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Distribution and trends in reference evapotranspiration in the North China plain

The distribution and trends in reference evapotranspiration (ET(o)) are extremely important to water resources planning for agriculture, and it is widely believed that rates of ET(o) will increase with global warming. This is a big concern in China, where water deficits are common in the North China Plain (NCP). In this study, Penman-Monteith reference evapotranspiration at 26 meteorological stations during 1961-2006 in and around the NCP was calculated. The temporal variations and spatial distribution of ET(o) were analyzed and the causes for the variations were discussed. The results showed that: (1) the NCP was divided into two climatic regions based on aridity values: a semiarid region that accounts for 69% of the area and subhumid regions that made of the remaining area; (2) over the entire NCP, the highest annual ET(o) occurred in the central and western areas and the lowest total ET(o) was observed in the east. Comparing the mean monthly ET(o) and annual ET(o) distributions, the high ET(o) values from May through July mainly determined the annual ET(o) distribution; (3) for the whole NCP, annual ET(o) showed a statistically significant decrease of 11.92 mm/decade over the 46 years of data collection in the NCP or approximately a 5% total decrease compared to the ET(o) values in 1961; (4) to determine which variable has the greatest effect on the decrease in ET(o), decadal changes were observed for daily values of maximum air temperature (+0.16 degrees C), minimum air temperature (+0.35 degrees C), net radiation (-0.13 MJ m(-2)), and mean wind speed (-0.09 m s(-1)). These results indicate that the decreasing net radiation and wind speed had a bigger impact on ET(o) rates than the increases observed by the maximum and minimum temperatures.

North China Plain↗

Hydrogeology of the Cross Bar Ranch well-field area and projected impact of pumping, Pasco County, Florida

The hydrogeology and development of a groundwater flow model are described for a 121-square-mile area in Pasco County, Florida. The hydrogeologic framework consists of the surficial aquifer--a thin blanket of sand--and the underlying carbonates of the upper Floridian aquifer. The aquifers are separated by a leaky sand and clay confining unit. The Cross Bar Ranch well field occupies 13 square miles and contains 17 production wells averaging about 700 feet deep and tapping the upper Florida aquifer. Procedures to calibrate, test sensitivity to input parameters, and validate the model 's accuracy are described. Pumping at 30 million gallons per day should result in 5 feet of decline in the water table of the surficial aquifer over an 8-square-mile area and in the potentiometric surface of the Upper Florida aquifer over a 15-square-mile area. Under the 45-million-per-day maximum permitted rate, drawdown should be 5 feet or more in the water table and potentiometric surface over areas of 16 and 28 square miles, respectively. At the center of pumping, water levels could decline 15 to 25 feet. The surficial aquifer could possibly be completely dewatered in a small area of the well field when pumping is at the maximum rate.

Florida↗

An oilspill risk analysis for the Beaufort Sea, Alaska (proposed sale 71)outer continental shelf lease area

An oilspill risk analysis was conducted to determine the relative environmental hazards of developing oil in different regions of the Beaufort Sea, Alaska, (Proposed Sale 71) Outer Continental Shelf (OCS) lease area. The probability of spill occurrences, likely movement of oil slicks, and locations of resources vulnerable to spilled oil were analyzed. The model predicted movement of the center of spill mass and estimated the times between spill occurrence and contact with various resources, to allow a qualitative assessment of oil characteristics at the time of contact; no direct computation was made of weathering and cleanup. The model also assumed that any oil spilled under ice would remain in place, unchanged, until spring breakup. Ice movements, or travel of oil under ice, if occurring, would affect the results in a manner not directly predictable at this time. The combined results of spill occurrence and spill movement predictions yielded estimates of the overall risks associated with development of the proposed lease area. Assuming that oil exists in the lease area (a 99.3-percent chance) it is estimated that the leasing of the tracts proposed for OCS Sale 71 will result in an expected 9.2 oilspills (of 1,000 barrels or larger) over the lease lifetime of 25 years. This estimate is based on historic oilspill accident data for platforms and pipelines on the U.S. OCS (Gulf of Mexico and California). The estimated probability that land will be contacted by one or more oilspills (of 1,000 barrels or larger) that have been at sea less than 30 days (not counting any time trapped under ice) is greater than 99.5 percent. If oilspill accident data for Prudhoe Bay, Alaska, is used in the analysis, it is estimated that 5.6 oilspills (1,000 barrels or larger) will occur over the lease lifetime. The estimated probability that one or more oilspills (1,000 barrels or larger)will occur and contact land is99 percent. The results of a recent experimental cleanup operation for oilspills under ice in Canadian Arctic waters showed a substantial degree of success; this should be considered in evaluating impacts of spills predicted by this model. Oilspill occurrence probabilities are high primarily because of the large amount of oil believed to be present in the area.

