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At least 1,171 records · Page 65Linked to original sources

Thermal conductivity of hydrate-bearing sediments

A thorough understanding of the thermal conductivity of hydrate-bearing sediments is necessary for evaluating phase transformation processes that would accompany energy production from gas hydrate deposits and for estimating regional heat flow based on the observed depth to the base of the gas hydrate stability zone. The coexistence of multiple phases (gas hydrate, liquid and gas pore fill, and solid sediment grains) and their complex spatial arrangement hinder the a priori prediction of the thermal conductivity of hydrate-bearing sediments. Previous studies have been unable to capture the full parameter space covered by variations in grain size, specific surface, degree of saturation, nature of pore filling material, and effective stress for hydrate-bearing samples. Here we report on systematic measurements of the thermal conductivity of air dry, water- and tetrohydrofuran (THF)-saturated, and THF hydrate–saturated sand and clay samples at vertical effective stress of 0.05 to 1 MPa (corresponding to depths as great as 100 m below seafloor). Results reveal that the bulk thermal conductivity of the samples in every case reflects a complex interplay among particle size, effective stress, porosity, and fluid-versus-hydrate filled pore spaces. The thermal conductivity of THF hydrate–bearing soils increases upon hydrate formation although the thermal conductivities of THF solution and THF hydrate are almost the same. Several mechanisms can contribute to this effect including cryogenic suction during hydrate crystal growth and the ensuing porosity reduction in the surrounding sediment, increased mean effective stress due to hydrate formation under zero lateral strain conditions, and decreased interface thermal impedance as grain-liquid interfaces are transformed into grain-hydrate interfaces.

Journal of Geophysical Research B: Solid Earth↗

Small domes on Venus: Probable analogs of Icelandic lava shields

On the basis of observed shapes and volumetric estimates, we interpret small, dome-like features on radar images of Venus to be analogs of Icelandic lava-shield volcanoes. Using morphometric data for venusian domes in Aubele and Slyuta (in press), as well as our own measurements of representative dome volumes and areas from Tethus Regio, we demonstrate that the characteristic aspect ratios and flank slopes of these features are consistent with a subclass of low Icelandic lava-shield volcanoes (LILS ). LILS are slightly convex in cross-section with typical flank slopes of ∼3°. Plausible lava-shield-production rates for the venusian plains suggest formation of ∼53 million shields over the past 0.25 Ga. The cumulative global volume of lava that would be associated with this predicted number of lava shields is only a factor of 3–4 times that of a single oceanic composite shield volcano such as Mauna Loa. The global volume of all venusian lava shields in the 0.5–20-km size range would only contribute a meter of resurfacing over geologically significant time scales. Thus, venusian analogs to LILS may represent the most abundant landform on the globally dominant plains of Venus, but would be insignificant with regard to the global volume of lava extruded. As in Iceland, associated lavas from fissure eruptions probably dominate plains volcanism and should be evident on the higher resolution Magellan radar images.

Geophysical Research Letters↗

Effects of harvest and climate on population dynamics of northern bobwhites in south Florida

Context: Hunting-related (hereafter harvest) mortality is assumed to be compensatory in many exploited species. However, when harvest mortality is additive, hunting can lead to population declines, especially on public land where hunting pressure can be intense. Recent studies indicate that excessive hunting may have contributed to the decline of a northern bobwhite ( Colinus virginianus ) population in south Florida. Aims: This study aimed to estimate population growth rates to determine potential and actual contribution of vital rates to annual changes in population growth rates, and to evaluate the role of harvest and climatic variables on bobwhite population decline. Methods: We used demographic parameters estimated from a six-year study to parameterise population matrix models and conduct prospective and retrospective perturbation analyses. Key results: The stochastic population growth rate (λ S = 0.144) was proportionally more sensitive to adult winter survival and survival of fledglings, nests and broods from first nesting attempts; the same variables were primarily responsible for annual changes in population growth rate. Demographic parameters associated with second nesting attempts made virtually no contribution to population growth rate. All harvest scenarios consistently revealed a substantial impact of harvest on bobwhite population dynamics. If the lowest harvest level recorded in the study period (i.e. 0.08 birds harvested per day per km 2 in 2008) was applied, λ S would increase by 32.1%. Winter temperatures and precipitation negatively affected winter survival, and precipitation acted synergistically with harvest in affecting winter survival. Conclusions: Our results suggest that reduction in winter survival due to overharvest has been an important cause of the decline in our study population, but that climatic factors might have also played a role. Thus, for management actions to be effective, assessing the contribution of primary (e.g. harvesting) but also secondary factors (e.g. climate) to population decline may be necessary. Implications: Reducing hunting pressure would be necessary for the recovery of the bobwhite population at our study site. In addition, an adaptive harvest management strategy that considers weather conditions in setting harvest quota would help reverse the population decline further.

