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At least 1,009 records · Page 56Linked to original sources

Comparative behavioral ecotoxicology of Inland Silverside larvae exposed to pyrethroids across a salinity gradient

Pyrethroids, a class of commonly used insecticides, are frequently detected in aquatic environments, including estuaries. The influence that salinity has on organism physiology and the partitioning of hydrophobic chemicals, such as pyrethroids, has driven interest in how toxicity changes in saltwater compared to freshwater. Early life exposures in fish to pyrethroids cause toxicity at environmentally relevant concentrations, which can alter behavior. Behavior is a highly sensitive endpoint that influences overall organism fitness and can be used to detect toxicity of environmentally relevant concentrations of aquatic pollutants. Inland Silversides ( Menidia beryllina ), a commonly used euryhaline model fish species, were exposed from 5 days post fertilization (~1-day pre-hatch) for 96 h to six pyrethroids: bifenthrin, cyfluthrin, cyhalothrin, cypermethrin, esfenvalerate and permethrin. Exposures were conducted at three salinities relevant to brackish, estuarine habitat (0.5, 2, and 6 PSU) and across 3 concentrations, either 0.1, 1, 10, and/or 100 ng/L, plus a control. After exposure, Inland Silversides underwent a behavioral assay in which larval fish were subjected to a dark and light cycle stimuli to determine behavioral toxicity. Assessment of total distanced moved and thigmotaxis (wall hugging), used to measure hyper/hypoactivity and anxiety like behavior, respectively, demonstrate that even at the lowest concentration of 0.1 ng/L pyrethroids can induce behavioral changes at all salinities. We found that toxicity decreased as salinity increased for all pyrethroids except permethrin. Additionally, we found evidence to suggest that the relationship between log K OW and thigmotaxis is altered between the lower and highest salinities.

Science of the Total Environment↗

Geologic Setting, Geohydrology, and Ground-Water Quality near the Helendale Fault in the Mojave River Basin, San Bernardino County, California

The proximity of the Mojave River ground-water basin to the highly urbanized Los Angeles region has resulted in rapid population growth and, consequently, an increase in the demand for water. The Mojave River, the primary source of surface water for the region, normally is dry--except for periods of flow after intense storms; therefore, the region relies almost entirely on ground water to meet its agricultural and municipal needs. The area where the Helendale Fault intersects the Mojave River is of particular hydrogeologic interest because of its importance as a boundary between two water-management subareas of the Mojave Water Agency. The fault is the boundary between the upper Mojave River Basin (Oeste, Alto, and Este subareas) and the lower Mojave River Basin (Centro and Baja subareas); specifically, the fault is the boundary between the Alto and the Centro subareas. To obtain the information necessary to help better understand the hydrogeology of the area near the fault, multiple-well monitoring sites were installed, the surface geology was mapped in detail, and water-level and water-quality data were collected from wells in the study area. Detailed surficial geologic maps and water-level measurements indicate that the Helendale Fault impedes the flow of ground water in the deeper regional aquifer, but not in the overlying floodplain aquifer. Other faults mapped in the area impede the flow of ground water in both aquifers. Evidence of flowing water in the Mojave River upgradient of the Helendale Fault exists in the historical record, suggesting an upward gradient of ground-water flow. However, water-level data from this study indicate that pumping upstream of the Helendale Fault has reversed the vertical gradient of ground-water flow since predevelopment conditions, and the potential now exists for water to flow downward from the floodplain aquifer to the regional aquifer. Sixty-seven ground-water samples were analyzed for major ions, nutrients, and stable isotopes of oxygen and hydrogen from 34 wells within the study area between May 1990 and November 1999. Dissolved-solids concentrations in water samples from 14 wells in the floodplain aquifer ranged from 339 to 2,330 milligrams per liter (mg/L) with a median concentration of 825 mg/L. Concentrations in water from 11 of these wells exceeded the U.S. Environmental Protection Agency (USEPA) Secondary Maximum Contaminant Level (SMCL) of 500 mg/L. Dissolved-solids concentrations of water from nine wells sampled in the regional aquifer ranged from 479 to 946 mg/L with a median concentration of 666 mg/L. Concentrations in at least one sample of water from each of the wells in the regional aquifer exceeded the USEPA SMCL for dissolved solids. Arsenic concentrations in water from 14 wells in the floodplain aquifer ranged from less than the detection limit of 2 micrograms per liter (?g/L) to a maximum of 34 ?g/L with a median concentration of 6 ?g/L. Concentrations in water from six of the 14 wells exceeded the USEPA Maximum Contaminant Level (MCL) for arsenic of 10 ?g/L. Arsenic concentrations in water from nine wells in the regional aquifer ranged from less than the detection limit of 2 to 130 ?g/L with a median concentration of 11 ?g/L. Concentrations in water from five of these nine wells exceeded the USEPA MCL for arsenic. Dissolved-solids concentrations in water from seven wells completed in the igneous and metamorphic basement rocks that underlie the floodplain and regional aquifers ranged from 400 to 3,190 mg/L with a median concentration of 1,410 mg/L. Concentrations in water from all but one of the seven wells sampled exceeded the USEPA SMCL for dissolved solids. Concentrations in water from the basement rocks exceeded the USEPA SMCL for arsenic of 10 ?g/L in five of the seven wells. The high concentrations of arsenic, dissolved solids, and other constituents probably occur naturally. Stable isotopes of oxygen and hydrogen indicate that before pumping began in