Open-File Report↗

Chemical and physical characteristics of precipitation at selected sites in Florida

Infrequent sampling of precipitation in Florida has been conducted by the U.S. Geological Survey since 1965. A summary of the historical data from 24 sites throughout Florida indicate that the principal ionic composition of atmospheric precipitation samples is calcium-sodium and bicarbonate-chloride with an average specific conductance of 32 micromhos per centimeter at 25 C. Historically, much of the sampling focused on primary nutrients and selected trace elements. Historical data indicate that nitrogen and phosphorus concentrations averaged 1.1 and 0.1 milligrams per liter, respectively. The limited trace metal data indicate that motor-vehicle activity may have a significant impact on local precipitation quality. Lead, for example, was measured in concentrations of as much as 2,400 micrograms per liter in samples collected in a highly populated, commerical area in south Florida. Statistical testing indicated that most major inorganic constituents, primary nutrients, and trace metals were significantly differnet among the sampling sites. The pH data indicated a range of about 5.0 to 7.0, but only limited pH data were collected and analyzed at the historical sites in such a timely manner as to represent pH conditions of the atmospheric precipitation during active rainfall. A critical review of the historical data suggested that while they may reflect local atmospheric quality conditions they likely do not define baseline conditions from a regional perspective. The application of these data were generally limited regarding regional extrapolation due to lack of standardization of sampling techniques, variable methods of sample preservation, nonuniform sampling intervals, variable sample sizes, and different periods of record. (USGS)

Water-Resources Investigations Report↗

A hybrid machine learning model to predict and visualize nitrate concentration throughout the Central Valley aquifer, California, USA

Intense demand for water in the Central Valley of California and related increases in groundwater nitrate concentration threaten the sustainability of the groundwater resource. To assess contamination risk in the region, we developed a hybrid, non-linear, machine learning model within a statistical learning framework to predict nitrate contamination of groundwater to depths of approximately 500 m below ground surface. A database of 145 predictor variables representing well characteristics, historical and current field and landscape-scale nitrogen mass balances, historical and current land use, oxidation/reduction conditions, groundwater flow, climate, soil characteristics, depth to groundwater, and groundwater age were assigned to over 6000 private supply and public supply wells measured previously for nitrate and located throughout the study area. The boosted regression tree (BRT) method was used to screen and rank variables to predict nitrate concentration at the depths of domestic and public well supplies. The novel approach included as predictor variables outputs from existing physically based models of the Central Valley. The top five most important predictor variables included two oxidation/reduction variables (probability of manganese concentration to exceed 50 ppb and probability of dissolved oxygen concentration to be below 0.5 ppm), field-scale adjusted unsaturated zone nitrogen input for the 1975 time period, average difference between precipitation and evapotranspiration during the years 1971–2000, and 1992 total landscape nitrogen input. Twenty-five variables were selected for the final model for log-transformed nitrate. In general, increasing probability of anoxic conditions and increasing precipitation relative to potential evapotranspiration had a corresponding decrease in nitrate concentration predictions. Conversely, increasing 1975 unsaturated zone nitrogen leaching flux and 1992 total landscape nitrogen input had an increasing relative impact on nitrate predictions. Three-dimensional visualization indicates that nitrate predictions depend on the probability of anoxic conditions and other factors, and that nitrate predictions generally decreased with increasing groundwater age.

California↗

A multi-source satellite data approach for modelling Lake Turkana water level: Calibration and validation using satellite altimetry data

Lake Turkana is one of the largest desert lakes in the world and is characterized by high degrees of inter- and intra-annual fluctuations. The hydrology and water balance of this lake have not been well understood due to its remote location and unavailability of reliable ground truth datasets. Managing surface water resources is a great challenge in areas where in-situ data are either limited or unavailable. In this study, multi-source satellite-driven data such as satellite-based rainfall estimates, modelled runoff, evapotranspiration, and a digital elevation dataset were used to model Lake Turkana water levels from 1998 to 2009. Due to the unavailability of reliable lake level data, an approach is presented to calibrate and validate the water balance model of Lake Turkana using a composite lake level product of TOPEX/Poseidon, Jason-1, and ENVISAT satellite altimetry data. Model validation results showed that the satellite-driven water balance model can satisfactorily capture the patterns and seasonal variations of the Lake Turkana water level fluctuations with a Pearson's correlation coefficient of 0.90 and a Nash-Sutcliffe Coefficient of Efficiency (NSCE) of 0.80 during the validation period (2004–2009). Model error estimates were within 10% of the natural variability of the lake. Our analysis indicated that fluctuations in Lake Turkana water levels are mainly driven by lake inflows and over-the-lake evaporation. Over-the-lake rainfall contributes only up to 30% of lake evaporative demand. During the modelling time period, Lake Turkana showed seasonal variations of 1–2 m. The lake level fluctuated in the range up to 4 m between the years 1998–2009. This study demonstrated the usefulness of satellite altimetry data to calibrate and validate the satellite-driven hydrological model for Lake Turkana without using any in-situ data. Furthermore, for Lake Turkana, we identified and outlined opportunities and challenges of using a calibrated satellite-driven water balance model for (i) quantitative assessment of the impact of basin developmental activities on lake levels and for (ii) forecasting lake level changes and their impact on fisheries. From this study, we suggest that globally available satellite altimetry data provide a unique opportunity for calibration and validation of hydrologic models in ungauged basins.

