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The effect of snowmelt on the water quality of Filson Creek and Omaday Lake, northeastern Minnesota

Sulfate concentration and p H were determined in surface water, groundwater, and precipitation samples collected in the Filson Creek watershed to evaluate the sources of sulfate in Filson Creek. During and immediately after snowmelt, sulfate concentrations in Filson Creek increased from about 2 to 14 mg/l. Concurrently, H + ion activity increased from an average of 10 −6.6 to 10 −5.5 . These changes suggest that sulfate acidity is concentrated in the snowpack at snowmelt, which is similar to changes reported in Scandinavia in areas subject to acid precipitation. Mass balance calculations indicate that the sulfate contribution from groundwater during snowmelt was minimal in comparison to that from snow. During base flow, sulfate did not appreciably increase from the headwaters of Filson Creek to the mouth, even though sulfate was as high as 58 mg/l in groundwater discharging to the creek from surficial materials overlying a sulfide-bearing mineralized zone in the lower third of the watershed. Approximately 10.6 kg of sulfate per hectare per year was retained in 1977.

Minnesota↗

Food habits of Yellow Perch, Smallmouth Bass, and Northern Pikeminnow in Lake Cascade, Idaho

Objective Yellow Perch Perca flavescens was first encountered in Lake Cascade, Idaho, in 1957. Since its introduction, the abundance of Yellow Perch in Lake Cascade has been highly variable. Historically, declines in Yellow Perch abundance were attributed to predation by Northern Pikeminnow Ptychocheilus oregonensis . In the 1990s, Smallmouth Bass Micropterus dolomieu became established in Lake Cascade. Although Yellow Perch abundance has been high and currently supports a world-class fishery, the Idaho Department of Fish and Game has documented poor Yellow Perch recruitment in recent years, concerning regional managers. An investigation into the food habits of Yellow Perch, Smallmouth Bass, and Northern Pikeminnow was conducted to better understand the importance of juvenile Yellow Perch to predator diets. Methods In Lake Cascade, gill nets were deployed monthly from April 2022 to May 2023. Ageing structures and stomach contents were removed from Yellow Perch, Smallmouth Bass, and Northern Pikeminnow. Diet composition was quantified and then summarized by species, cohort, and season. Bioenergetics modeling, coupled with estimates of predator abundance, was used to evaluate overall consumption of Yellow Perch. Results In total, stomach contents were extracted from 1,099 Yellow Perch, 440 Smallmouth Bass, and 980 Northern Pikeminnow. Food habits varied by season and predator length, but Yellow Perch was a primary prey item of all study species. The energetic contribution of Yellow Perch to Yellow Perch varied from 10% to 80% across seasons. Smallmouth Bass consumed fewer Yellow Perch than either Yellow Perch or Northern Pikeminnow. The highest average per capita consumption of Yellow Perch (i.e., across seasons) was observed for 500–600-mm Northern Pikeminnow (five Yellow Perch/Northern Pikeminnow). Energetic contribution of Yellow Perch to Northern Pikeminnow diets was highest in spring 2023, yet Northern Pikeminnow consumed the highest average number of Yellow Perch in July. Bioenergetics modeling estimated that per-capita annual consumption of Yellow Perch was 6.0 kg for Yellow Perch, 3.4 kg for Smallmouth Bass, and 9.9 kg for Northern Pikeminnow. In total, estimated consumption of all study species was as high as 37% of the estimated total number age-0 Yellow Perch produced. Conclusions Yellow Perch was an important prey item for all three species, particularly Yellow Perch and Northern Pikeminnow. Results from this study provide important information on the predation of Yellow Perch in Lake Cascade. Further, this work will bolster a growing body of research on the food habits of and interactions between native and nonnative predators in western reservoir systems.

