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At least 1,261 records · Page 70Linked to original sources

Comparison of riparian plant communities under four land management systems in southwestern Wisconsin

Riparian plant community composition is influenced by moisture, erosion, original native plant communities, and current and past land use. This study compared riparian plant communities under four types of management: woody buffer strip, grassy buffer strip, rotational grazing, and continuous grazing. Study sites were located along spring-fed streams in the unglaciated region of southwestern Wisconsin, USA. At each site, plant community surveys were conducted using a point transect method. Among the treatments, woody buffer strips, rotationally grazed and continuously grazed riparian areas had greater plant species richness than grassy buffer strips, and woody buffer strips had the greatest native plant species richness. Reed canary grass (Phalaris arundinacea L.) was prevalent in grassy buffer strips (44% of all observations), common in woody buffer strips (15%), and rare in sites that were rotationally or continuously grazed (3 and 5%, respectively). Pasture sites had greater proportions of native grasses and grass relatives and moderate levels of overall native species richness. Considered a water quality best management practice, well-managed rotational grazing may be a reasonable alternative to buffer strips which can contribute to protection and enhancement of native vegetation biodiversity. ?? 2002 Elsevier Science B.V. All rights reserved.

Agriculture, Ecosystems and Environment↗

Temporal and spatial variability in the flow and dispersal of suspended-sediment on a fringing reef flat, Molokai, Hawaii

A multi-year study was conducted on a shallow fringing reef flat on Molokai, Hawaii to determine the temporal and spatial dispersal patterns of terrigenous suspended sediment. During this study, trade-wind conditions existed for the majority of the year on the reef flat. The trade-wind conditions produced strong currents and resuspended moderate amounts of sediment on the reef flat on a daily basis during the year of study, resulting in an overwhelming contribution to the total sediment flux. The magnitude and direction of the trade winds relative to the orientation of the coastline, the shallow-relief and broad morphology, and tidal elevation, provided the primary control of the physical processes that resuspended and transported sediment on the reef flat over the period of record. Spatial data indicate that much of the terrigenous sediment resuspended on the reef flat is transported predominantly alongshore and is confined to the inner- to mid-reef flat. Evidence for the limited across-shore mixing and transport is provided by the dominantly alongshore wind-driven currents during trade-wind conditions and the well-defined across-shore gradient in percentage calcium carbonate of the suspended sediment. Regions of slightly offshore suspended-sediment transport along the reef flat can be attributed to the circulation pattern set up by the interaction between the trade winds, coastal morphology, and anthropogenic coastal structures (i.e., fish ponds and wharf). The regions in which sediment were seen to move offshore provide the strongest link between the sediment dynamics on reef flat and fore reef, and qualitatively appears to be correlated with low coral coverage on the fore reef. ?? 2005 Elsevier Ltd. All rights reserved.

Estuarine, Coastal and Shelf Science↗

Preparing for a Bsal invasion into North America has improved multi-sector readiness

Western palearctic salamander susceptibility to the skin disease caused by the amphibian chytrid fungus Batrachochytrium salamandrivorans (Bsal) was recognized in 2014, eliciting concerns for a potential novel wave of amphibian declines following the B. dendrobatidis (Bd) chytridiomycosis global pandemic. Although Bsal had not been detected in North America, initial experimental trials supported the heightened susceptibility of caudate amphibians to Bsal chytridiomycosis, recognizing the critical threat this pathogen poses to the North American salamander biodiversity hotspot. Here, we take stock of 10 years of research, collaboration, engagement, and outreach by the North American Bsal Task Force. We summarize main knowledge and conservation actions to both forestall and respond to Bsal invasion into North America. We address the questions: what have we learned; what are current challenges; and are we ready for a more effective reaction to Bsal’s eventual detection? We expect that the many contributions to preemptive planning accrued over the past decade will pay dividends in amphibian conservation effectiveness and can inform future responses to other novel wildlife diseases and extreme threats.

North America↗

Elevation dynamics in a restored versus a submerging salt marsh in Long Island Sound

Accelerated sea-level rise (SLR) poses the threat of salt marsh submergence, especially in marshes that are relatively low-lying. At the same time, restoration efforts are producing new low-lying marshes, many of which are thriving and avoiding submergence. To understand the causes of these different fates, we studied two Long Island Sound marshes: one that is experiencing submergence and mudflat expansion, and one that is undergoing successful restoration. We examined sedimentation using a variety of methods, each of which captures different time periods and different aspects of marsh elevation change: surface-elevation tables, marker horizons, sediment cores, and sediment traps. We also studied marsh hydrology, productivity, respiration, nutrient content, and suspended sediment. We found that, despite the expansion of mudflat in the submerging marsh, the areas that remain vegetated have been gaining elevation at roughly the rate of SLR over the last 10 years. However, this elevation gain was only possible thanks to an increase in belowground volume, which may be a temporary response to waterlogging. In addition, accretion rates in the first half of the twentieth century were much lower than current rates, so century-scale accretion in the submerging marsh was lower than SLR. In contrast, at the restored marsh, accretion rates are now averaging about 10 mm yr −1 (several times the rate of SLR), much higher than before restoration. The main cause of the different trajectories at the two marshes appeared to be the availability of suspended sediment, which was much higher in the restored marsh. We considered and rejected alternative hypotheses, including differences in tidal flooding, plant productivity, and nutrient loading. In the submerging marsh, suspended and deposited sediment had relatively high organic content, which may be a useful indicator of sediment starvation.

