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Environmental conditions influencing the abundance of the salmonid ectoparasite Salmincola californiensis across upper Willamette River Reservoirs, Oregon

The freshwater copepod Salmincola californiensis is an ectoparasite of Pacific salmon and trout ( Oncorhynchus spp.). High levels of infection by this parasite can significantly damage gills and result in blood loss, affecting the fitness and survival of hosts, and it may hinder recovery efforts of threatened and endangered salmonids. Juvenile salmonids that rear in reservoirs have been reported to experience higher rates of infection than their stream-dwelling counterparts. To date, the relationship between reservoir environmental conditions and infection rates remains poorly understood. Here, we evaluated sampling methods designed to capture S. californiensis copepodids, the free-swimming infectious life stage of this parasitic copepod, and develop predictive models of parasite abundance in reservoirs . We used light traps to collect 675 zooplankton samples from various sites and depths in Cougar, Lookout Point, and Fall Creek reservoirs, Oregon, USA during five months in 2020. We tested several predictive models of parasite abundance using environmental covariates obtained concurrently during plankton surveys ( e.g. , temperature, ambient light and water clarity, reservoir plankton profiles, and water flow). Our models showed a strong influence of water temperature on abundance of copepodids, with maximum initial abundance occurring at the mean water temperature 15.2 °C. At that temperature, August abundance was estimated to be 58.6 copepodids per site in Cougar Reservoir, 43.8 copepodids per site in Fall Creek Reservoir, and 3.5 copepodids per site in Lookout Point Reservoir. Water temperature and reservoir outflow both affected population growth of copepodids: increased water temperature was associated with an increase in population growth rate while an increased reservoir outflow was associated with a decrease in population growth rate. The efficacy of our sampling method was influenced by percent of moon fullness, whether the sample site was above or below the thermocline, water temperature, and number of juvenile sculpin fishes ( Cottus spp.) captured in the trap. The mean probability of detecting a single copepodid if one was present was 0.042, but detection probability increased to 0.29 under ideal trap set conditions of warmer water, location above the thermocline, and a full moon. Biologists and managers could use these methods to assess the presence and abundance of S. californiensis in other locations, or to inform reservoir operations to reduce potential salmonid infections.

Oregon↗

Chapter 3: Changes to the Wyoming Basins landscape from oil and natural gas development

Oil and natural gas have been produced in Wyoming since the late 1800s although the rate of extraction has increased substantially in the last two decades. Well pads, roads, and infrastructure built to support resource development alter native vegetation configuration; however, the rate and effect of land cover change resulting from oil and gas extraction has not been quantified across the region. We used a Geographic Information System (GIS) to model development through time and assess change to native vegetation at two spatial extents (field and subbasin) within the Wyoming portion of the Wyoming Basins Ecoregional Assessment (WBEA) area. Since 1900, a minimum of 1,703 km 2 of native vegetation in the WBEA area has been replaced by well pads or roads. Shrublands were, and continue to be, the dominant land cover class and the cover type most affected by oil and gas extraction. Average shrubland patch size has decreased by approximately 10% at the subbasin extent in the WBEA. Core area (≥60 m from edge) size declined by 13% as road development fragmented formerly continuous patches. To date, the majority of land cover change has occurred in formally identified oil and gas fields, which cover about 1% of the WBEA in Wyoming. Approximately 7.5% of shrubland within oil and gas fields has been converted to well pad or a road supporting a well, and shrubland patch size has declined by 45%. Resource reserves, especially natural gas, have been identified outside traditional fields, and development will likely expand as resource development becomes more cost-effective. Revegetation guidelines are in place for development areas addressed by Environmental Impact Assessments although no quantitative data are available to assess how well restoration efforts are restoring landscapes and connecting fragments.