Idaho↗

Design of a sediment-monitoring gaging network on ephemeral tributaries of the Colorado River in Glen, Marble, and Grand Canyons, Arizona

Management of sediment in rivers downstream from dams requires knowledge of both the sediment supply and downstream sediment transport. In some dam-regulated rivers, the amount of sediment supplied by easily measured major tributaries may overwhelm the amount of sediment supplied by the more difficult to measure lesser tributaries. In this first class of rivers, managers need only know the amount of sediment supplied by these major tributaries. However, in other regulated rivers, the cumulative amount of sediment supplied by the lesser tributaries may approach the total supplied by the major tributaries. The Colorado River downstream from Glen Canyon has been hypothesized to be one such river. If this is correct, then management of sediment in the Colorado River in the part of Glen Canyon National Recreation Area downstream from the dam and in Grand Canyon National Park may require knowledge of the sediment supply from all tributaries. Although two major tributaries, the Paria and Little Colorado Rivers, are well documented as the largest two suppliers of sediment to the Colorado River downstream from Glen Canyon Dam, the contributions of sediment supplied by the ephemeral lesser tributaries of the Colorado River in the lowermost Glen Canyon, and Marble and Grand Canyons are much less constrained. Previous studies have estimated amounts of sediment supplied by these tributaries ranging from very little to almost as much as the amount supplied by the Paria River. Because none of these previous studies relied on direct measurement of sediment transport in any of the ephemeral tributaries in Glen, Marble, or Grand Canyons, there may be significant errors in the magnitudes of sediment supplies estimated during these studies. To reduce the uncertainty in the sediment supply by better constraining the sediment yield of the ephemeral lesser tributaries, the U.S. Geological Survey Grand Canyon Monitoring and Research Center established eight sediment-monitoring gaging stations beginning in 2000 on the larger of the previously ungaged tributaries of the Colorado River downstream from Glen Canyon Dam. The sediment-monitoring gaging stations consist of a downward-looking stage sensor and passive suspended-sediment samplers. Two stations are equipped with automatic pump samplers to collect suspended-sediment samples during flood events. Directly measuring discharge and collecting suspended-sediment samples in these remote ephemeral streams during significant sediment-transporting events is nearly impossible; most significant run-off events are short-duration events (lasting minutes to hours) associated with summer thunderstorms. As the remote locations and short duration of these floods make it prohibitively expensive, if not impossible, to directly measure the discharge of water or collect traditional depth-integrated suspended-sediment samples, a method of calculating sediment loads was developed that includes documentation of stream stages by field instrumentation, modeling of discharges associated with these stages, and automatic suspended-sediment measurements. The approach developed is as follows (1) survey and model flood high-water marks using a two-dimensional hydrodynamic model, (2) create a stage-discharge relation for each site by combining the modeled flood flows with the measured stage record, (3) calculate the discharge record for each site using the stage-discharge relation and the measured stage record, and (4) calculate the instantaneous and cumulative sediment loads using the discharge record and suspended-sediment concentrations measured from samples collected with passive US U-59 samplers and ISCO TM pump samplers. This paper presents the design of the gaging network and briefly describes the methods used to calculate discharge and sediment loads. The design and methods herein can easily be used at other remote locations where discharge and sediment loads are required.

Arizona↗

PCB concentrations of lake whitefish ( Coregonus clupeaformis ) vary by sex

We determined whole-fish polychlorinated biphenyl (PCB) concentrations in 26 female lake whitefish ( Coregonus clupeaformis ) and 34 male lake whitefish from northern Lake Huron. In 5 of the 26 female lake whitefish, we also determined PCB concentrations in the somatic tissue and ovaries. In addition, bioenergetics modeling was used to determine the contribution of the growth dilution effect to the observed difference in PCB concentrations between the sexes. Whole-fish PCB concentrations for females and males averaged 60 ng/g and 80 ng/g, respectively; thus males were 34% higher in PCB concentration compared with females. Based on the PCB determinations in the somatic tissue and ovaries, we predicted that PCB concentration of females would increase by 2.5%, on average, immediately after spawning due to release of eggs. Thus, the change in PCB concentration due to release of eggs did not explain, to any degree, the higher PCB concentrations observed in males compared with females. Bioenergetics modeling results indicated that the growth dilution effect could account for males being only 0.7% higher in PCB concentration compared with females. Thus, the growth dilution effect contributed very little to the observed difference in PCB concentrations between the sexes. We conclude that males were higher than females in PCB concentration most likely due to a higher rate of energy expenditure, stemming from greater activity and a greater resting metabolic rate. A higher rate of energy expenditure leads to a higher rate of food consumption, which, in turn, leads to a higher PCB accumulation rate.