Water-Resources Investigations Report↗

Inferring species interactions through joint mark–recapture analysis

Introduced species are frequently implicated in declines of native species. In many cases, however, evidence linking introduced species to native declines is weak. Failure to make strong inferences regarding the role of introduced species can hamper attempts to predict population viability and delay effective management responses. For many species, mark–recapture analysis is the more rigorous form of demographic analysis. However, to our knowledge, there are no mark–recapture models that allow for joint modeling of interacting species. Here, we introduce a two‐species mark–recapture population model in which the vital rates (and capture probabilities) of one species are allowed to vary in response to the abundance of the other species. We use a simulation study to explore bias and choose an approach to model selection. We then use the model to investigate species interactions between endangered humpback chub ( Gila cypha ) and introduced rainbow trout ( Oncorhynchus mykiss ) in the Colorado River between 2009 and 2016. In particular, we test hypotheses about how two environmental factors (turbidity and temperature), intraspecific density dependence, and rainbow trout abundance are related to survival, growth, and capture of juvenile humpback chub. We also project the long‐term effects of different rainbow trout abundances on adult humpback chub abundances. Our simulation study suggests this approach has minimal bias under potentially challenging circumstances (i.e., low capture probabilities) that characterized our application and that model selection using indicator variables could reliably identify the true generating model even when process error was high. When the model was applied to rainbow trout and humpback chub, we identified negative relationships between rainbow trout abundance and the survival, growth, and capture probability of juvenile humpback chub. Effects on interspecific interactions on survival and capture probability were strongly supported, whereas support for the growth effect was weaker. Environmental factors were also identified to be important and in many cases stronger than interspecific interactions, and there was still substantial unexplained variation in growth and survival rates. The general approach presented here for combining mark–recapture data for two species is applicable in many other systems and could be modified to model abundance of the invader via other modeling approaches.

Ecology↗

Multiple lines of evidence for identifying potential hazards to fish from contaminants of emerging concern in Great Lakes tributaries