Lake Turkana↗

Effects of low-impact-development (LID) practices on streamflow, runoff quantity, and runoff quality in the Ipswich River Basin, Massachusetts: A summary of field and modeling studies

Low-impact-development (LID) approaches are intended to create, retain, or restore natural hydrologic and water-quality conditions that may be affected by human alterations. Wide-scale implementation of LID techniques may offer the possibility of improving conditions in river basins, such as the Ipswich River Basin in Massachusetts, that have run dry during the summer because of groundwater withdrawals and drought. From 2005 to 2008, the U.S. Geological Survey, in a cooperative funding agreement with the Massachusetts Department of Conservation and Recreation, monitored small-scale installations of LID enhancements designed to diminish the effects of storm runoff on the quantity and quality of surface water and groundwater. Funding for the studies also was contributed by the U.S. Environmental Protection Agency’s Targeted Watersheds Grant Program through a financial assistance agreement with Massachusetts Department of Conservation and Recreation. The monitoring studies examined the effects of replacing an impervious parking-lot surface with a porous surface on groundwater quality, installing rain gardens and porous pavement in a neighborhood of 3 acres on the quantity and quality of stormwater runoff, and installing a 3,000-ft2 (square-foot) green roof on the quantity and quality of rainfall-generated roof runoff. In addition to these small-scale installations, the U.S. Geological Survey’s Ipswich River Basin model was used to simulate the basin-wide effects on streamflow of several changes: broad-scale implementation of LID techniques, reduced water-supply withdrawals, and water-conservation measures. Water-supply and conservation scenarios for application in model simulations were developed with the assistance of two technical advisory committees that included representatives of State agencies responsible for water resources, the U.S. Environmental Protection Agency, the U.S. Geological Survey, water suppliers, and non-governmental organizations. From June 2005 to June 2007, groundwater quality was monitored at the Silver Lake town beach parking lot in Wilmington, Massachusetts, prior to and following the replacement of the conventional, impervious-asphalt surface with a porous surface consisting primarily of porous asphalt and porous pavers designed to enhance rainfall infiltration into the groundwater and to minimize runoff to Silver Lake. Concentrations of phosphorus, nitrogen, cadmium, chromium, copper, lead, nickel, zinc, and total petroleum hydrocarbons in groundwater were monitored. Enhancing infiltration of precipitation did not result in discernible increases in concentrations of these potential groundwater contaminants. Concentrations of dissolved oxygen increased slightly in groundwater profiles following the removal of the impervious asphalt parking-lot surface. In Wilmington, Massachusetts, in a 3-acre neighborhood, stormwater runoff volume and quality were monitored to determine the ability of selected LID enhancements (rain gardens and porous paving stones) to reduce flows and loads of the selected constituents to Silver Lake. Water-quality samples were analyzed for nutrients, metals, total petroleum hydrocarbons, and total-coliform and E. coli bacteria. A decrease in runoff quantity was observed for storms of 0.25 inch or less of precipitation. Water-quality-monitoring results were inconclusive; there were no statistically significant differences in concentrations or loads when the pre- and post-installation-period samples were compared. In a third field study, the characteristics of runoff from a vegetated "green" roof and a conventional, rubber-membrane roof were compared. The two primary factors affecting the green roof’s water-storage capacity were the amount of precipitation and antecedent dry period. Although concentrations of many of the chemicals in roof runoff were higher from the green roof than from the conventional roof, the ability of the green roof to retain water generally resulted in decreased differences between the total amounts (loads) of the chemicals that ran off the roofs. Land-use and water-management changes associated with LID implementation were investigated at multiple spatial scales, using the U.S. Geological Survey’s Ipswich River Basin model, to evaluate the effects of updated water-supply withdrawals for the towns of Reading and Wilmington (representing new baseline conditions for all simulations), potential land-use changes at buildout (potential future development), widespread implementation of retrofitting LID techniques, basin-scale water withdrawal reductions based on water-conservation pilot programs conducted by the Massachusetts Department of Conservation and Recreation, and land-use change and LID applications at a local scale. The new baseline simulation indicated that reduced water-supply withdrawals for the towns of Reading and Wilmington led to substantially higher medium and low flows in most of the reaches upstream from the South Middleton streamgage in the upper Ipswich River basin. Overall, simulations pointed to the importance of spatial scale in determining the effects of land-use change and LID practices on streamflow. Potential land-use changes at buildout had modest effects on streamflow in most subbasins (percent differences of less than 20 percent) because relatively little land in the basin was available for development. Results of the simulations conducted to evaluate widespread effective-impervious-area reductions upstream from the South Middleton streamgage indicated that the percentages of urban land use and associated effective impervious area were too small for even a 50-percent reduction of effective impervious area to appreciably affect streamflow in most subbasins. In contrast, the results of the hypothetical local-scale simulations indicated that for smaller streams, with high percentages of urban land use and associated effective impervious area, land-use change, development patterns, and LID practices may have substantial effects on streamflow. Modeling studies concurred with the results of fieldwork in the assessment that LID enhancements would likely have the greatest effect on decreasing stormwater runoff when broadly applied to highly impervious urban areas.