Michigan↗

Modeled streamflow response to scenarios of Tundra Lake water withdrawal and seasonal climate extremes, Arctic Coastal Plain, Alaska

On the Arctic Coastal Plain (ACP) in Northern Alaska (USA), permafrost and abundant surface-water storage define watershed hydrological processes, which are increasingly subject to changes both in climate and land-use. In the last decades, the ACP landscape experienced extreme climate events and increased lake water withdrawal (LWW) for construction of infrastructure related to resource extraction (primarily ice roads and industrial operations). However, their potential (combined) effects on streamflow are relatively underexplored. Here, we applied the process-based, spatially distributed hydrological and thermal Water Balance Simulation Model (WaSiM) (10 m spatial resolution) to the 30 km² Crea Creek watershed located on the ACP. The impacts of documented seasonal climate extremes and LWW were evaluated on seasonal runoff (May-August), including minimum 7-day mean flow (MQ7), the recovery time of MQ7 to pre-perturbation conditions and the duration of streamflow conditions that prevents fish passage. Low-rainfall scenarios (21% of normal, 1 to 3 summers in a row) caused a larger reduction in MQ7 (56 - 69%) than LWW alone (44 - 58%). Decadal-long consecutive LWW resulted in a new equilibrium in low-flow and seasonal runoff after the third year of LWW that included a disconnected stream network, a reduced contributing area (54% of the watershed area) and limited fish passage throughout summer. Our results highlight that LWW is not offset by same-year snowmelt for lake water levels and streamflow as currently assumed in land management regulations. Effective land management would therefore benefit from considering the combined impact of climate change and industrial lake water withdrawals.

Alaska↗

Strong-motion observations of the M 7.8 Gorkha, Nepal, earthquake sequence and development of the N-shake strong-motion network

We present and describe strong-motion data observations from the 2015 M 7.8 Gorkha, Nepal, earthquake sequence collected using existing and new Quake-Catcher Network (QCN) and U.S. Geological Survey NetQuakes sensors located in the Kathmandu Valley. A comparison of QCN data with waveforms recorded by a conventional strong-motion (NetQuakes) instrument validates the QCN data. We present preliminary analysis of spectral accelerations, and peak ground acceleration and velocity for earthquakes up to M 7.3 from the QCN stations, as well as preliminary analysis of the mainshock recording from the NetQuakes station. We show that mainshock peak accelerations were lower than expected and conclude the Kathmandu Valley experienced a pervasively nonlinear response during the mainshock. Phase picks from the QCN and NetQuakes data are also used to improve aftershock locations. This study confirms the utility of QCN instruments to contribute to ground-motion investigations and aftershock response in regions where conventional instrumentation and open-access seismic data are limited. Initial pilot installations of QCN instruments in 2014 are now being expanded to create the Nepal–Shaking Hazard Assessment for Kathmandu and its Environment (N-SHAKE) network.

Seismological Research Letters↗

Mycotoxins: diffuse and point source contributions of natural contaminants of emerging concern to streams

To determine the prevalence of mycotoxins in streams, 116 water samples from 32 streams and three wastewater treatment plant effluents were collected in 2010 providing the broadest investigation on the spatial and temporal occurrence of mycotoxins in streams conducted in the United States to date. Out of the 33 target mycotoxins measured, nine were detected at least once during this study. The detections of mycotoxins were nearly ubiquitous during this study even though the basin size spanned four orders of magnitude. At least one mycotoxin was detected in 94% of the 116 samples collected. Deoxynivalenol was the most frequently detected mycotoxin (77%), followed by nivalenol (59%), beauvericin (43%), zearalenone (26%), β-zearalenol (20%), 3-acetyl-deoxynivalenol (16%), α-zearalenol (10%), diacetoxyscirpenol (5%), and verrucarin A (1%). In addition, one or more of the three known estrogenic compounds (i.e. zearalenone, α-zearalenol, and β-zearalenol) were detected in 43% of the samples, with maximum concentrations substantially higher than observed in previous research. While concentrations were generally low (i.e. < 50 ng/L) during this study, concentrations exceeding 1000 ng/L were measured during spring snowmelt conditions in agricultural settings and in wastewater treatment plant effluent. Results of this study suggest that both diffuse (e.g. release from infected plants and manure applications from exposed livestock) and point (e.g. wastewater treatment plants and food processing plants) sources are important environmental pathways for mycotoxin transport to streams. The ecotoxicological impacts from the long-term, low-level exposures to mycotoxins alone or in combination with complex chemical mixtures are unknown