Contaminants of emerging concern (CECs; e.g., pharmaceuticals, flame retardants, pesticides, and industrial chemicals) are omnipresent throughout tributaries to the Great Lakes. Furthermore, CECs are often present at concentrations that are potentially hazardous to aquatic species. Since 2010, we characterized the presence of CECs at 309 sites within 47 Great Lakes tributaries and characterized responses of fathead minnow ( Pimephales promelas ) exposed to river water at a subset of 26 sites within four tributaries. Our work resulted in three independent lines of evidence related to the potential hazards of CEC exposure to fish. First, vulnerability (where vulnerability refers to likelihood) of surface waters to CEC presence was predicted using select watershed characteristics. Second, hazard to fish (where hazard means the potential for adverse biological responses) was predicted using screening values for a subset of CECs. Third, biological responses of fathead minnow exposed to river water in streamside exposures were measured. We assessed the congruence of these three lines of evidence for identifying sites with elevated hazards to CEC exposure. Predicted vulnerability and hazards agreed at 66% of all sites. Where the two indices did not agree, vulnerability often underestimated predicted hazard. When compared with measured biological responses from streamside exposures, predicted hazards agreed for 42% of samples. Furthermore, when predicted hazards for specific effect categories were compared with similar measured biomarkers, 26% and 46% of samples agreed for reproductive and physiological effect categories, respectively. Overall, vulnerability and hazard predictions tended to overestimate the measured biological responses, providing a protective estimate of the potential hazards of CEC exposure to fish. When used together, these three approaches can help resource managers prioritize management activities in minimizing hazards of CEC exposure and can be used by researchers to prioritize studies focused on understanding the hazards of CEC exposure to fish. Integr Environ Assess Manag 2022;18:1246–1259. © 2021 The Authors. Integrated Environmental Assessment and Management published by Wiley Periodicals LLC on behalf of Society of Environmental Toxicology & Chemistry (SETAC). This article has been contributed to by US Government employees and their work is in the public domain in the USA.

Great Lakes↗

Habitat and sex differences in physiological condition of breeding Southwestern Willow Flycatchers ( Empidonax traillii extimus )

The Southwestern Willow Flycatcher ( Empidonax traillii extimus ; here- after “flycatcher”) is a federally listed endangered species that breeds in densely vegetated riparian habitats dominated by native and exotic plants, including introduced monotypic saltcedar (Tamarix ramosissima) . Some workers have theorized that saltcedar is unsuitable habitat for the flycatcher, primarily because it generally supports a smaller and less diverse invertebrate community (the flycatcher's food base) than native habitats (e.g. Salix spp.). However, differences in insect communities between native and saltcedar habitats are not proof that saltcedar habitats are inferior. The only way to evaluate whether the habitats differ in dietary or energetic quality is to document actual food limitation or its manifestations. Measurements of an individual's body condition and metabolic state can serve as indicators of environmental stressors, such as food limitation and environmental extremes. We captured 130 flycatchers breeding in native and saltcedar habitats in Arizona and New Mexico and measured 12 variables of physiological condition. These variables included body mass, fat level, body condition index, hematocrit, plasma triglycerides, plasma free fatty acids and glycerol, plasma glucose and beta-hydroxybutyrate, plasma uric acid, total leukocyte count, and heterophil-to-lymphocyte ratio. We found substantial sex-based differences in the condition of male and female flycatchers. Ten of the 12 measures of physiological condition differed significantly between the sexes. In all cases where male and female condition differed (except mass), the differences suggest that males were in poorer condition than females. We found few habitat-based differences in flycatcher condition. Only 3 of the 12 physiological condition indices differed significantly between habitats. Our data show that, at least in some parts of the flycatcher's range, there is no evidence that flycatchers breeding in saltcedar habitats exhibit poorer nutritional condition or are suffering negative physiological affects.

The Auk↗

Effects of Pumping on Ground-Water Flow Near Water-Supply Wells in the Lower Potomac-Raritan-Magothy Aquifer, Pennsauken Township, Camden County, New Jersey