Florida↗

Evolutionary history predicts high-impact invasions by herbivorous insects

A long‐standing goal of invasion biology is to identify factors driving highly variable impacts of non‐native species. Although hypotheses exist that emphasize the role of evolutionary history (e.g., enemy release hypothesis & defense‐free space hypothesis), predicting the impact of non‐native herbivorous insects has eluded scientists for over a century. Using a census of all 58 non‐native conifer‐specialist insects in North America, we quantified the contribution of over 25 factors that could affect the impact they have on their novel hosts, including insect traits (fecundity, voltinism, native range, etc.), host traits (shade tolerance, growth rate, wood density, etc.), and evolutionary relationships (between native and novel hosts and insects). We discovered that divergence times between native and novel hosts, the shade and drought tolerance of the novel host, and the presence of a coevolved congener on a shared host, were more predictive of impact than the traits of the invading insect. These factors built upon each other to strengthen our ability to predict the risk of a non‐native insect becoming invasive. This research is the first to empirically support historically assumed hypotheses about the importance of evolutionary history as a major driver of impact of non‐native herbivorous insects. Our novel, integrated model predicts whether a non‐native insect not yet present in North America will have a one in 6.5 to a one in 2,858 chance of causing widespread mortality of a conifer species if established (R2 = 0.91) Synthesis and applications. With this advancement, the risk to other conifer host species and regions can be assessed, and regulatory and pest management efforts can be more efficiently prioritized.

Ecology and Evolution↗

Evidence for the importance of invasive Dreissena veligers as a novel prey item for larval fish in Lake Huron

The establishment of invasive dreissenid mussels Dreissena polymorpha and Dreissena rostriformis bugensis in the Laurentian Great Lakes has affected multiple aspects of the ecosystem. However, the effects of their larvae (veligers) on lower trophic levels are relatively unknown. Previous research has documented that some larval fishes consume veligers, but it is unclear if they select for veligers. To assess the role of veligers in larval fish diets in Lake Huron, we examined the diets of larval burbot Lota lota , rainbow smelt Osmerus mordax , and Coregonus spp., mainly bloater Coregonus hoyi , sampled in July of 2017. Preference for available zooplankton prey was evaluated using Vanderploeg and Scavia’s E*. Results indicated that veligers were on average avoided by large larval burbot, rainbow smelt, and coregonines but were sometimes preferred by small (< 7 mm) and medium-sized (7–10 mm) larval burbot. A mixed model analyzing factors contributing to veliger preference by larval burbot indicated that greater environmental zooplankton prey size is associated with more positive preference for veligers. Thus, veligers may be important for gape-limited larval fish. We also found that, on average, larval burbot and coregonines consumed larger veligers than those sampled in the environment. Overall, consideration of larval fishes’ ability to exploit veligers could help managers to understand the role of dreissenid mussels in Great Lakes food webs.