Wyoming↗

Drought survival strategies differ between coastal and montane conifers in northern California

Increasingly severe and prolonged droughts are contributing to tree stress and forest mortality across western North America. However, in many cases, we currently have poor information concerning how drought responses in forests vary in relation to competition, climate, and site and tree characteristics. We used annual tree ring evidence of 13 C discrimination (Δ 13 C) and growth metrics to assess drought resistance and resilience for six conifer species at the intersection of several bioregions in northern California. Within each species' range in northern California, we collected competition and tree characteristics from 270 focal trees across sites that varied from wetter to drier habitat conditions (54 sites). Across sites, all six conifer species weathered the severe 2013–2015 drought with reasonably high resistance and post-drought resilience. However, we found important differences in drought responses between coastal and montane species based on annual growth and Δ 13 C metrics. Broadly, the two coastal species showed consistent declines in drought resistance across successive drought years, whereas the four montane species maintained high drought resistance across drought years. More specifically, we found lower Δ 13 C and growth during drought years in coastal species, suggesting stomatal closure during drought with the potential for vulnerability to carbon depletion during long-term drought. Conversely, Δ 13 C and growth were stable in montane species throughout the drought, which may contribute to hydraulic failure under increased drought frequency and/or severity. We also evaluated environmental factors that affect Δ 13 C using data from before and during the drought. These physiological models were consistent for the two coastal species, with a positive relationship between annual precipitation and Δ 13 C and a negative relationship between tree density and Δ 13 C. Conversely, the four montane models illustrated a greater importance of site conditions on drought responses for these species. Our findings show differential risk for drought stress across diverse conifers during severe drought. This work highlights the importance of site and tree characteristics in determining drought responses across cool, annually humid coastal habitats to seasonally dry montane habitats.

California↗

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 ‘C-only’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–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 ‘Nitrogen Cycle Workshop’ at Dartington Hall, Devon, UK was held on 1–5 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 ‘Earth system Model Bias Reduction and assessing Abrupt Climate change’ (EMBRACE). We gathered empirical ecologists and ecosystem modellers to identify key uncertainties in terrestrial C–N cycling, and to discuss processes that are missing or poorly represented in current models.

New Phytologist↗

Carbon dioxide enhanced oil recovery performance according to the literature

Introduction The need to increase the efficiency of oil recovery and environmental concerns are bringing to prominence the use of carbon dioxide (CO 2 ) as a tertiary recovery agent. Assessment of the impact of flooding with CO 2 all eligible reservoirs in the United States not yet undergoing enhanced oil recovery (EOR) requires making the best possible use of the experience gained in 40 years of applications. Review of the publicly available literature has located relevant CO 2 -EOR information for 53 units (fields, reservoirs, pilot areas) in the United States and 17 abroad. As the world simultaneously faces an increasing concentration of CO 2 in the atmosphere and a higher demand for fossil fuels, the CO 2 -EOR process continues to gain popularity for its efficiency as a tertiary recovery agent and for the potential for having some CO 2 trapped in the subsurface as an unintended consequence of the enhanced production (Advanced Resources International and Melzer Consulting, 2009). More extensive application of CO 2 -EOR worldwide, however, is not making it significantly easier to predict the exact outcome of the CO 2 flooding in new reservoirs. The standard approach to examine and manage risks is to analyze the intended target by conducting laboratory work, running simulation models, and, finally, gaining field experience with a pilot test. This approach, though, is not always possible. For example, assessment of the potential of CO 2 -EOR at the national level in a vast country such as the United States requires making forecasts based on information already available. Although many studies are proprietary, the published literature has provided reviews of CO 2 -EOR projects. Yet, there is always interest in updating reports and analyzing the information under new perspectives. Brock and Bryan (1989) described results obtained during the earlier days of CO 2 -EOR from 1972 to 1987. Most of the recovery predictions, however, were based on intended injections of 30 percent the size of the reservoir’s hydrocarbon pore volume (HCPV), and the predictions in most cases badly missed the actual recoveries because of the embryonic state of tertiary recovery in general and CO 2 flooding in particular at the time. Brock and Bryan (1989), for example, reported for the Weber Sandstone in the Rangely oil field in Colorado, an expected recovery of 7.5 percent of the original oil in place (OOIP) after injecting a volume of CO 2 equivalent to 30 percent of the HCPV, but Clark (2012) reported that after injecting a volume of CO 2 equivalent to 46 percent of the HCPV, the actual recovery was 4.8 percent of the OOIP. Decades later, the numbers by Brock and Bryan (1989) continue to be cited as part of expanded reviews, such as the one by Kuuskraa and Koperna (2006). Other comprehensive reviews including recovery factors are those of Christensen and others (2001) and Lake and Walsh (2008). The Oil and Gas Journal (O&GJ) periodically reports on active CO 2 -EOR operations worldwide, but those releases do not include recovery factors. The monograph by Jarrell and others (2002) remains the most technically comprehensive publication on CO 2 flooding, but it does not cover recovery factors either. This chapter is a review of the literature found in a search for information about CO 2 -EOR. It has been prepared as part of a project by the U.S. Geological Survey (USGS) to assess the incremental oil production that would be technically feasible by CO 2 flooding of all suitable oil reservoirs in the country not yet undergoing tertiary recovery.