Since the 1970's, hexavalent chromium has been detected in concentrations as great as 1.0 milligram per liter in wells at the Puchack well field operated by the Camden City Department of Utilities, Water Division (Water Department), forcing the Water Department to progressively remove five of its six wells from service between 1975 and 1988. The wells in the Puchack well field range in depth from 140 to 220 feet and are screened in the Lower Potomac-Raritan-Magothy aquifer. The Water Department has continued to pump Puchack Well 1 to maintain a hydraulic gradient toward the well field in an attempt to limit contaminant migration. In late 1997, concerns about treating the water withdrawn from Puchack Well 1 led water managers to consider temporarily discontinuing the pumping. In the spring of 1998, the U.S. Geological Survey (USGS), in cooperation with the New Jersey Department of Environmental Protection, began a preliminary assessment of the potential effects of temporarily removing Puchack Well 1 from service. Water levels in the Lower Potomac-Raritan-Magothy aquifer were measured during both pumping and nonpumping conditions to determine the direction and velocity of ground-water flow and the results were compared. Data collected in late March and early April 1998 indicate the presence of a ground-water divide between the Puchack well field and the Morris and Delair well fields when Puchack Well 1 was being pumped. A similar divide also was present when the well was not being pumped. The position and persistence of this divide limits the probability that contaminants in the vicinity of the Puchack well field will reach the Delair and Morris well fields during either pumping condition. Another divide southeast of Puchack Well 1 while the well was being pumped was no longer evident when the pumping was stopped and water levels had recovered. Under non-pumping conditions, ground water between Puchack Well 1 and this divide could begin to migrate toward other large pumping centers to the southeast. The average linear ground-water velocity along an arbitrarily selected southeast-trending flow path was estimated to be from 221 to 332 feet per year. This estimate indicates that any contaminated ground water that may be present within the area influenced by pumping at Puchack Well 1 may begin to move toward the pumping centers less than 2 miles to the southeast if Puchack Well 1 is either temporarily or permanently removed from service.

Water-Resources Investigations Report↗

Managing habitat to slow or reverse population declines of the Columbia spotted frog in the Northern Great Basin

Evaluating the effectiveness of habitat management actions is critical to adaptive management strategies for conservation of imperiled species. We quantified the response of a Great Basin population of the Columbia spotted frog ( Rana luteiventris ) to multiple habitat improvement actions aimed to reduce threats and reverse population declines. We used mark-recapture data for 1,394 adult frogs that had been marked by state, federal, and university biologists in 9 ponds representing a single population over a 16-year period from 1997 to 2012. With the use of demographic models, we assessed population-level effects of 1) a grazing exclosure constructed around 6 stock ponds that had been used to water livestock for decades before being fully fenced in 2003, and 2) the construction of 3 new stock ponds in 2003 to provide alternative water sources for livestock and, secondarily, to provide additional frog habitat. These management actions were implemented in response to a decline of more than 80% in population size from 1997 to 2002. We found evidence that excluding cattle from ponds and surrounding riparian habitats resulted in higher levels of frog production (more egg masses), higher adult frog recruitment and survival, and higher population growth rate. We also found that frogs colonized the newly constructed stock ponds within 3 years and frogs began breeding in 2 of them after 5 years. The positive effects of the cattle exclosure and additional production from the new ponds, although notable, did not result in full recovery of the population even 9 years later. This slow recovery may be partly explained by the effects of weather on recruitment rates, particularly the negative effects of harsher winters with late springs and higher fall temperatures. Although our findings point to potential successes of habitat management aimed at slowing or reversing rapidly declining frog populations, our study also suggests that recovering from severe population declines can take many years because of demographic and environmental processes.

Idaho↗

Staying alive: Post-translocation apparent survival of fishes in headwater springs following drought

Objective Increasing fragmentation from constructed barriers, increased water use, and climate change limits the resiliency of stream fish metapopulations by reducing colonization. Management actions such as stocking or translocating fish may help contribute to the resilience of isolated habitats and increase redundancy of populations in intermittent stream networks. Our objective was to determine whether translocating fish into prairie headwater refuges could reestablish or supplement isolated populations. Methods We examined apparent survival and probability of detection of four native, small-bodied fishes that were translocated in 2022 and 2023 to prairie headwater refuges that were affected by a severe drought and experienced slow recovery of their fish assemblages. All the fish were marked with passive integrated transponder tags, allowing us to use a mark–recapture framework to track the fate of these fish. Results Apparent survival was predicted by an interaction between time and translocation site, indicating an important consideration of environmental factors. Approximately one-quarter of the fish remained at site A through the summer of both years, whereas estimates were near zero at site B in both years and mixed across years at site C. The decreases in apparent survival probabilities following flow events suggest that fish may be emigrating during these periods of reconnection. During the lower flow year, more fish remained at the headwater sites and young-of-year fish were captured during long-term sampling, suggesting that the translocated fish reproduced. Conclusions The success of translocation projects will depend on a variety of factors, including management goals, habitat, and hydrology, but the initially high survival reported in this study is encouraging. Difficulties with examining the movement of small fish during hydrologic events limited our conclusions about the relative contributions of mortality and emigration to apparent survival estimates. Despite low yearly apparent survival, we found evidence of reproduction from translocated fish, suggesting that the reestablishment of a viable population is possible.