Science of the Total Environment↗

Estimating age and growth of invasive sea lamprey: A review of approaches and investigation of a new method

We review recent advances in age and growth estimation of invasive sea lamprey ( Petromyzon marinus ) in the Great Lakes and present a more accurate method for growth estimation. To forecast growth and prioritize streams for control actions, sea lamprey managers currently use an average daily growth model. Here, a new linear model that included stream and lake as contributing variables was investigated and found to outperform the currently used growth model (roughly a 10 mm difference at age 1). Length-at-age of larvae between ages 1 and 4 were also best forecasted by a linear model with the predictor variables including growing degree days, stream, lake, and larval lamprey density. The model predicts that larval sea lamprey grow faster in warm streams with low densities of lamprey larvae. More accurate growth models could allow sea lamprey control managers to improve decisions concerning how sea lamprey control effort is allocated among streams, and could help inform broader modeling efforts evaluating the population demographics of a lake-wide populations exposed to varying control and environmental scenarios. Priority areas for research include investigating if temperatures have increased in sea lamprey-producing streams in response to climate change, using close-kin mark-recapture to mark family groups at age 1 to age large larvae and transformers years later, and determining if sex determination is environmentally mediated by larval growth and density.

Great Lakes↗

The collective application of shorebird tracking data to conservation

Addressing urgent conservation issues, such as the drastic declines of North American migratory birds, requires creative, evidence-based, efficient, and collaborative approaches. The abundance of over 50% of monitored North American shorebird populations has declined by over 50% since 1980. To address these declines, we developed a partnership of scientists and practitioners called the Shorebird Science and Conservation Collective (hereafter the collective ). The collective was founded to translate the combined findings of shorebird tracking data into on-the-ground conservation action. With advice from an advisory group, the collective acts as an intermediary whereby dedicated staff collate and analyze data contributions from scientists to support knowledge requests from conservation practitioners. In its first three years, data contributions from 75 organizations include over 7.1 million shorebird observations forming movement paths of 3420 individuals representing 36 species tracked across the Americas and have informed 18 conservation projects spanning education, land and species management, land conservation, and policy requests. Others engaged in translational science from big data could consider similar knowledge-sharing models that prioritize usable data products, foster collaborative engagement between science experts and practitioners, build focused communities around topics or taxonomic groups, and employ a proof-of-concept phase to develop scalable solutions while making progress toward long-term funding to sustain impact. As the volume of scientific data continues to grow, intermediaries, such as the collective, can be vital liaisons to rapidly integrate and interpret research to support conservation action. Dedicated to the memory of Shiloh Schulte and his conservation achievements for shorebirds.

Conservation Biology↗

Assessing recreation impacts to cliffs in Shenandoah National Park: Integrating visitor observation with trail and recreation site measurements