Massachusetts↗

Evaluation of coal-mining impacts using numerical classification of benthic invertebrate data from streams draining a heavily mined basin in eastern Tennessee

Coal-mining impacts on Smoky Creek, eastern Tennessee were evaluated using water quality and benthic invertebrate data. Data from mined sites were also compared with water quality and invertebrate fauna found at Crabapple Branch, an undisturbed stream in a nearby basin. Although differences in water quality constituent concentrations and physical habitat conditions at sampling sites were apparent, commonly used measures of benthic invertebrate sample data such as number of taxa, sample diversity, number of organisms, and biomass were inadequate for determining differences in stream environments. Clustering algorithms were more useful in determining differences in benthic invertebrate community structure and composition. Normal (collections) and inverse (species) analyses based on presence-absence data of species of Ephemeroptera, Plecoptera, and Tricoptera were compared using constancy, fidelity, and relative abundance of species found at stations with similar fauna. These analyses identified differences in benthic community composition due to seasonal variations in invertebrate life histories. When data from a single season were examined, sites on tributary streams generally clustered separately from sites on Smoky Creek. These analyses compared with differences in water quality, stream size, and substrate characteristics between tributary sites and the more degraded main stem sites, indicated that numerical classification of invertebrate data can provide discharge-independent information useful in rapid evaluations of in-stream environmental conditions.

Tennessee↗

A summary of petroleum potential, environmental geology, and the technology, time frame, and infrastructure for exploration and development of the western Gulf of Alaska

This summary of the regional geology, petroleum potential, geologic hazards and time frame for exploration of the western Gulf of Alaska has been written to aid the Bureau of Land Management in preparing the Draft Environmental Impact Statement. A preliminary version was written in Sept., 1975.(von Huene and others, 1975) in support of the Call for Nominations, Proposed OCS Oil and Gas Lease Sale #46. Since that time, there has been a substantial increase in information as the result of a two-month examination of recent studies of the adjacent Gulf of Alaska Tertiary Province and a preliminary interpretation of some publicly available common depth point (CDP) seismic reflection data recently acquired by the U.S. Geological Survey. The main source of geologic and geophysical data used in the preparation of this summary is published and unpublished information of the U.S. Geological Survey (Plafker and others, 1975,Bruns and Plafker, 1975; Carlson, Bruns and Molnia, 1975; Carlson and Molnia, 1975; Core, Mattick, and Bayer, 1975; Molnia and Carlson, 1975 a & b; von Huene and others, 1975). Prior to 1975, data were gathered mainly for purposes other than for assessment of oil and gas resources and of the environmental consequences of exploration and development. A systematic survey for such an assessment is planned for the summer of 1976 and, therefore, this summary is tentative. Although the major problems and regional setting are discussed in this paper, a great deal more specific data and interpretations will begin to become available in about one year. In this summary we consider the geology of a broad region on the continental shelf off the Kodiak group of islands and the Kenai Peninsula. We will concentrate on the area proposed for leasing in Sale #46. The area lies between about 56°N latitude and 60°N latitude (Fig. 1), and it measures approximately 660 km x 100 km. Water depths are generally less than 200 m.

Alaska↗

Assessing the exposure of three diving bird species to offshore wind areas on the U.S. Atlantic Outer Continental Shelf using satellite telemetry

Aim The United States Atlantic Outer Continental Shelf (OCS) has considerable offshore wind energy potential. Capturing that resource is part of a broader effort to reduce CO 2 emissions. While few turbines have been constructed in U.S. waters, over a dozen currently planned offshore wind projects have the potential to displace marine birds, potentially leading to effective habitat loss. We focused on three diving birds identified in Europe to be vulnerable to displacement. Our research aimed to determine their potential exposure to areas designated or proposed for offshore wind development along the Atlantic OCS. Methods Satellite tracking technology was used to determine the spatial and temporal use and movement patterns of Surf Scoters ( Melanitta perspicillata ), Red‐throated Loons ( Gavia stellata ) and Northern Gannets ( Morus bassanus ), and calculate their exposure to each offshore wind area. We tagged 236 adults in 2012–2015 on the Atlantic OCS from New Jersey to North Carolina; an additional 147 birds tagged in previous tracking studies were integrated into our analyses. Tracking data were analysed in two‐week intervals using dynamic Brownian bridge movement models to develop composite spatial utilization distributions. For each species, these distributions were then used to calculate the spatio‐temporal exposure to each offshore wind area. Results Surf Scoters and Red‐throated Loons were exposed to offshore wind areas almost exclusively during migration because these species were distributed among coastal and inshore waters during winter months. In contrast, Northern Gannets ranged over a much larger area, reaching farther offshore and south in winter, thus exhibited the greatest exposure to extant offshore wind areas. Conclusions Results of this study provide better understanding of how diving birds use current and potential future offshore wind areas on the Atlantic OCS, and can inform permitting, risk assessment and pre‐ and post‐construction impact assessments of offshore energy infrastructure.