North American Journal of Fisheries Management↗

Larval cisco and lake whitefish exhibit high distributional overlap within nursery areas

Coregonine fishes, including lake whitefish ( Coregonus clupeaformis ) and cisco ( C. artedi ), are socioecologically important in the Laurentian Great Lakes and of conservation concern, but the processes driving recruitment variability are unclear. In Lake Ontario, cisco and lake whitefish exhibit similar spawning behaviours and early life histories, but population trajectories are diverging. One hypothesis is that sympatric cisco and lake whitefish larvae occupy distinct habitats and experience dissimilar local environmental conditions, despite co-occurrence within nursery areas. We described the spatiotemporal distributions of larval cisco and lake whitefish among multiple Lake Ontario embayment nursery areas, characterised physical habitat features associated with their distributions, determined the degree of spatial habitat partitioning between species and evaluated how habitat niche divergence occurred along an ontogenetic progression. Both species were widely distributed across larval nursery areas, though lake whitefish were less abundant and more narrowly distributed than cisco. Within the yolk sac stage, lake whitefish occupied more nearshore, shallower and colder waters than cisco, indicating potential habitat niche partitioning between congeners. However, distributional differences were subtle and likely driven by differential hatch timing and staggered ontogenetic habitat shifts. Combined, our results illustrate similar habitat use between cisco and lake whitefish through the larval stage and demonstrate that ontogeny and species-specific phenology influence habitat use for these species. This study provides additional evidence that the early life histories of cisco and lake whitefish are highly similar and does not support the hypothesis that larval habitat use differences are a major driver of differential recruitment success for these species.

New York↗

Contaminant exposure and reproductive success of Ospreys (Pandion haliaetus) nesting in Chesapeake Bay regions of concern

The Chesapeake Bay osprey population has more than doubled in size since restrictions were placed on the production and use of DDT and other toxic organochlorine contaminants in the 1970s. Ospreys are now nesting in the most highly polluted portions of the Bay. In 2000 and 2001, contaminant exposure and reproduction were monitored in ospreys nesting in regions of concern, including Baltimore Harbor and the Patapsco River, the Anacostia and middle Potomac rivers, and the Elizabeth River, and a presumed reference site consisting of the South, West, and Rhode rivers. A 'sample egg' from each study nest was collected for contaminant analysis, and the fate of eggs remaining in each nest (n = 14-16/site) was monitored at 7- to 10-day intervals from egg incubation through fledging of young. Ospreys fledged young in regions of concern (observed success: 0.88 -1.53 fledglings/active nest), although productivity was marginal for sustaining local populations in Baltimore Harbor and the Patapsco River and in the Anacostia and middle Potomac rivers. Concentrations of p,p'DDE and many other organochlorine pesticides or metabolites, total PCBs, some arylhydrocarbon receptor-active PCB congeners and polybrominated diphenyl ether congeners, and perfluorooctanesulfonate were often greater in sample eggs from regions of concern compared to the reference site. Nonetheless, logistic regression analyses did not provide evidence linking marginal productivity to p,p' -DDE, total PCBs, or arylhydrocarbon receptor-active PCB congener exposure in regions of concern. In view of the moderate concentrations of total PCBs in eggs from the reference site, concerns related to new and emerging toxicants, and the absence of ecotoxicological data for terrestrial vertebrates in many Bay tributaries, a more thorough spatial evaluation of contaminant exposure in ospreys throughout the Chesapeake may be warranted.