Lake Huron↗

Operational forecasts of wave-driven water levels and coastal hazards for US Gulf and Atlantic coasts

Predictions of total water levels, the elevation of combined tides, surge, and wave runup at the shoreline, are necessary to provide guidance on potential coastal erosion and flooding. Despite the importance of early warning systems for these hazards, existing real-time meteorological and oceanographic forecast systems at regional and national scales, until now, have lacked estimates of runup necessary to predict wave-driven overwash and erosion. To address this need, we present an approach that includes wave runup in an operational, national-scale modeling system. Using this system, we quantify the contribution of waves to potential dune erosion events along 4,700 km of U.S. Atlantic and Gulf of Mexico sandy coastlines for a one-year period. Dune erosion events were predicted to occur at over 80% of coastal locations, where waves dominated shoreline total water levels, representing 73% of the signal. This shows that models that neglect the wave component underestimate the hazard. This new, national-scale operational modeling system provides communities with timely, local-scale (0.5 km resolution) coastal hazard warnings for all wave conditions, allowing for rapid decision-making related to safety and emergency management. The modeling system also enables continued research into wave-driven processes at a broad range of coastal areas.

Atlantic Ocean, Gulf of Mexico↗

Characterizing submarine ground‐water discharge using fiber‐optic distributed temperature sensing and marine electrical resistivity

Submarine ground‐water discharge (SGD) contributes important solute fluxes to coastal waters. Pollutants are transported to coastal ecosystems by SGD at spatially and temporally variable rates. New approaches are needed to characterize the effects of storm‐event, tidal, and seasonal forcing on SGD. Here, we evaluate the utility of two geophysical methods‐fiber‐optic distributed temperature sensing (FO‐DTS) and marine electrical resistivity (MER)—for observing the spatial and temporal variations in SGD and the configuration of the freshwater/saltwater interface within submarine sediments. FO‐DTS and MER cables were permanently installed into the estuary floor on a transect extending 50 meters offshore under Waquoit Bay, Massachusetts, at the Waquoit Bay National Estuarine Research Reserve, and nearly continuous data were collected for 4 weeks in summer 2007. Initial results indicate that the methods are extremely useful for monitoring changes in the complex estuarine environment. The FO‐DTS produced time‐series data at approximately 1‐meter increments along the length of the fiber at approximately 29‐second intervals. The temperature time‐series data show that the temperature at near‐shore locations appears to be dominated by a semi‐diurnal (tidal) signal, whereas the temperature at off‐shore locations is dominated by a diurnal signal (day/night heating and cooling). Dipole‐dipole MER surveys were completed about every 50 minutes, allowing for production of high‐resolution time‐lapse tomograms, which provide insight into the variations of the subsurface freshwater/saltwater interface. Preliminary results from the MER data show a high‐resistivity zone near the shore at low tide, indicative of SGD, and consistent with the FO‐DTS results.

Conference Paper↗

Cost implications of uncertainty in CO 2 storage resource estimates: A review

Carbon capture from stationary sources and geologic storage of carbon dioxide (CO 2 ) is an important option to include in strategies to mitigate greenhouse gas emissions. However, the potential costs of commercial-scale CO 2 storage are not well constrained, stemming from the inherent uncertainty in storage resource estimates coupled with a lack of detailed estimates of the infrastructure needed to access those resources. Storage resource estimates are highly dependent on storage efficiency values or storage coefficients, which are calculated based on ranges of uncertain geological and physical reservoir parameters. If dynamic factors (such as variability in storage efficiencies, pressure interference, and acceptable injection rates over time), reservoir pressure limitations, boundaries on migration of CO 2 , consideration of closed or semi-closed saline reservoir systems, and other possible constraints on the technically accessible CO 2 storage resource (TASR) are accounted for, it is likely that only a fraction of the TASR could be available without incurring significant additional costs. Although storage resource estimates typically assume that any issues with pressure buildup due to CO 2 injection will be mitigated by reservoir pressure management, estimates of the costs of CO 2 storage generally do not include the costs of active pressure management. Production of saline waters (brines) could be essential to increasing the dynamic storage capacity of most reservoirs, but including the costs of this critical method of reservoir pressure management could increase current estimates of the costs of CO 2 storage by two times, or more. Even without considering the implications for reservoir pressure management, geologic uncertainty can significantly impact CO 2 storage capacities and costs, and contribute to uncertainty in carbon capture and storage (CCS) systems. Given the current state of available information and the scarcity of (data from) long-term commercial-scale CO 2 storage projects, decision makers may experience considerable difficulty in ascertaining the realistic potential, the likely costs, and the most beneficial pattern of deployment of CCS as an option to reduce CO 2 concentrations in the atmosphere.