Atlantic Outer Continental Shelf↗

Impacts of precipitation seasonality and ecosystem types on evapotranspiration in the Yukon River Basin, Alaska

Evapotranspiration (ET) is the largest component of water loss from terrestrial ecosystems; however, large uncertainties exist when estimating the temporal and spatial variations of ET because of concurrent shifts in the magnitude and seasonal distribution of precipitation as well as differences in the response of ecosystem ET to environmental variabilities. In this study, we examined the impacts of precipitation seasonality and ecosystem types on ET quantified by eddy covariance towers from 2002 to 2004 in three ecosystems (grassland, deciduous broadleaf forest, and evergreen needleleaf forest) in the Yukon River Basin, Alaska. The annual precipitation changed greatly in both magnitude and seasonal distribution through the three investigated years. Observations and model results showed that ET was more sensitive to precipitation scarcity in the early growing season than in the late growing season, which was the direct result of different responses of ET components to precipitation in different seasons. The results demonstrated the importance of seasonal variations of precipitation in regulating annual ET and overshadowing the function of annual precipitation. Comparison of ET among ecosystems over the growing season indicated that ET was largest in deciduous broadleaf, intermediate in evergreen needleleaf, and lowest in the grassland ecosystem. These ecosystem differences in ET were related to differences in successional stages and physiological responses.

Water Resources Research↗

Species mixture effects and climate influence growth, recruitment and mortality in Interior West USA Populus tremuloides-conifer communities

Tree-species mixture effects (e.g. complementarity and facilitation) have been found to increase individual-tree productivity, lessen mortality and improve recruitment in forests worldwide. By promoting more efficient and complete resource use, mixture effects may also lessen individual-tree-level water stress, thus improving drought resistance. We investigated the influence of mixture effects on tree productivity, mortality and recruitment across broad compositional and moisture gradients in high-elevation Interior West US mixed-conifer communities, where Populus tremuloides (trembling aspen) is the major contributor to functional diversity. Our goal was to provide a more complete scientific foundation for managing these drought-prone, fire-excluded systems under an uncertain climate. We used landscape-scale national forest inventory data to examine mixture effects on P. tremuloides and the major associated conifer species, Pseudotsuga menziesii , Pinus contorta , Abies lasiocarpa and Picea engelmannii . Using generalized linear mixed modelling, we isolated the influences of P. tremuloides relative density and climate on tree-level (stems ≥ 12.7 cm DBH) growth, mortality and stand-level recruitment (presence/absence of new trees). Cold-season precipitation (PPT) and warm-season vapour pressure deficit (VPD) served to represent soil moisture supply and demand, respectively. Populus tremuloides growth declined as interspecific density increased. In contrast, Pinus contorta and A. lasiocarpa growth increased with P. tremuloides density. For all species except A. lasiocarpa and P. menziesii, growth increased under higher PPT and VPD. Populus tremuloides mortality increased under high VPD but not with interspecific relative density. We found limited evidence that A. lasiocarpa mortality decreased as P. tremuloides density increased. Populus tremuloides recruitment declined steeply above 25% interspecific relative density. We found a decline in conifer recruitment odds as P. tremuloides density increased, ranging from strong in P. contorta to insubstantial in P. engelmannii . Synthesis . Our findings have implications for sustaining mixed-conifer communities impacted by climate change and historical fire exclusion. Mixtures of P. tremuloides and conifers may improve conifer growth while adversely impacting P. tremuloides growth relative to pure stands. Higher conifer productivity combined with lower P. tremuloides recruitment at high conifer relative density may accelerate succession.

Journal of Ecology↗

Environmentalism and natural aggregate mining

Sustaining a developed economy and expanding a developing one require the use of large volumes of natural aggregate. Almost all human activity (commercial, recreational, or leisure) is transacted in or on facilities constructed from natural aggregate. In our urban and suburban worlds, we are almost totally dependent on supplies of water collected behind dams and transported through aqueducts made from concrete. Natural aggregate is essential to the facilities that produce energy—hydroelectric dams and coal-fired powerplants. Ironically, the utility created for mankind by the use of natural aggregate is rarely compared favorably with the environmental impacts of mining it. Instead, the empty quarries and pits are seen as large negative environmental consequences. At the root of this disassociation is the philosophy of environmentalism, which flavors our perceptions of the excavation, processing, and distribution of natural aggregate. The two end-member ideas in this philosophy are ecocentrism and anthropocentrism. Ecocentrism takes the position that the natural world is a organism whose arteries are the rivers—their flow must not be altered. The soil is another vital organ and must not be covered with concrete and asphalt. The motto of the ecocentrist is “man must live more lightly on the land.” The anthropocentrist wants clean water and air and an uncluttered landscape for human use. Mining is allowed and even encouraged, but dust and noise from quarry and pit operations must be minimized. The large volume of truck traffic is viewed as a real menace to human life and should be regulated and isolated. The environmental problems that the producers of natural aggregate (crushed stone and sand and gravel) face today are mostly difficult social and political concerns associated with the large holes dug in the ground and the large volume of heavy truck traffic associated with quarry and pit operations. These concerns have increased in recent years as society's demand for living space has encroached on the sites of production; in other words, the act of production has engendered condemnation. Many other environmental problems that are associated with dust and noise and blasting from quarry and pit operations have been reduced through the efficient use of technology. Recycling concrete in buildings, bridges, and roads and asphaltic pavements will ultimately reduce the demand for virgin natural aggregate. The impact created by the large holes in the ground required for the mining of natural aggregate can be greatly reduced by planning their reclamation before mining begins.