Archives of Environmental Contamination and Toxico↗

Environmental implications of Ptolemaic Period rodents and shrews from the Sacred Falcon Necropolis at Quesna, Egypt (Mammalia: Muridae and Soricidae)

Background Assemblages of mummified and preserved animals in necropoleis of Ptolemaic Period Egypt (ca. 332–30 BC) document some aspects of the ceremonial and religious practices of the ancient Egyptians, but study of these animal remains can also provide insight into the local environments in which the animals and humans lived. Results Excavations of the Sacred Falcon Necropolis at Quesna in the Nile Delta have yielded many thousands of animal remains, mostly of raptors, but also of a lesser number of small, wild mammals. Among the latter, we identified four species of murid rodents (Rodentia: Muridae) and five species of shrews (Eulipotyphla: Soricidae). The soricids are of particular interest because they represent a more diverse assemblage of species than occurs in the delta today. They include one species, Crocidura gueldenstaedtii (Pallas, 1811), that no longer occurs in the delta and another, C. fulvastra (Sundevall, 1843), that is now extirpated from Egypt. Conclusions The coexistence of this diverse small mammal community suggests that a greater availability and variety of mesic habitats were present during the Ptolemaic Period than occur there now. The local mammal faunas recovered at Quesna and other well-studied ancient Egyptian sites together provide evidence of a richer, more complex regional environment along the Nile Valley. They also provide important insight regarding the biogeography of the individual species comprising the faunas and about the extent of faunal turnover since the Ptolemaic Period.

BMC Ecology and Evolution↗

Assessment of potential risks from renewable energy development and other anthropogenic factors to wintering Golden Eagles in the western United States

Wind and other energy development are expanding rapidly and on an unprecedented scale within the range of the Golden Eagle ( Aquila chrysaetos ) while other anthropogenic-related changes, wildfires, invasive plants, drought, and climate change are altering or destroying native habitats occupied by Golden Eagles. However, the potential effects of these factors on North American Golden Eagle populations are largely unknown and the most recent evidence indicates that the population in the western United States is declining slightly. Impediments to evaluating the potential effects of energy development projects on wintering Golden Eagles include issues of scale and a paucity of available information about eagle winter use areas and ecology. We applied a predictive model of eagle winter distribution developed for Idaho and Montana, to Idaho, Utah, Nevada and eastern Oregon to help identify potential wintering areas and identify risks that occur in those areas. The model identifies ~40% of the four state study area as potentially suitable eagle winter habitat and provides a basis for spatial assessment of possible risk factors to eagles wintering there. We used eBird and Christmas Bird Count citizen science datasets for an independent evaluation of the accuracy of our predictive distribution model. The model was robust, accurately predicting the presence of wintering Golden Eagles significantly more often than expected. We used digital environmental datasets (layers) of potential risk factors, in conjunction with model predicted eagle distribution, to better understand and estimate the extent of risks to the wintering eagle population in the study area. These layers represent available data for some of the factors previously identified as risks in the landscape to wintering Golden Eagles. The majority of predicted eagle wintering areas occurred where there was little habitat fragmentation (<10%). All predicted winter areas contained at least one potential risk factor (e.g., potential for energy development); 39.4% of predicted winter areas contained at least two known risk factors. The greatest number of risks often occurred where the human footprint was highest and where eagles were less likely to occur during winter. Our results can be used to help prioritize field surveys for identifying important Golden Eagle winter areas in the western United States and determine potential locations where energy development is least likely to have negative effects on wintering eagles. Survey efforts can be allocated in consideration of management and conservation objectives based on predicted habitat suitability and risk factors. For example, surveys for areas of high suitability and low risk can identify places to focus management for conservation of eagle winter areas. Further, sites proposed for wind energy development could be reviewed initially based on model predicted eagle wintering areas and then surveyed to determine if permitting for development is appropriate.

Book chapter↗

Distribution of modern benthic foraminifers on the New Jersey Outer Continental Shelf

We used samples from 21 stations within a 600 km2 area of the New Jersey Outer Continental Shelf to assess the effects of a hydrodynamic environment on the distribution and redistribution of benthic foraminifers. These samples show that, although the predominant genera (Elphidium, Cibicides, and Saccammina) are the same as those reported by other investigators for this region, the environmental factors that control the generic distribution are more complex than were previously postulated. Generic distribution patterns derived from this study are correlated with the bottom topography and sediment distribution as well as the temperature, salinity, and dissolved oxygen concentrations of the bottom waters. The six predominant species observed in the samples (and their phenotypic variants) are cryophilic forms known to occur in the Virginian and Nova Scotian biogeographic provinces and in Arctic waters. Species distribution patterns also correlate well with bottom topography and hydrographic factors, but may be modified by seasonal fluctuations in test production and by redistribution of dead tests. At most stations, specimens of Elphidium subarcticum were attached to quartz grains. This phenomenon, which has not been reported before, probably is an adaptation to a high-energy environment. The distribution pattern of Elphidium subarcticum along with those of the sessile species Webbinella concava and Vasiglobulina n.sp. corroborate sedimentological evidence that the accumulation of modern sediments in the area is negligible.