Natural Resources Research↗

More on noble gases in Yellowstone National Park hot waters

Water and gas samples from research wells in hydrothermal areas of Yellowstone National Park, U.S.A., have been mass spectrometrically analyzed for their rare gas contents and isotopic composition. In agreement with previous findings, the rare gases have been found to originate from infiltrating run-off water, saturated with air at 10 to 20°C. The atmospheric rare gas retention values found for the water varied between 3 and 87 per cent. The fine structure of the Ar, Kr and Xe abundance pattern in the water reveals fraotionational enrichment of the heavier gases due to partial outgassing of the waters. Radiogenic He and Ar have been detected. No positive evidence for magmatic water contribution has been found. Nevertheless, additions of magmatic waters free of rare gas can not be excluded, but if present the proportion is significantly less than 13 to 36 per cent.

Wyoming↗

The principal rare earth elements deposits of the United States: A summary of domestic deposits and a global perspective

The rare earth elements (REE) are fifteen elements with atomic numbers 57 through 71, from lanthanum to lutetium ('lanthanides'), plus yttrium (39), which is chemically similar to the lanthanide elements and thus typically included with the rare earth elements. Although industrial demand for these elements is relatively small in tonnage terms, they are essential for a diverse and expanding array of high-technology applications. REE-containing magnets, metal alloys for batteries and light-weight structures, and phosphors are essential for many current and emerging alternative energy technologies, such as electric vehicles, energy-efficient lighting, and wind power. REE are also critical for a number of key defense systems and other advanced materials. Section 843 of the National Defense Authorization Act for Fiscal Year 2010, Public Law 111-84, directs the Comptroller General to complete a report on REE materials in the defense supply chain. The Office of Industrial Policy, in collaboration with other U.S. Government agencies, has initiated (in addition to this report) a detailed study of REE. This latter study will assess the Department of Defense's use of REE, as well as the status and security of domestic and global supply chains. That study will also address vulnerabilities in the supply chain and recommend ways to mitigate any potential risks of supply disruption. To help conduct this study, the Office of Industrial Policy asked the U.S. Geological Survey (USGS) to report on domestic REE reserves and resources in a global context. To this end, the enclosed report is the initial USGS contribution to assessing and summarizing the domestic REE resources in a global perspective. In 2009, the Mineral Resources Program of the USGS organized a new project under the title Minerals at Risk and For Emerging Technologies in order to evaluate mineral resource and supply issues of rare metals that are of increasing importance to the national economy. Leaders and members of this project, with the assistance of the USGS National Minerals Information Center, prepared the enclosed USGS report on domestic REE resources. The USGS Mineral Resources Program has investigated domestic and selected foreign REE resources for many decades, and this report summarizes what has been learned from this research. The USGS National Minerals Information Center (formerly Minerals Information Team) has monitored global production, trade, and resources for an equally long period and is the principal source of statistics used in this report. The objective of this study is to provide a nontechnical overview of domestic reserves and resources of REE and possibilities for utilizing those resources. At the present time, the United States obtains its REE raw materials from foreign sources, almost exclusively from China. Import dependence upon a single country raises serious issues of supply security. In a global context, domestic REE resources are modest and of uncertain value; hence, available resources in traditional trading partners (such as Canada and Australia) are of great interest for diversifying sources of supply. This report restates basic geologic facts about REE relevant to assessing security of supply, followed by a review of current United States consumption and imports of REE, current knowledge of domestic resources, and possibilities for future domestic production. Further detail follows in a deposit-by-deposit review of the most significant domestic REE deposits (see index map). Necessary steps to develop domestic resources are discussed in a separate section, leading into a review of current domestic exploration and a discussion of the value of a future national mineral resource assessment of REE. The report also includes an overview of known global REE resources and discusses the reliability of alternative foreign sources of REE.