Natural Resources Research↗

Seafloor habitat mapping and classification in Glacier Bay, Alaska: Phase 1 & 2 1996-2004

Glacier Bay is a diverse fjord ecosystem with multiple sills, numerous tidewater glaciers and a highly complex oceanographic system. The Bay was completely glaciated prior to the 1700’s and subsequently experienced the fastest glacial retreat recorded in historical times. Currently, some of the highest sedimentation rates ever observed occur in the Bay, along with rapid uplift (up to 2.5 cm/year) due to a combination of plate tectonics and isostatic rebound. Glacier Bay is the second deepest fjord in Alaska, with depths over 500 meters. This variety of physical processes and bathymetry creates many diverse habitats within a relatively small area (1,255 km 2 ). Habitat can be defined as the locality, including resources and environmental conditions, occupied by a species or population of organisms (Morrison et al 1992). Mapping and characterization of benthic habitat is crucial to an understanding of marine species and can serve a variety of purposes including: understanding species distributions and improving stock assessments, designing special management areas and marine protected areas, monitoring and protecting important habitats, and assessing habitat change due to natural or human impacts. In 1996, Congress recognized the importance of understanding benthic habitat for fisheries management by reauthorizing the Magnuson-Stevens Fishery Conservation and Management Act and amending it with the Sustainable Fisheries Act (SFA). This amendment emphasizes the importance of habitat protection to healthy fisheries and requires identification of essential fish habitat in management decisions. Recently, the National Park Service’s Ocean Stewardship Strategy identified the creation of benthic habitat maps and sediment maps as crucial components to complete basic ocean park resource inventories (Davis 2003). Glacier Bay National Park managers currently have very limited knowledge about the bathymetry, sediment types, and various marine habitats of ecological importance in the Park. Ocean floor bathymetry and sediment type are the building blocks of marine communities. Bottom type and shape affects the kinds of benthic communities that develop in a particular environment as well as the oceanographic conditions that communities are subject to. Accurate mapping of the ocean floor is essential for park manager’s understanding of existing marine communities and will be important in assessing human induced changes (e.g., vessel traffic and commercial fishing), biological change (e.g., rapid sea otter recolonization), and geological processes of change (e.g., deglaciation). Information on animal-habitat relationships, particularly within a marine reserve framework, will be valuable to agencies making decisions about critical habitats, marine reserve design, as well as fishery management. Identification and mapping of benthic habitat provides National Park Service mangers with tools to increase the effectiveness of resource management. The primary objective of this project is to investigate the geological characteristics of the biological habitats of halibut, Dungeness crab, king crab, and Tanner crab within Glacier Bay National Park. Additionally, habitat classification of shallow water regions of Glacier Bay will provide crucial information on the relationship between benthic habitat features and the abundance of benthic prey items for a variety of marine predators, including sea ducks, the rapidly increasing population of sea otters, and other marine mammals.

Alaska↗

Guidance documents: Continued support to improve operations of fish hatcheries and field sites to reduce the impact or prevent establishment of New Zealand Mudsnails and other invasive mollusks

This project tested and revised a risk assessment/management tool authored by Moffitt and Stockton designed to provide hatchery biologists and others a structure to measure risk and provide tools to control, prevent or eliminate invasive New Zealand mudsnails (NZMS) and other invasive mollusks in fish hatcheries and hatchery operations. The document has two parts: the risk assessment tool, and an appendix that summarizes options for control or management. The framework of the guidance document for risk assessment/hatchery tool combines approaches used by the Hazard Analysis and Critical Control Points (HACCP) process with those developed by the Commission for Environmental Cooperation (CEC), of Canada, Mexico, and the United States, in the Tri-National Risk Assessment Guidelines for Aquatic Alien Invasive Species. The framework approach for this attached first document assesses risk potential with two activities: probability of infestation and consequences of infestation. Each activity is treated equally to determine the risk potential. These two activities are divided into seven basic elements that utilize scientific, technical, and other relevant information in the process of the risk assessment. To determine the probability of infestation four steps are used that have scores reported or determined and averaged. This assessment follows a familiar HACCP process to assess pathways of entry, entry potential, colonization potential, spread potential. The economic, environmental and social consequences are considered as economic impact, environmental impact, and social and cultural influences. To test this document, the Principal Investigator worked to identify interested hatchery managers through contacts at regional aquaculture meetings, fish health meetings, and through the network of invasive species managers and scientists participating in the Western Regional Panel on Aquatic Nuisance Species and the 100th Meridian Initiative's Columbia River Basin Team, and the Western New Zealand Mudsnail Conference in Seattle. Targeted hatchery workshops were conducted with staff at Dworshak National Fish Hatchery Complex (ID), Similkameen Pond, Oroville WA, and Ringold Springs State Hatchery (WA). As a result of communications with hatchery staff, invasive species managers, and on site assessments of hatchery facilities, the document was modified and enhanced. Additional resources were added to keep it up to date. The result is a more simplified tool that can lead hatchery or management personnel through the process of risk assessment and provide an introduction to the risk management and communication process. In addition to the typical HACCP processes, this tool adds steps to rate and consider uncertainty and the weight of evidence regarding options and monitoring results . Uncertainty of outcome exists in most tools that can be used to control or prevent NZMS or other invasive mollusks from infesting an area. In additional this document emphasizes that specific control tools and plans must be tailored to each specific setting to consider the economic, environmental and social influences. From the testing and evaluation process, there was a strong recognition that a number of control and prevention tools previously suggested and reported in the literature from laboratory and small scale trials may not be compatible with regional and national regulations, economic constraints, social or cultural constraints, engineering or water chemistry characteristics of each facility. The options for control are summarized in the second document, Review of Control Measures for Hatcheries Infested with NZMS (Appendix A) that provides sources for additional resources and specific tools, and guidance regarding the feasibility and success of each approach. This tool also emphasizes that management plans need to be adaptive and incorporate oversight from professionals familiar with measuring risks of fish diseases, and treatments (e.g. the fish health practitioners and water quality and effluent management teams). Finally, with such a team, the adaptive management approach must be ongoing, and become a regular component of hatchery operations. Although it was the intent that this two part document would be included as part of the revised National Management and Control Plan for the NZMS proposed by the U.S. Fish and Wildlife Service (USFWS) and others, it is provided as a stand-alone document.