New Jersey↗

Terrestrial nitrogen cycling in Earth system models revisited

Understanding the degree to which nitrogen (N) availability limits land carbon (C) uptake under global environmental change represents an unresolved challenge. First-generation &lsquo;C-only&rsquo;vegetation models, lacking explicit representations of N cycling,projected a substantial and increasing land C sink under rising atmospheric CO 2 concentrations. This prediction was questioned for not taking into account the potentially limiting effect of N availability, which is necessary for plant growth (Hungate et al.,2003). More recent global models include coupled C and N cycles in land ecosystems (C&ndash;N models) and are widely assumed to be more realistic. However, inclusion of more processes has not consistently improved their performance in capturing observed responses of the global C cycle (e.g. Wenzel et al., 2014). With the advent of a new generation of global models, including coupled C, N, and phosphorus (P) cycling, model complexity is sure to increase; but model reliability may not, unless greater attention is paid to the correspondence of model process representations ande mpirical evidence. It was in this context that the &lsquo;Nitrogen Cycle Workshop&rsquo; at Dartington Hall, Devon, UK was held on 1&ndash;5 February 2016. Organized by I. Colin Prentice and Benjamin D. Stocker (Imperial College London, UK), the workshop was funded by the European Research Council,project &lsquo;Earth system Model Bias Reduction and assessing Abrupt Climate change&rsquo; (EMBRACE). We gathered empirical ecologists and ecosystem modellers to identify key uncertainties in terrestrial C&ndash;N cycling, and to discuss processes that are missing or poorly represented in current models.

New Phytologist↗

Late Quaternary environmental change inferred from phytoliths and other soil-related proxies: Case studies from the central and southern Great Plains, USA

This study investigates stable carbon isotopes ( δ 13 C), opal phytolith assemblages, burnt phytoliths, microscopic charcoal and Sporormiella spores from modern soils and paleosols in Kansas and Oklahoma. Grass and dicot phytoliths in combination with δ 13 C are used as proxies for reconstructing the structure of grasslands and woodlands. Burnt grass phytoliths and microscopic charcoal are evaluated as proxies for reconstructing paleofire incidence. Concentrations of the fungal spore Sporormiella are used as a proxy for assessing large herbivore activity. These proxies were tested on various modern grassland communities of the central and southern Great Plains, including areas with bison, cattle, and small herbivores, and areas under different fire frequencies. Opal phytolith assemblages and δ 13 C values show that before cal 11 ka, C 3 grasses and woody plants predominated in areas that today are dominated by C 4 grasses. The origin of the shortgrass prairie dates back to about cal 10 ka. The origin of the tallgrass prairie, however, is not clear as phytolith data show variable assemblages throughout the Holocene (mixed-grass, tallgrass, and tallgrass–woodland mosaic). Different proxies (burnt phytoliths vs. charcoal) reveal different fire frequencies, but it is apparent that microfossil evidence for fire incidence is closely related to the abundance of woody plants in the landscape. Before cal 12 ka, soils show somewhat elevated concentration of Sporormiella , but lower concentrations than the modern high-density bison and cattle grazing areas. Throughout the Holocene, Sporormiella frequencies are low, which suggests lower large ungulate densities and perhaps high mobility.