Scientific Investigations Report↗

Acute and chronic sensitivity of white sturgeon ( Acipenser transmontanus ) and rainbow trout ( Oncorhynchus mykiss ) to cadmium, copper, lead, or zinc in laboratory water-only exposures

White sturgeon (Acipenser transmontanus) are experiencing poor recruitment in the trans boundary reach of the upper Columbia River in eastern Washington State. Limited toxicity data indicated that early life stages of white sturgeon are sensitive to metals. In acute 4-day (d) exposures with larval white sturgeon, previous studies have reported that the 4-day median lethal concentrations (LC50) based on biotic ligand model (BLM) normalization for copper were below the U.S. Environmental Protection Agency national recommended acute water-quality criterion. In previously published chronic 66-d exposures starting with newly fertilized eggs of white sturgeon, 20-percent lethal effect concentrations (LC20s) for copper, cadmium, or zinc generally were within a factor of two of the chronic values of the most sensitive fish species in the databases of the U.S. Environmental Protection Agency water-quality criteria (WQC) for the three metals. However, there were some uncertainties in the chronic exposures previously performed with white sturgeon, including (1) low control survival (37 percent), (2) more control fish tested in each replicate compared to other treatments, (3) limited replication of treatments (n=2), (4) lack of reported growth data (such as dry weight), and (5) wide dilution factors for exposure concentrations (6- to 8-fold dilutions). The U.S. Environmental Protection Agency concluded that additional studies are needed to generate more toxicity data to better define lethal and sublethal toxicity thresholds for metals for white sturgeon. The objective of the study was to further evaluate the acute and chronic toxicity of cadmium, copper, lead, or zinc to early life stages of white sturgeon in water-only exposures. Toxicity tests also were performed with commonly tested rainbow trout (Oncorhynchus mykiss) under similar test conditions to determine the relative sensitivity between white sturgeon and rainbow trout to these metals. Toxicity data generated from this study were used to evaluate the sensitivity of early life stages of white sturgeon and rainbow trout relative to data published for other test organisms. Toxicity data generated from this study also were used to evaluate the level of protection of U.S. Environmental Protection Agency WQC or Washington State water-quality standards (WQS) for copper, zinc, cadmium, or lead to white sturgeon inhabiting the upper Columbia River. Chapter A of this report summarizes the results of acute toxicity tests performed for 4 d with white sturgeon and rainbow trout exposed to copper, cadmium, or zinc. Chapter B of this report summarizes the results of chronic toxicity tests performed for as many as 53 days with white sturgeon or rainbow trout exposed to copper, cadmium, zinc, or lead. Appendixes to the report are available at http://pubs.usgs.gov/sir/2013/5204 . Supporting documentation for chapter A toxicity testing is provided in appendix 1. Supporting documentation for chapter B toxicity testing is provided in Appendix 2. Supporting documentation on analysis of water chemistry for chapter A and chapter B is provided in appendix 3 and 4. The rationale for applying corrections to measured copper and zinc values in water samples from some of the toxicity tests performed in chapter A is provided in appendix 5. A summary of dissolved organic carbon measurement variability and implications for biotic ligand model normalization for toxicity data summarized in chapter A and chapter B are provided in appendix 6. An evaluation of an interlaboratory comparison of analyses for dissolved organic carbon in water from the U.S. Geological Survey Columbia Environmental Research Center and University of Saskatchewan is provided in appendix 7. Finally, appendix 8 provides a summary of retesting of white sturgeon in 2012 to determine if improved survival of sturgeon would affect copper effect concentrations in 24-d copper exposures started with newly hatched larvae, and to evaluate the effect of light intensity or temperature on the response of newly hatched larvae during a 25-d study.