Scientific Investigations Report↗

Tracking acid mine-drainage in Southeast Arizona using GIS and sediment delivery models

This study investigates the application of models traditionally used to estimate erosion and sediment deposition to assess the potential risk of water quality impairment resulting from metal-bearing materials related to mining and mineralization. An integrated watershed analysis using Geographic Information Systems (GIS) based tools was undertaken to examine erosion and sediment transport characteristics within the watersheds. Estimates of stream deposits of sediment from mine tailings were related to the chemistry of surface water to assess the effectiveness of the methodology to assess the risk of acid mine-drainage being dispersed downstream of abandoned tailings and waste rock piles. A watershed analysis was preformed in the Patagonia Mountains in southeastern Arizona which has seen substantial mining and where recent water quality samples have reported acidic surface waters. This research demonstrates an improvement of the ability to predict streams that are likely to have severely degraded water quality as a result of past mining activities. ?? Springer Science+Business Media B.V. 2007.

Environmental Monitoring and Assessment↗

Net Ecosystem Production (NEP) of the Great Plains, United States

Gross primary production (GPP) and ecosystem respiration (Re) are the fundamental environmental characteristics that promote carbon exchanges with the atmosphere (Chapin and others, 2009), although other exchanges of carbon, such as direct oxidation (Lovett and others, 2006), can modify net ecosystem production (NEP). The accumulation of carbon in terrestrial ecosystems results in systems in which soil organic matter (SOM) carbon often exceeds biomass carbon (Post and Kwon, 2000). This SOM pool exists at a steady state between GPP and Re in ecosystems unless drivers change or the ecosystem endures environmental perturbations (for example, climatic). As indicated by Wilhelm and others (2011), conversion of grasslands to agriculture and cultivation can result in reduced soil carbon, with the release of carbon dioxide (CO 2 ) to the atmosphere by stimulated oxidation and higher Re; therefore, land-use and land management practices have clear effects on NEP, with potential repercussions on ecosystems. The recent demand for biofuels has changed land-use and cropping patterns, especially in Midwestern United States (Wilhelm and others, 2011). It is important to ensure the sustainability of these and other land uses and to assess the effects on NEP. Flux tower networks, such as AmeriFlux and FLUXNET, consist of a growing number of eddy covariance flux tower sites that provide a synoptic record of the exchange of carbon, water, and energy between the ecosystem and atmosphere at various temporal frequencies. These towers also detect and measure certain site characteristics, such as wind, temperature, precipitation, humidity, atmospheric pressure, soil features, and phenological progressions. Efforts are continuous to combine flux tower network data with remote sensing data to upscale the conditions observed at specific sites to a regional and, ultimately, worldwide scale. Data-driven regression tree models have the ability to incorporate flux tower records and remote sensing data to quantify exchanges of carbon with the atmosphere (Wylie and others, 2007; Xiao and others, 2010; Zhang and others, 2010; Zhang and others, 2011). Previous study results demonstrated the dramatic effect weather has on NEP and revealed specific ecoregions and times acting as carbon sinks or sources. As of 2012, more than 100 site-years of flux tower measurements, represented by more than 50 individual cropland or grassland sites throughout the Great Plains and surrounding area, have been acquired, quality controlled, and partitioned into gross photosynthesis (Pg) and ecosystem Re using detailed light-response, soil temperature, and vapor pressure deficit (VPD) based analysis.