Cooperator Science Series↗

Contaminants in tropical island streams and their biota

Environmental contamination is problematic for tropical islands due to their typically dense human populations and competing land and water uses. The Caribbean island of Puerto Rico (USA) has a long history of anthropogenic chemical use, and its human population density is among the highest globally, providing a model environment to study contaminant impacts on tropical island stream ecosystems. Polycyclic Aromatic Hydrocarbons, historic-use chlorinated pesticides, current-use pesticides, Polychlorinated Biphenyls (PCBs), and metals (mercury, cadmium, copper, lead, nickel, zinc, and selenium) were quantified in the habitat and biota of Puerto Rico streams and assessed in relation to land-use patterns and toxicological thresholds. Water, sediment, and native fish and shrimp species were sampled in 13 rivers spanning broad watershed land-use characteristics during 2009–2010. Contrary to expectations, freshwater stream ecosystems in Puerto Rico were not severely polluted, likely due to frequent flushing flows and reduced deposition associated with recurring flood events. Notable exceptions of contamination were nickel in sediment within three agricultural watersheds (range 123–336 ppm dry weight) and organic contaminants (PCBs, organochlorine pesticides) and mercury in urban landscapes. At an urban site, PCBs i n several fish species (Mountain Mullet Agonostomus monticola [range 0.019–0.030 ppm wet weight] and American Eel Anguilla rostrata [0.019–0.031 ppm wet weight]) may pose human health hazards, with concentrations exceeding the U.S. Environmental Protection Agency (EPA) consumption limit for 1 meal/month. American Eel at the urban site also contained dieldrin (range < detection-0.024 ppm wet weight) that exceeded the EPA maximum allowable consumption limit. The Bigmouth Sleeper Gobiomorous dormitor , an important piscivorus sport fish, accumulated low levels of organic contaminants in edible muscle tissue (due to its low lipid c ontent) and may be most suitable for human consumption island-wide; only mercury at one site (an urban location) exceeded EPA's consumption limit of 3 meals/month for this species. These results comprise the first comprehensive island-wide contaminant assessment of Puerto Rico streams and biota and provide natural resource and public health agencies here and in similar tropical islands elsewhere with information needed to guide ecosystem and fisheries conservation and management and human health risk assessment.

Environmental Research↗

Improvements in the use of aquatic herbicides and establishment of future research directions