The rock outcrops and cliffs of Shenandoah National Park provide habitat for several rare and endangered plant and animal species, including the federally endangered Shenandoah Salamander (Plethodon shenandoah; Ludwig et al., 1993). The location of the well-known park tour road, Skyline Drive, along the ridgeline provides exceptional access to many outcrops and cliffs throughout the park for a large number of the park?s 1.2 million annual visitors. Consequently, visitor use of cliff areas has led to natural resource impacts, including marked decreases in size and vigor of known rare plant populations. Despite the clear ecological value and potential threats to the natural resources at cliff areas, managers possess little information on visitor use of cliff sites and presently have no formal planning document to guide management. Thus, a park wide study of cliff sites was initiated during the 2005 visitor use season. As part of this research effort, our study used an integrative approach to study recreational use and visitor-caused resource impacts at one of the more heavily visited cliff sites in the park: Little Stony Man Cliffs (LSMC). In particular, this study integrated data from resource impact measurements and visitor use observation to help assess the effects of recreational use on the natural resources of LSMC. Procedures derived from campsite and trail impact studies were used to measure and characterize the amount of visitor-caused resource impacts on LSMC (Marion & Leung, 2001; Marion, 1995). Visitor use observations were conducted on top of LSMC to document and characterize the type and amount of recreational use the cliffs receive and the behaviors of recreationists that may contribute to cliff-top resource impacts. Resource impact measurement data show trampling disturbance present at LSMC, characterized by vegetation loss, exposed soil, and root exposure. Documentation of informal trails, soil erosion, tree damage, and tree stumps provide further indicators of resource damage at LSMC. Results of visitor use observation offer several insights into contributory factors of cliff-top resource damage by showing differences in use and behavior between visitor types. The findings from this study suggest that a management approach characterized by visitor education, some site hardening, and concentration of visitor use on durable surfaces, along with the installation of fixed anchors at the top of popular climbing routes is likely to have the greatest success at balancing visitor enjoyment with resource protection at LSMC.

Journal of Park and Recreation Administration↗

Ancient impact structures on modern continental shelves: The Chesapeake Bay, Montagnais, and Toms Canyon craters, Atlantic margin of North America

Three ancient impact craters (Chesapeake Bay - 35.7 Ma; Toms Canyon - 35.7 Ma; Montagnais - 51 Ma) and one multiring impact basin (Chicxulub - 65 Ma) are currently known to be buried beneath modern continental shelves. All occur on the passive Atlantic margin of North America in regions extensively explored by seismic reflection surveys in the search for oil and gas reserves. We limit our discussion herein to the three youngest structures. These craters were created by submarine impacts, which produced many structural and morphological features similar in construction, composition, and variability to those documented in well-preserved subaerial and planetary impact craters. The subcircular Chesapeake Bay (diameter 85 km) and ovate Montagnais (diameter 45-50 km) structures display outer-rim scarps, annular troughs, peak rings, inner basins, and central peaks similar to those incorporated in the widely cited conceptual model of complex impact craters. These craters differ in several respects from the model, however. For example, the Montagnais crater lacks a raised lip on the outer rim, the Chesapeake Bay crater displays only small remnants of a raised lip, and both craters contain an unusually thick body of impact breccia. The subtriangular Toms Canyon crater (diameter 20-22 km), on the other hand, contains none of the internal features of a complex crater, nor is it typical of a simple crater. It displays a prominent raised lip on the outer rim, but the lip is present only on the western side of the crater. In addition, each of these craters contains some distinct features, which are not present in one or both of the others. For example, the central peak at Montagnais rises well above the elevation of the outer rim, whereas at Chesapeake Bay, the outer rim is higher than the central peak. The floor of the Toms Canyon crater is marked by parallel deep troughs and linear ridges formed of sedimentary rocks, whereas at Chesapeake Bay, the crater floor contains concentric faults and compression ridges formed in rocks of the crystalline basement. The Chesapeake Bay crater is distinguished further by its cluster of at least 23 adjacent secondary craters. The North American tektite strewn field, a widespread deposit of distal ejecta, is thought to be derived from the Chesapeake Bay impact, perhaps with a small contribution from the Toms Canyon impact. No ejecta field is known to be associated with the Montagnais impact. No immediate major extinction event is directly linked to any of these three impacts. There is evidence, however, that the Chesapeake Bay and Toms Canyon impacts helped initiate a long-term pulse of warm global climate, whose eventual dissipation coincided with an early Oligocene mass extinction event, 2 Ma after the impacts.

