities that could receive the greatest benefits from coral conservation and restoration, which overlap significantly. Coral reef restoration is found to be a cost-effective strategy for flood mitigation although how reefs are restored matters. Hybrid coral reef restoration provides greater flood mitigation benefits than ecological restoration, but its cost-effectiveness is overall lower given its greater costs. Many coastal areas have benefit:cost ratios exceeding 1.5, which complies with typical government agencies’ requirements for accessing hazard mitigation funds. This valuation framework helps provide rigorous regional-scale quantification of nature-based coastal protection solutions for coastal risk management decisions.

Journal of Environmental Management↗