Great Plains↗

Water-quality variability and constituent transport and processes in streams of Johnson County, Kansas, using continuous monitoring and regression models, 2003-11

The population of Johnson County, Kansas increased by about 24 percent between 2000 and 2012, making it one of the most rapidly developing areas of Kansas. The U.S. Geological Survey, in cooperation with the Johnson County Stormwater Management Program, began a comprehensive study of Johnson County streams in 2002 to evaluate and monitor changes in stream quality. The purpose of this report is to describe water-quality variability and constituent transport for streams representing the five largest watersheds in Johnson County, Kansas during 2003 through 2011. The watersheds ranged in urban development from 98.3 percent urban (Indian Creek) to 16.7 percent urban (Kill Creek). Water-quality conditions are quantified among the watersheds of similar size (50.1 square miles to 65.7 square miles) using continuous, in-stream measurements, and using regression models developed from continuous and discrete data. These data are used to quantify variability in concentrations and loads during changing streamflow and seasonal conditions, describe differences among sites, and assess water quality relative to water-quality standards and stream management goals. Water quality varied relative to streamflow conditions, urbanization in the upstream watershed, and contributions from wastewater treatment facilities and storm runoff. Generally, as percent impervious surface (a measure of urbanization) increased, streamflow yield increased. Water temperature of Indian Creek, the most urban site which is also downstream from wastewater facility discharges, was higher than the other sites about 50 percent of the time, particularly during winter months. Dissolved oxygen concentrations were less than the Kansas Department of Health and Environment minimum criterion of 5 milligrams per liter about 15 percent of the time at the Indian Creek site. Dissolved oxygen concentrations were less than the criterion about 10 percent of the time at the rural Blue River and Kill Creek sites, and less than 5 percent of the time at the other sites. Low dissolved oxygen at all sites generally coincided with lowest streamflow and warmer water temperatures. Hourly dissolved oxygen concentrations less than 5 milligrams per liter were measured at all sites every year, indicating that even under normal climate conditions in non-urban watersheds such as Kill Creek, dissolved oxygen concentrations may not meet State aquatic-life criterion. Specific conductance was nearly always highest in Indian and Mill Creeks, which were the most urban streams with the largest upstream discharges from wastewater treatment facilities. The largest chloride concentrations and variability were recorded at urban sites and during winter. Each winter during the study period, chloride concentrations in the most urban site, Indian Creek, exceeded the U.S. Environmental Protection Agency-recommended criterion of 230 milligrams per liter for at least 10 consecutive days. The U.S. Environmental Protection Agency-recommended ecoregion criterion for turbidity was exceeded 30 (Indian Creek) to 50 (Blue River) percent of the time. The highest average annual streamflow-weighted suspendedsediment concentration during the study period was in Mill Creek, which has undergone rapid development that likely contributed to higher sediment concentrations. One of the largest suspended-sediment load events in Indian Creek was recorded in early May 2007 when about 25 percent of the total annual sediment load was transported during a period of about 2.25 days. A simultaneous load event was recorded in Kill Creek, when about 75 percent of the total annual sediment load was transported. Sediment yields generally increased as percent impervious surface increased. Computed hourly total nitrogen and total phosphorus concentrations and yields and streamflow-weighted concentrations generally were largest in Indian and Mill Creeks. Annual percent contribution of total nitrogen in the Blue River from wastewater treatment facility discharges ranged from 19 percent in 2010 to 60 percent in 2006. Annual percent contribution of total nitrogen in Indian Creek from wastewater treatment facility discharges ranged from 35 percent in 2010 to 93 percent in 2006. The largest percent nutrient contributions from wastewater discharges coincided with the smallest annual precipitation and streamflow volume, resulting in less contribution originating from runoff. Fecal indicator bacteria Escherichia coli density at the urban Indian Creek site was usually the largest of the five monitoring sites, with an annual median density that consistently exceeded the State primary contact criterion value but was less than the secondary contact criterion. Less than 1 percent of the total annual bacteria load in the Blue River and Indian Creek originated from wastewater discharges, except during 2006 when about 6 percent of the Indian Creek load originated from wastewater. Continuous water-quality monitoring provides a foundation for comprehensive evaluation and understanding of variability and loading characteristics in streams in Johnson County. Because several directly measured parameters are strongly correlated with particular constituents of interest, regression models provide a valuable tool for evaluating variability and loading on the basis of computed continuous data. Continuous data are particularly useful for characterizing nonpoint-source contributions from stormwater runoff. Transmission of continuous data in real-time makes it possible to rapidly detect and respond to potential environmental concerns. As monitoring technologies continue to improve, so does the ability to monitor additional constituents of interest, with smaller measurement error, and at lower operational cost. Continuous water-quality data including model information and computed concentrations and loads during the study period are available at http://nrtwq.usgs.gov/ks/ .