Scientific Investigations Report↗

Current research issues related to post-wildfire runoff and erosion processes

Research into post-wildfire effects began in the United States more than 70 years ago and only later extended to other parts of the world. Post-wildfire responses are typically transient, episodic, variable in space and time, dependent on thresholds, and involve multiple processes measured by different methods. These characteristics tend to hinder research progress, but the large empirical knowledge base amassed in different regions of the world suggests that it should now be possible to synthesize the data and make a substantial improvement in the understanding of post-wildfire runoff and erosion response. Thus, it is important to identify and prioritize the research issues related to post-wildfire runoff and erosion. Priority research issues are the need to: (1) organize and synthesize similarities and differences in post-wildfire responses between different fire-prone regions of the world in order to determine common patterns and generalities that can explain cause and effect relations; (2) identify and quantify functional relations between metrics of fire effects and soil hydraulic properties that will better represent the dynamic and transient conditions after a wildfire; (3) determine the interaction between burned landscapes and temporally and spatially variable meso-scale precipitation, which is often the primary driver of post-wildfire runoff and erosion responses; (4) determine functional relations between precipitation, basin morphology, runoff connectivity, contributing area, surface roughness, depression storage, and soil characteristics required to predict the timing, magnitudes, and duration of floods and debris flows from ungaged burned basins; and (5) develop standard measurement methods that will ensure the collection of uniform and comparable runoff and erosion data. Resolution of these issues will help to improve conceptual and computer models of post-wildfire runoff and erosion processes.

Earth-Science Reviews↗

Estimating wetland connectivity to streams in the Prairie Pothole Region: An isotopic and remote sensing approach

Understanding hydrologic connectivity between wetlands and perennial streams is critical to understanding the reliance of stream flow on inputs from wetlands. We used the isotopic evaporation signal in water and remote sensing to examine wetland‐stream hydrologic connectivity within the Pipestem Creek watershed, North Dakota, a watershed dominated by prairie‐pothole wetlands. Pipestem Creek exhibited an evaporated‐water signal that had approximately half the isotopic‐enrichment signal found in most evaporatively enriched prairie‐pothole wetlands. Groundwater adjacent to Pipestem Creek had isotopic values that indicated recharge from winter precipitation and had no significant evaporative enrichment, indicating that enriched surface water did not contribute significantly to groundwater discharging into Pipestem Creek. The estimated surface water area necessary to generate the evaporation signal within Pipestem Creek was highly dynamic, varied primarily with the amount of discharge, and was typically greater than the immediate Pipestem Creek surface water area, indicating that surficial flow from wetlands contributed to stream flow throughout the summer. We propose a dynamic range of spilling thresholds for prairie‐pothole wetlands across the watershed allowing for wetland inputs even during low‐flow periods. Combining Landsat estimates with the isotopic approach allowed determination of potential (Landsat) and actual (isotope) contributing areas in wetland‐dominated systems. This combined approach can give insights into the changes in location and magnitude of surface water and groundwater pathways over time. This approach can be used in other areas where evaporation from wetlands results in a sufficient evaporative isotopic signal.

North Dakota↗

Interactions between hyporheic flow produced by stream meanders, bars, and dunes

Stream channel morphology from grain-scale roughness to large meanders drives hyporheic exchange flow. In practice, it is difficult to model hyporheic flow over the wide spectrum of topographic features typically found in rivers. As a result, many studies only characterize isolated exchange processes at a single spatial scale. In this work, we simulated hyporheic flows induced by a range of geomorphic features including meanders, bars and dunes in sand bed streams. Twenty cases were examined with 5 degrees of river meandering. Each meandering river model was run initially without any small topographic features. Models were run again after superimposing only bars and then only dunes, and then run a final time after including all scales of topographic features. This allowed us to investigate the relative importance and interactions between flows induced by different scales of topography. We found that dunes typically contributed more to hyporheic exchange than bars and meanders. Furthermore, our simulations show that the volume of water exchanged and the distributions of hyporheic residence times resulting from various scales of topographic features are close to, but not linearly additive. These findings can potentially be used to develop scaling laws for hyporheic flow that can be widely applied in streams and rivers.