Deep-Sea Research Part II: Topical Studies in Ocea↗

Inference of postseismic deformation mechanisms of the 1923 Kanto earthquake

Coseismic slip associated with the M7.9, 1923 Kanto earthquake is fairly well understood, involving slip of up to 8 m along the Philippine Sea-Honshu interplate boundary under Sagami Bay and its onland extension. Postseismic deformation after the 1923 earthquake, however, is relatively poorly understood. We revisit the available deformation data in order to constrain possible mechanisms of postseismic deformation and to examine the consequences for associated stress changes in the surrounding crust. Data from two leveling lines and one tide gage station over the first 7-8 years postseismic period are of much greater amplitude than the corresponding expected interseismic deformation during the same period, making these data suitable for isolating the signal from postseismic deformation. We consider both viscoelastic models of asthenosphere relaxation and afterslip models. A distributed coseismic slip model presented by Pollitz et al. (2005), combined with prescribed parameters of a viscoelastic Earth model, yields predicted postseismic deformation that agrees with observed deformation on mainland Honshu from Tokyo to the Izu peninsula. Elsewhere (southern Miura peninsula; Boso peninsula), the considered viscoelastic models fail to predict observed deformation, and a model of ???1 in shallow afterslip in the offshore region south of the Boso peninsula, with equivalent moment magnitude Mw = 7.0, adequately accounts for the observed deformation. Using the distributed coseismic slip model, layered viscoelastic structure, and a model of interseismic strain accumulation, we evaluate the post-1923 stress evolution, including both the coseismic and accumulated postseismic stress changes and those stresses contributed by interseismic loading. We find that if account is made for the varying tectonic regime in the region, the occurrence of both immediate (first month) post-1923 crustal aftershocks as well as recent regional crustal seismicity is consistent with the predicted stress pattern. This suggests that the influence of the 1923 earthquake on regional seismicity is fairly predictable and has persisted for at least seven decades following the earthquake.

Journal of Geophysical Research B: Solid Earth↗

Simulated response of water quality in public supply wells to land use change

Understanding how changes in land use affect water quality of public supply wells (PSW) is important because of the strong influence of land use on water quality, the rapid pace at which changes in land use are occurring in some parts of the world, and the large contribution of groundwater to the global water supply. In this study, groundwater flow models incorporating particle tracking and reaction were used to analyze the response of water quality in PSW to land use change in four communities: Modesto, California (Central Valley aquifer); York, Nebraska (High Plains aquifer); Woodbury, Connecticut (Glacial aquifer); and Tampa, Florida (Floridan aquifer). The water quality response to measured and hypothetical land use change was dependent on age distributions of water captured by the wells and on the temporal and spatial variability of land use in the area contributing recharge to the wells. Age distributions of water captured by the PSW spanned about 20 years at Woodbury and >1,000 years at Modesto and York, and the amount of water <50 years old captured by the PSW ranged from 30% at York to 100% at Woodbury. Short‐circuit pathways in some PSW contributing areas, such as long irrigation well screens that crossed multiple geologic layers (York) and karst conduits (Tampa), affected age distributions by allowing relatively rapid movement of young water to those well screens. The spatial component of land use change was important because the complex distribution of particle travel times within the contributing areas strongly influenced contaminant arrival times and degradation reaction progress. Results from this study show that timescales for change in the quality of water from PSW could be on the order of years to centuries for land use changes that occur over days to decades, which could have implications for source water protection strategies that rely on land use change to achieve water quality objectives.

Water Resources Research↗

Sensitivity analysis, calibration, and testing of a distributed hydrological model using error‐based weighting and one objective function

We evaluate the utility of three interrelated means of using data to calibrate the fully distributed rainfall‐runoff model TOPKAPI as applied to the Maggia Valley drainage area in Switzerland. The use of error‐based weighting of observation and prior information data, local sensitivity analysis, and single‐objective function nonlinear regression provides quantitative evaluation of sensitivity of the 35 model parameters to the data, identification of data types most important to the calibration, and identification of correlations among parameters that contribute to nonuniqueness. Sensitivity analysis required only 71 model runs, and regression required about 50 model runs. The approach presented appears to be ideal for evaluation of models with long run times or as a preliminary step to more computationally demanding methods. The statistics used include composite scaled sensitivities, parameter correlation coefficients, leverage, Cook's D, and DFBETAS. Tests suggest predictive ability of the calibrated model typical of hydrologic models.

Water Resources Research↗

Small-scale features in the Earth's magnetic field observed by Magsat

A spherical harmonic expansion to degree and order 29 is derived using a selected magnetically quiet sample of Magsat data. Global maps representing the contribution due to terms of the expansion above n = 13 at 400 km altitude are compared with previously published residual anomaly maps and shown to be similar, even in polar regions. An expansion with such a high degree and order displays all but the sharpest features seen by the satellite and gives a more consistent picture of the high-order field structure at a constant altitude than do component maps derived independently.