Kansas↗

Tree sampling as a method to assess vapor intrusion potential at a site characterized by VOC-contaminated groundwater and soil

Vapor intrusion (VI) by volatile organic compounds (VOCs) in the built environment presents a threat to human health. Traditional VI assessments are often time-, cost-, and labor-intensive; whereas traditional subsurface methods sample a relatively small volume in the subsurface and are difficult to collect within and near structures. Trees could provide a similar subsurface sample where roots act as the “sampler’ and are already onsite. Regression models were developed to assess the relation between PCE concentrations in over 500 tree-core samples with PCE concentrations in over 50 groundwater and 1000 soil samples collected from a tetrachloroethylene- (PCE-) contaminated Superfund site and analyzed using gas chromatography. Results indicate that in planta concentrations are significantly and positively related to PCE concentrations in groundwater samples collected at depths less than 20 m (adjusted R 2 values greater than 0.80) and in soil samples (adjusted R 2 values greater than 0.90). Results indicate that a 30 cm diameter tree characterizes soil concentrations at depths less than 6 m over an area of 700–1600 m 2 , the volume of a typical basement. These findings indicate that tree sampling may be an appropriate method to detect contamination at shallow depths at sites with VI.

Missouri↗

Impact of thermoelectric power plant operations and water use reporting methods on thermoelectric power plant water use

Thermoelectric power generation accounts for over 41% of total U.S. freshwater withdrawals, making understanding the determinants of power plants’ water withdrawals (WW) and consumption (WC) critical for reducing the sector’s reliance on increasingly scarce water resources. However, reported data inconsistencies and incomplete analysis of potential determinants of thermoelectric water use hinder such understanding. We address these challenges by introducing a novel data filtering method and a more complete assessment of water use determinants. First, we applied a power-cooling ratio as an operations-based data filter that removed operationally implausible records while retaining more original data, outperforming previous statistical filtering methods. Second, we found that different water use reporting methods (WURMs) provided statistically significantly different WW and WC values, revealing the importance of this previously unrecognized feature in reported water use records. Third, our data-driven approach showed that traditionally emphasized features─such as cooling technology and gross generation─are of primary importance but can be surpassed by other, often overlooked, features when modeling WW or WC individually. The plant configuration, cooling technology, and gross generation were the most important features of WW, whereas WURM, cooling technology, and reporting month were the most important for WC. These findings can improve thermoelectric power plant management, water use reporting accuracy, and water use modeling.

Environmental Science & Technology↗

Evaluation of carbon fluxes and trends (2000-2008) in the Greater Platte River Basin: a sustainability study on the potential biofuel feedstock development

This study evaluates the carbon fluxes and trends and examines the environmental sustainability (e.g., carbon budget, source or sink) of the potential biofuel feedstock sites identified in the Greater Platte River Basin (GPRB). A 9-year (2000–2008) time series of net ecosystem production (NEP), a measure of net carbon absorption or emission by ecosystems, was used to assess the historical trends and budgets of carbon flux for grasslands in the GPRB. The spatially averaged annual NEP (ANEP) for grassland areas that are possibly suitable for biofuel expansion (productive grasslands) was 71–169 g C m −2 year −1 during 2000–2008, indicating a carbon sink (more carbon is absorbed than released) in these areas. The spatially averaged ANEP for areas not suitable for biofuel feedstock development (less productive or degraded grasslands) was −47 to 69 g C m −2 year −1 during 2000–2008, showing a weak carbon source or a weak carbon sink (carbon emitted is nearly equal to carbon absorbed). The 9-year pre-harvest cumulative ANEP was 1166 g C m −2 for the suitable areas (a strong carbon sink) and 200 g C m −2 for the non-suitable areas (a weak carbon sink). Results demonstrate and confirm that our method of dynamic modeling of ecosystem performance can successfully identify areas desirable and sustainable for future biofuel feedstock development. This study provides useful information for land managers and decision makers to make optimal land use decisions regarding biofuel feedstock development and sustainability.