Peer-reviewed literature over the past 20 years identifies significant changes and improvements in chemical control strategies used to manage nuisance submersed vegetation. The invasive exotic plants hydrilla (Hydrilla verticillata L.f. Royle) and Eurasian watermilfoil (Myriophyllum spicatum L.) continue to spread and remain the plant species of greatest concern for aquatic resource managers at the national scale. Emerging exotic weeds of regional concern such as egeria (Egeria densa Planch.), curlyleaf pondweed (Potamogeton crispus L.), and hygrophila (Hygrophila polysperma (Roxb.) T. Anders), as well as native plants such as variable watermilfoil (Myriophyllum heterophyllum Michx), and cabomba (Cabomba caroliniana Gray) are invasive outside their home ranges. In addition, there is always the threat of new plant introductions such as African elodea (Lagarosiphon major (Ridley) Moss) or narrow-leaf anacharis (Egeria najas Planchon). The registration of the bleaching herbicide fluridone in the mid 1980s for whole-lake and large-scale management stimulated numerous lines of research involving reduction of use rates, plant selectivity, residue monitoring, and impacts on fisheries. In addition to numerous advances, the specificity of fluridone for a single plant enzyme led to the first documented case of herbicide resistance in aquatic plant management. The resistance of hydrilla to fluridone has stimulated a renewed interest by industry and others in the registration of alternative modes of action for aquatic use. These newer chemistries tend to be enzyme-specific compounds with favorable non-target toxicity profiles. Registration efforts have been facilitated by increased cooperation between key federal government agencies that have aquatic weed control and research responsibilities, and regulators within the U.S. Environmental Protection Agency (USEPA). We reviewed past and current research efforts to identify areas in need of further investigation and to establish priorities for future research directions in chemical management of submersed plants. The priorities we identified include: (A) improving methods for evaluating non-target impacts of herbicides with an emphasis on threatened and endangered species, or species of special concern; (B) improving herbicide performance in flowing-water environments, including irrigation canals; (C) screening and developing new herbicides to supplement fluridone for large-scale or whole-lake management approaches; (D) screening and developing new organic algaecides to supplement the use of copper-based compounds; (E) developing risk assessment tools to educate the public on the risks of invasive species and chemical management options; (F) increasing cooperative research with ecologists and fisheries scientists to evaluate the long-term impacts of invasive species introductions and herbicide programs on native plant assemblages, water quality, and fish populations; and (G) improving the integration of chemical control technology with other aquatic plant management disciplines. While circumstances may dictate setting new priorities or dropping current ones, the list we have generated represents our vision of the needs that will require the greatest focus over the next several years.

Conference Paper↗

Hurricane Sandy impacts on coastal wetland resilience

The goal of this research was to evaluate the impacts of Hurricane Sandy on surface elevation trends in estuarine marshes located across the northeast region of the United States from Virginia to Maine using data from an opportunistic (in other words, not strategic) and collaborative network (from here on, an opportunistic network) of surface elevation table-marker horizon (SET-MH) stations. First, we built a data-base of metadata for 965 individual stations from 96 unique geographical locations that included the location, geomorphic setting, and wetland type for each SET-MH station. The dominant estuarine settings included in the analyses were back-barrier lagoonal marshes and emergent marshes along embayments and tidal tributaries. We then calculated prestorm elevation trends to compare to poststorm elevation measurements to determine the storm impact on each station trend. We hypothesized that the effect of Hurricane Sandy on marsh elevation trends would differ by position relative to landfall (right or left) and distance from landfall in southern New Jersey, as both of these variables influence the presence or absence of storm surge as a result of the physical characteristics of tropical cyclones (in other words, strongest winds typically occur to the right of landfall). Storm surge was spatially less extensive and less deep (~1 meter [m]) in marshes located to the left (in other words, south) of landfall compared to marshes located to the right (in other words, north) of landfall where storm surge covered a larger area and was deeper (3–4 m). About 63 percent of 223 eligible stations had a poststorm trend that was similar to the prestorm trend (in other words, less than ±5 millimeters [mm]), indicating little storm impact on elevation trends at those sites. The remaining 37 percent of stations exhibited significant poststorm deviations from the prestorm trend (in other words, greater than ±5 mm). Of these, stations located to the left of landfall had a significant and greater deviation in their elevation trend, and the deviation was more likely to be positive (elevation gain) compared to marshes located to the right of landfall, which had a significant deviation in their elevation trend that was more likely to be negative (elevation loss). This finding is directly related to storm surge impacts on marsh sediment deposition, where deep storm surge (3–4 m) results in sediment deposition in habitats inland of coastal marshes but less so in the marshes themselves. Substrate compaction by the storm surge over-burden may have contributed to elevation loss, but this was not measured because sufficient marker horizon data were not available for analysis. In contrast, to the left of landfall the wind-driven flooding of sediment laden water pushed into the headwaters of rivers and small bays with an ~1 m surge, and resulted in more prevalent sediment deposition on the marsh surfaces and elevation gain. In general, the findings support previous research showing that the physical characteristics of the storm (for example, wind speed, storm surge height, impact angle of landfall) combined with the local wetland conditions (for example, marsh productivity, groundwater level, tide height) are important factors determining a storm’s impact on soil elevation, and that the soil elevation response can vary widely among multiple wetland sites impacted by the same storm and among different storms for the same wetland site. The final objective of this project was to create a framework using metadata from the opportunistic network of SET-MH stations that could be used to develop a strategic monitoring network designed to address specific climate change impacts and related phenomena identified by land managers and stakeholders. We evaluated the spatial distribution and density of SET-MH stations in relation to geographic coverage, marsh setting, availability of public land, and historical storm surge footprints and hurricane return intervals in order to identify gaps in our understanding of risk and our ability to assess it. Analyses revealed that the general geographic coverage of SET-MH stations is limited given the low percentage of marsh patches with stations, low density of stations, the clumped distribution of stations, and the often limited and uneven distribution of stations in wetlands with a high historical frequency of hurricane strikes and storm surge impacts. These findings can be used by managers and planners to inform the creation of a strategic monitoring network that can, in turn, inform management and adaptation plans for coastal resources in the region. Final plan designs will need to consider financial and infrastructural support required for station maintenance, as well as data collection and management over the long term.

Open-File Report↗