Colorado, Kansas, New Mexico, Oklahoma, Texas↗

Perfluorodecanoic acid (PFDA) disrupts immune regulation via the toll-like receptor signaling pathway in zebrafish

As there are a growing number of per- and polyfluoroalkyl substances (PFAS) alternative substitutes applied globally, it remains paramount to characterize their potential health risks. Perfluorodecanoic acid (PFDA) is the most common alternative PFAS detected in the environment; however, its toxic effects and underlying mechanism of action to aquatic biota remains unclear. In this study, we present in vitro evidence of PFDA-induced immunotoxicity and gain insight into underlying molecular mechanisms. PFDA induced immune dysfunction in zebrafish primarily through immunosuppression, apoptosis, and inflammatory response which further cascaded to suppress innate and adaptive immunities, ultimately weaking the ability of larvae to defend against pathogenic infection. PFDA-induced immunotoxicity was driven by a dysregulation in the toll-like receptor (TLR) signaling pathway, which was validated through a cotreatment of PFDA with either a morpholino knockdown or inhibitor of myeloid differentiation factor 88. Comparative toxicity studies were carried out with a subset of other alternative PFAS (PFBA, PFOA, PFNA) and it was found that PFDA posed a greater immunotoxic response than other commonly identified PFAS in the environment. This work identified a major target of PFDA, disrupting immune function through the TLR signaling pathway, while inducing a greater toxic response among other tested PFAS, which provides novel insights into understanding the potential environmental risks of PFAS substitutes.

Environmental Science & Technology↗

Planktic foraminiferal test size and weight response to the late Pliocene environment

Atmospheric carbon dioxide ( p CO 2 atm ) is impacting the ocean and marine organisms directly via changes in carbonate chemistry and indirectly via a range of changes in physical parameters most dominantly temperature. To assess potential impacts of climate change on carbonate production in the open ocean, we measured size and weight of planktic foraminifers during the late Pliocene at p CO 2 atm concentrations comparable to today and global temperatures 2 to 3 °C warmer. Size of all foraminifers was measured at Atlantic Ocean Deep Sea Drilling Project (DSDP) Site 610, Ocean Drilling Program (ODP) Site 999, and Integrated Ocean Drilling Program (IODP) Site U1313. Test size was smaller during the Pliocene than in modern assemblages under the same environmental conditions. During the cold marine isotope stage (MIS) M2, size increased at Site 999, potentially linked to intensified stratification of the surface ocean in response to the closure of the Central American Seaway. At Site U1313, test size tracks the warming throughout the late Pliocene. Size-normalized weight (SNW) of Globigerina bulloides at Site U1313 decreased during warmer temperature intervals. SNW of Globigerinoides ruber (white) at Site 999 displays high-frequency variability not correlated to temperature. Yet during the glacial period within MIS M2, test weight was higher during higher temperatures. Our results support studies in the modern ocean, which challenge the view that carbonate chemistry is the primary driver for calcification. To better understand processes driving changes in SNW, computer tomography was used to quantify calcite to volume ratios. During interglacial periods, lower calcite volume but higher test volume suggests less suitable conditions for calcification. As this signal is not evident in SNW, subtle changes in calcification might not be observed by the weight-based method.

Paleoceanography and Paleoclimatology↗

Climate downscaling effects on predictive ecological models: a case study for threatened and endangered vertebrates in the southeastern United States

High-resolution (downscaled) projections of future climate conditions are critical inputs to a wide variety of ecological and socioeconomic models and are created using numerous different approaches. Here, we conduct a sensitivity analysis of spatial predictions from climate envelope models for threatened and endangered vertebrates in the southeastern United States to determine whether two different downscaling approaches (with and without the use of a regional climate model) affect climate envelope model predictions when all other sources of variation are held constant. We found that prediction maps differed spatially between downscaling approaches and that the variation attributable to downscaling technique was comparable to variation between maps generated using different general circulation models (GCMs). Precipitation variables tended to show greater discrepancies between downscaling techniques than temperature variables, and for one GCM, there was evidence that more poorly resolved precipitation variables contributed relatively more to model uncertainty than more well-resolved variables. Our work suggests that ecological modelers requiring high-resolution climate projections should carefully consider the type of downscaling applied to the climate projections prior to their use in predictive ecological modeling. The uncertainty associated with alternative downscaling methods may rival that of other, more widely appreciated sources of variation, such as the general circulation model or emissions scenario with which future climate projections are created.

Alabama;Florida;Georgia;Mississippi;South Carolina↗