Biomass and Bioenergy↗

Improving short-term recruitment forecasts for coho salmon using a spatiotemporal integrated population model

Fishery managers often rely on forecasts of future population abundance to set allowable harvest quotas or exploitation rates. While there has been substantial research devoted to identifying environmental factors that can predict recruitment for individual populations, such correlations often degrade over time, thereby limiting their utility for management. Conversely, examining multiple populations at once to detect shared, spatially structured patterns can offer insights into their recruitment dynamics that are advantageous for forecasting. Here, we develop a population dynamics model for natural origin coho salmon ( Oncorhynchus kisutch ) stocks in Washington State that leverages spatial and temporal autocorrelation in marine survival to improve one-year-ahead forecasts of adult returns. Executed in a Bayesian hierarchical integrated modelling framework, our spatiotemporal approach incorporates multiple data types and shares information among stocks to estimate key biological parameters that are informative for forecasting. Retrospective evaluation of one-year-ahead forecast skill indicated that the spatiotemporal integrated population model (ST-IPM) outperformed existing forecasts of Washington State coho salmon returns by 25–38 % on average. Moreover, the ST-IPM estimates parameters that were previously non-identifiable for many stocks, and propagates uncertainty from multiple contributing data sources into model forecasts. Our results add to a growing body of work demonstrating the utility of spatiotemporal and integrated approaches for modelling population dynamics, and the framework developed here has broad applications to the assessment and management of coho salmon in Washington State and elsewhere throughout their range.

Washington↗

Uncertainty in critical source area predictions from watershed-scale hydrologic models

Watershed-scale hydrologic models are frequently used to inform conservation and restoration efforts by identifying critical source areas (CSAs; alternatively 'hotspots'), defined as areas that export relatively greater quantities of nutrients and sediment. The CSAs can then be prioritized or ‘targeted’ for conservation and restoration to ensure efficient use of limited resources. However, CSA simulations from watershed-scale hydrologic models may be uncertain and it is critical that the extent and implications of this uncertainty be conveyed to stakeholders and decision makers. We used an ensemble of four independently developed Soil and Water Assessment Tool (SWAT) models and a SPAtially Referenced Regression On Watershed attributes (SPARROW) model to simulate CSA locations for flow, phosphorus, nitrogen, and sediment within the ~17,000-km 2 Maumee River watershed at the HUC-12 scale. We then assessed uncertainty in CSA simulations determined as the variation in CSA locations across the models. Our application of an ensemble of models - differing with respect to inputs, structure, and parameterization - facilitated an improved accounting of CSA prediction uncertainty. We found that the models agreed on the location of a subset of CSAs, and that these locations may be targeted with relative confidence. However, models more often disagreed on CSA locations. On average, only 16%–46% of HUC-12 subwatersheds simulated as a CSA by one model were also simulated as a CSA by a different model. Our work shows that simulated CSA locations are highly uncertain and may vary substantially across models. Hence, while models may be useful in informing conservation and restoration planning, their application to identify CSA locations would benefit from comprehensive uncertainty analyses to avoid inefficient use of limited resources.

Ohio↗

Smolting in coastal cutthroat trout Onchorhynchus clarkii clarkii

Gill Na + , K + -ATPase activity, condition factor and seawater (SW) challenges were used to assess the development of smolt characteristics in a cohort of hatchery coastal cutthroat trout Oncorhynchus clarkii clarkii from the Cowlitz River in Washington State, U.S.A. Gill Na + , K + -ATPase activity increased slightly in the spring, coinciding with an increase in hypo-osmoregulatory ability. These changes were of lesser magnitude than are observed in other salmonine species. Even at the peak of tolerance, these fish exhibited notable osmotic perturbations in full strength SW. Condition factor in these hatchery fish declined steadily through the spring. Wild captured migrants from four tributaries of the Columbia River had moderately elevated gill Na + , K + -ATPase activity, consistent with smolt development and with greater enzyme activity than autumn captured juveniles from one of the tributaries, Abernathy Creek. Migrant fish also had reduced condition factor. General linear models of 7 years of data from Abernathy Creek suggest that yearly variation, advancing photoperiod (as ordinal date) and fish size (fork length) were significant factors for predicting gill Na + , K + -ATPase activity in these wild fish. Both yearly variation and temperature were significant factors for predicting condition factor. These results suggest that coastal O. c. clarkii exhibit weakly developed characteristics of smolting. These changes are influenced by environmental conditions with great individual variation. The data suggest great physiological plasticity consistent with the variable life-history tactics observed in this species.