Water Resources Research↗

Ancient Martian aeolian sand dune deposits recorded in the stratigraphy of Valles Marineris and implications for past climates

Aeolian sediment transport, deposition, and erosion have been ongoing throughout Mars's history. This record of widespread aeolian processes is preserved in landforms and geologic units that retain important clues about past environmental conditions including wind patterns. In this study we describe landforms within Melas Chasma, Valles Marineris, that occur in distinct groups with linear to crescentic shapes, arranged with a characteristic wavelength; some possess slope profiles analogous to modern sand dunes yet show evidence for lithification. Based on the features' dimensions, asymmetry, and spatial patterns relative to modern equivalents, we interpret these landforms to be two classes of aeolian bedforms: decameter‐scale megaripples and sand dunes. The presence of superposed erosional features and depositional units indicates that these landforms were cemented and likely ancient. Melas paleodunes are found atop Hesperian‐aged layered deposits, but we estimate them to be younger, likely lithified in the Amazonian period. Although a range of degradation was observed, some paleodunes are >10 m tall and maintain steep lee sides (>25°), an uncommon scenario for terrestrial examples as other geologic processes lead to dune obliteration. The preserved paleobedform geometries are largely consistent with those of modern aeolian indicators, suggesting no major shifts in wind regime or contributing boundary conditions. Finally, we propose that their appearance and context require sequential periods of dune migration, stabilization following catastrophic burial, cementation, differential erosion, exposure, and burial. The presence of wholly preserved duneforms appears to be more common on Mars compared to the Earth and may signal something important about Martian landscape evolution.

Journal of Geophysical Research: Planets↗

The Landscape Data Commons: A system for standardizing, accessing, and applying large environmental datasets for agroecosystem research and management

Understanding where, when, and why agroecosystems are changing requires quality information about ecosystems that span land tenure, ecological processes, and spatial scales. Over the past two decades, land management agencies and research groups have adopted a suite of standardized methods for monitoring rangelands, which have been implemented at over 85,000 monitoring locations globally. However, the ability to use these data to understand agroecosystem dynamics and change across scales and across land ownership has been limited because, until now, these data have not been available in a harmonized, accessible format for analyses, modeling, and decision-support tools. We present the Landscape Data Commons, a cyberinfrastructure platform that harmonizes and aggregates standardized agroecosystem data, enables linkages to models, and facilitates analysis and interpretation of data within decision-support tools. The Landscape Data Commons provides a community platform for users to contribute data and develop next-generation tools to support agroecosystem management through the 21st century.

Agricultural & Environmental Letters↗

Report of the committee on underground‐water, 1933–34

The by‐laws adopted at the meeting of the Section of Hydrology in 1933 provided that the membership of research committees should be reconstituted every three years. There have, accordingly, been some changes in the membership of the Committee on Underground ‐ Water . Certain members have retired because of pressure of other duties or because they are no longer actively engaged in ground‐ water work. Dr. O. E. Meinzer, who retired as Chairman of the Section of Hydrology, has agreed to serve on the Committee , and probably two or three other men will be appointed to make contact with special phases of the field covered by the Committee . It is with regret that the Chairman reports the loss to the Committee by the death of A. F. Melcher, who had contributed much to the science of ground‐ water hydrology by his studies on permeability and absorption of sedimentary formations for water , oil, and gas. ©19 34

Eos, Transactions, American Geophysical Union↗

Restoration for resilience: The role of plant-microbial interactions and seed provenance in ecological restoration

With global efforts to restore grassland ecosystems, researchers and land management practitioners are working to reconstruct habitat that will persist and withstand stresses associated with climate change. Part of these efforts involve movement of plant material potentially adapted to future climate conditions from native habitat or seed production locations to a new restoration site. Restoration practice often follows this plant-centered, top-down approach. However, we suggest that restoration of belowground interactions, namely between plants and arbuscular mycorrhizal fungi or rhizobia, is important for restoring resilient grasslands. In this synthesis we highlight these interactions and offer insight into how their restoration might be included in current grassland restoration practice. Ultimately, restoration of belowground interactions may contribute to grassland habitat that can withstand and respond to future climate uncertainties.

Natural Areas Journal↗