Journal of Geophysical Research Solid Earth↗

Dynamics of the double-crested cormorant population on Lake Ontario

After nearly 30 years of recolonization and expansion across North America, the double-crested cormorant (Phalacrocorax auritus) occupies the role of a perceived and, in some situations, realized threat to fish stocks and other resources. However, population data necessary to plan, defend, and implement management of this species are few. Our purpose was to gain insight into the relative contribution of various population parameters to the overall rate of population growth and identify data needs critical to improving our understanding of the dynamics of double-crested cormorant populations. We demonstrated the construction of a biologically reasonable representation of cormorant population growth on Lake Ontario (1979-2000) by referencing literature values for fertility, age at first breeding, and survival. These parameters were incorporated into a deterministic stage-classified matrix model. By calculating the elasticity of matrix elements (i.e., statgspecific fertility and survival), we found that cormorant population growth on Lake Ontario was most sensitive to survival of birds about to turn age 3 and older. Finally, we demonstrated how this information could be used to evaluate management scenarios and direct future research by simulating potential environmental effects on fertility and survival, as well as a 5-year egg-oiling program. We also demonstrated that survival of older birds exerts more effective population control than changes in fertility.

Wildlife Society Bulletin↗

Professional conduct of scientists during volcanic crises

Stress during volcanic crises is high, and any friction between scientists can distract seriously from both humanitarian and scientific effort. Friction can arise, for example, if team members do not share all of their data, if differences in scientific interpretation erupt into public controversy, or if one scientist begins work on a prime research topic while a colleague with longer-standing investment is still busy with public safety work. Some problems arise within existing scientific teams; others are brought on by visiting scientists. Friction can also arise between volcanologists and public officials. Two general measures may avert or reduce friction: (a) National volcanologic surveys and other scientific groups that advise civil authorities in times of volcanic crisis should prepare, in advance of crises, a written plan that details crisis team policies, procedures, leadership and other roles of team members, and other matters pertinent to crisis conduct. A copy of this plan should be given to all current and prospective team members. (b) Each participant in a crisis team should examine his or her own actions and contribution to the crisis effort. A personal checklist is provided to aid this examination. Questions fall generally in two categories: Are my presence and actions for the public good? Are my words and actions collegial, i.e., courteous, respectful, and fair? Numerous specific solutions to common crisis problems are also offered. Among these suggestions are: (a) choose scientific team leaders primarily for their leadership skills; (b) speak publicly with a single scientific voice, especially when forecasts, warnings, or scientific disagreements are involved; (c) if you are a would-be visitor, inquire from the primary scientific team whether your help would be welcomed, and, in general, proceed only if the reply is genuinely positive; (d) in publications, personnel evaluations, and funding, reward rather than discourage teamwork. Models are available from the fields of particle physics and human genetics, among others.

Bulletin of Volcanology↗

Blackbrush ( Coleogyne ramosissima Torr. ): State of our knowledge and future challenges

Covering 130,000 square miles and a wide range of elevations from desert to alpine in Arizona, Utah, Colorado, and New Mexico, the Colorado Plateau has long fascinated researchers. The Colorado Plateau VI provides readers with a plethora of updates and insights into land conservation and management questions currently surrounding the region. The Colorado Plateau VI’s contributors show how new technologies for monitoring, spatial analysis, restoration, and collaboration improve our understanding, management, and conservation of outcomes at the appropriate landscape scale for the Colorado Plateau. The volume’s chapters fall into five major themes: monitoring as a key tool for addressing management challenges, restoration approaches to improving ecosystem condition and function, collaboration and organizational innovations to achieve conservation and management objectives, landscape-scale approaches to understanding, and managing key species and ecological communities. Focusing on the integration of science into resource management issues over the Colorado Plateau, this volume includes contributions from dozens of leading scholars of the region. The Colorado Plateau VI proves a valuable resource to all interested in the conservation management, natural history, and cultural biological resources of the Colorado Plateau.

Arizona, Colorado, New Mexico, Utah↗