Journal of Fish Biology↗

Do transmitters affect survival and body condition of American beavers Castor canadensis ?

One key assumption often inferred with using radio-equipped individuals is that the transmitter has no effect on the metric of interest. To evaluate this assumption, we used a known fate model to assess the effect of transmitter type (i.e. tail-mounted or peritoneal implant) on short-term (one year) survival and a joint live—dead recovery model and results from a mark—recapture study to compare long-term (eight years) survival and body condition of ear-tagged only American beavers Castor canadensis to those equipped with radio transmitters in Voyageurs National Park, Minnesota, USA. Short-term (1-year) survival was not influenced by transmitter type ( w i = 0.64). Over the 8-year study period, annual survival was similar between transmitter-equipped beavers (tail-mounted and implant transmitters combined; 0.76; 95% CI = 0.45–0.91) versus ear-tagged only (0.78; 95% CI = 0.45–0.93). Additionally, we found no difference in weight gain (t 9 = 0.25, p = 0.80) or tail area ( t 11 = 1.25, p = 0.24) from spring to summer between the two groups. In contrast, winter weight loss (t 22 = - 2.03, p = 0.05) and tail area decrease ( t 30 = - 3.04, p = 0.01) was greater for transmitterequipped (weight = - 3.09 kg, SE = 0.55; tail area = - 33.71 cm 2 , SE = 4.80) than ear-tagged only (weight = - 1.80 kg, SE = 0.33; tail area = - 12.38 cm 2 , SE = 5.13) beavers. Our results generally support the continued use of transmitters on beavers for estimating demographic parameters, although we recommend additional assessments of transmitter effects under different environmental conditions.

Wildlife Biology↗

Investigation of the geology and hydrology of the Mogollon Highlands of central Arizona: a project of the Arizona Rural Watershed Initiative

The Mogollon Highlands of east central Arizona is a region of forested plateau and mountains, deep, sheerwalled canyons, and desert valleys. Known for its scenic beauty and characterized by a generally mild climate, the area, though still sparsely populated, attracts an increasing number of tourists and summer residents. Furthermore, the permanent population is expected to nearly double over the next 50 years. Consequently, there is increased pressure on the water resources of this area for several sometimes conflicting uses. Rational management of water resources is necessary to meet increased domestic requirements while ensuring an adequate supply of water for commercial and agricultural use, for Indian lands, and for preservation of valued environmental elements, including surface waters, riparian woodlands, forest and grassland areas, and wildlife and aquatic habitat. Such management requires an understanding of the relations among different components of the hydrologic system—recharge areas, surface flows, shallow aquifers, deep aquifers, discharge areas, and the regional ground-water flow system—and how each is affected by geology, climate, topography, and human use. The U.S. Geological Survey (USGS) is conducting an assessment of the hydrogeology of the Mogollon Highlands in cooperation with the Arizona Department of Water Resources. The study, funded through the State’s Rural Watershed Initiative program, is one of three assessments being conducted by the USGS. Assessments also are underway in the Upper-Middle Verde River watershed and on the Coconino Plateau. Each study has as its objectives: (1) the collection, compilation, and evaluation of all existing geologic, hydrologic, and related data pertaining to the study area and the creation of a data base that is readily accessible to the public and (2) developing an understanding of the hydrogeologic framework, which is the relation between geologic and hydrologic properties, that can be used for water-- resources management purposes and that will support the development of an interpretive and predictive model to estimate the effects of climate and water use on the sustainability of regional water resources. Although the three contiguous areas in north-central Arizona are being studied separately, a single data base is being constructed from which data on each area can be extracted separately.

Arizona↗

Earthquake locations determined by the Southern Alaska seismograph network for October 1971 through May 1989

This report describes the instrumentation and evolution of the U.S. Geological Survey’s regional seismograph network in southern Alaska, provides phase and hypocenter data for seismic events from October 1971 through May 1989, reviews the location methods used, and discusses the completeness of the catalog and the accuracy of the computed hypocenters. Included are arrival time data for explosions detonated under the Trans-Alaska Crustal Transect (TACT) in 1984 and 1985. The U.S. Geological Survey (USGS) operated a regional network of seismographs in southern Alaska from 1971 to the mid 1990s. The principal purpose of this network was to record seismic data to be used to precisely locate earthquakes in the seismic zones of southern Alaska, delineate seismically active faults, assess seismic risks, document potential premonitory earthquake phenomena, investigate current tectonic deformation, and study the structure and physical properties of the crust and upper mantle. A task fundamental to all of these goals was the routine cataloging of parameters for earthquakes located within and adjacent to the seismograph network. The initial network of 10 stations, 7 around Cook Inlet and 3 near Valdez, was installed in 1971. In subsequent summers additions or modifications to the network were made. By the fall of 1973, 26 stations extended from western Cook Inlet to eastern Prince William Sound, and 4 stations were located to the east between Cordova and Yakutat. A year later 20 additional stations were installed. Thirteen of these were placed along the eastern Gulf of Alaska with support from the National Oceanic and Atmospheric Administration (NOAA) under the Outer Continental Shelf Environmental Assessment Program to investigate the seismicity of the outer continental shelf, a region of interest for oil exploration. Since then the region covered by the network remained relatively fixed while efforts were made to make the stations more reliable through improved electronic instrumentation and strengthened antenna systems. The majority of the stations installed since 1980 were operated only temporarily (from one to several years) for special studies in various areas within the network. Due to reduced funding, the network was trimmed substantially in the summer of 1985 with the closure of 15 stations, 13 of which were located in and around the Yakataga seismic gap. To further reduce costs, two telephone circuits were dropped and multiple radio relays were installed in their place. This economy reduced the reliability of these telemetry links. In addition, data collection from the areas around Cordova and Yakutat was compromised by the necessity of relying on triggered event recording using PC-based systems (Rogers, 1993) that were not fully developed and which proved to be less reliable than anticipated. The principal means of recording throughout the time period of this catalog was 20-channel oscillographs on 16-mm film (Teledyne Geotech Develocorder, Model RF400 and 4000D). Initially one Develocorder was operated at the USGS Alaskan headquarters in Anchorage, but in 1972 recording was shifted to the National Oceanic and Atmospheric Administration (NOAA) Palmer Observatory (currently the West Coast and Alaska Tsunami Warning Center). The Develocorders were turned off at the end of May 1989, and after that time recording was done in digital format at the Geophysical Institute of the University of Alaska in Fairbanks (GIUA). Thus, this catalog covers the entire period of film recording.

Alaska↗

Considering pollinators' ecosystem services in the remediation and restoration of contaminated lands: Overview of research and its gaps

The concept of ecosystem services provides a useful framework for understanding how people are affected by changes to the natural environment, such as when a contaminant is introduced (e.g., oil spills, hazardous substance releases) or, conversely, when contaminated lands are remediated and restored. Pollination is one example of an important ecosystem service; pollinators play a critical role in any functioning terrestrial ecosystem. Other studies have suggested that consideration of pollinators' ecosystem services could lead to better remediation and restoration outcomes. However, the associated relationships can be complex, and evaluation requires synthesis from numerous disciplines. In this article, we discuss the possibilities for considering pollinators and their ecosystem services when planning remediation and restoration of contaminated lands. To inform the discussion, we introduce a general conceptual model of how pollinators and the ecosystem services associated with them could be affected by contamination in the environment. We review the literature on the conceptual model components, including contaminant effects on pollinators and the direct and indirect ecosystem services provided by pollinators, and identify information gaps. Though increased public interest in pollinators likely reflects increasing recognition of their role in providing many important ecosystem services, our review indicates that many gaps in understanding—about relevant natural and social systems—currently impede the rigorous quantification and evaluation of pollinators' ecosystem services required for many applications, such as in the context of natural resource damage assessment. Notable gaps include information on non-honeybee pollinators and on ecosystem services beyond those benefitting the agricultural sector. We then discuss potential research priorities and implications for practitioners. Focused research attention on the areas highlighted in this review holds promise for increasing the possibilities for considering pollinators' ecosystem services in the remediation and restoration of contaminated lands.

Integrated Environmental Assessment and Management↗