Estuarine, Coastal and Shelf Science↗

Ocean carbon and biogeochemistry scoping workshop on terrestrial and coastal carbon fluxes in the Gulf of Mexico, St. Petersburg, FL, May 6-8, 2008

Despite their relatively small surface area, ocean margins may have a significant impact on global biogeochemical cycles and, potentially, the global air-sea fluxes of carbon dioxide. Margins are characterized by intense geochemical and biological processing of carbon and other elements and exchange large amounts of matter and energy with the open ocean. The area-specific rates of productivity, biogeochemical cycling, and organic/inorganic matter sequestration are high in coastal margins, with as much as half of the global integrated new production occurring over the continental shelves and slopes (Walsh, 1991; Doney and Hood, 2002; Jahnke, in press). However, the current lack of knowledge and understanding of biogeochemical processes occurring at the ocean margins has left them largely ignored in most of the previous global assessments of the oceanic carbon cycle (Doney and Hood, 2002). A major source of North American and global uncertainty is the Gulf of Mexico, a large semi-enclosed subtropical basin bordered by the United States, Mexico, and Cuba. Like many of the marginal oceans worldwide, the Gulf of Mexico remains largely unsampled and poorly characterized in terms of its air-sea exchange of carbon dioxide and other carbon fluxes. In May 2008, the Ocean Carbon and Biogeochemistry Scoping Workshop on Terrestrial and Coastal Carbon Fluxes in the Gulf of Mexico was held in St. Petersburg, FL, to address the information gaps of carbon fluxes associated with the Gulf of Mexico and to offer recommendations to guide future research. The meeting was attended by over 90 participants from over 50 U.S. and Mexican institutions and agencies. The Ocean Carbon and Biogeochemistry program (OCB; http://www.us-ocb.org/) sponsored this workshop with support from the National Science Foundation, the National Oceanic and Atmospheric Administration, the National Aeronautics and Space Administration, the U.S. Geological Survey, and the University of South Florida. The goal of the workshop was to bring together researchers from multiple disciplines studying terrestrial, aquatic, and marine ecosystems to discuss the state of knowledge in carbon fluxes in the Gulf of Mexico, data gaps, and overarching questions in the Gulf of Mexico system. The discussions at the workshop were intended to stimulate integrated studies of marine and terrestrial biogeochemical cycles and associated ecosystems that will help to establish the role of the Gulf of Mexico in the carbon cycle and how it might evolve in the face of environmental change. The information derived from the plenary sessions, questions, and recommendations formulated by the participants will drive future research projects. Further discussion of carbon dynamics is needed to address scales of variability, the infrastructure required for study, and the modeling framework for cross-system integration. During the workshop, participants discussed and provided a number of priorities and recommendations, which are listed on p. 2 of the report. Participants recognized that the key to understanding the Gulf of Mexico system requires international collaboration with scientists from countries adjacent to the Gulf of Mexico. Improved collaboration across existing research community boundaries will be critical and should be encouraged by the funding agencies.

Open-File Report↗

Seismic attenuation and stress on the San Andreas Fault at Parkfield: Are we critical yet?

The Parkfield transitional segment of the San Andreas Fault (SAF) is characterized by the production of frequent quasi-periodical M6 events that break the very same asperity. The last Parkfield mainshock occurred on 28 September 2004, 38 years after the 1966 earthquake, and after the segment showed a ∼22 years average recurrence time. The main reason for the much longer interevent period between the last two earthquakes is thought to be the reduction of the Coulomb stress from the M6.5 Coalinga earthquake of 2 May 1983, and the M6 Nuñez events of June 11th and 22 July 1983. Plausibly, the transitional segment of the SAF at Parkfield is now in the late part of its seismic cycle and current observations may all be relative to a state of stress close to criticality. However, the behavior of the attenuation parameter in the last few years seems substantially different from the one that characterized the years prior to the 2004 mainshock. A few questions arise: (i) Does a detectable preparation phase for the Parkfield mainshocks exist, and is it the same for all events? (ii) How dynamically/kinematically similar are the quasi-periodic occurrences of the Parkfield mainshocks? (iii) Are some dynamic/kinematic characteristics of the next mainshock predictable from the analysis of current data? (e.g., do we expect the epicenter of the next failure to be co-located to that of 2004?) (iv) Should we expect the duration of the current interseismic period to be close to the 22-year “undisturbed” average value? We respond to the questions listed above by analyzing the non-geometric attenuation of direct S-waves along the transitional segment of the SAF at Parkfield, in the close vicinity of the fault plane, between January 2001 and November 2023. Of particular interest is the preparatory behavior of the attenuation parameter as the 2004 mainshock approached, on both sides of the SAF. We also show that the non-volcanic tremor activity modulates the seismic attenuation in the area, and possibly the seismicity along the Parkfield fault segment, including the occurrence of the mainshocks.

California↗

Using state-and-transition modeling to account for imperfect detection in invasive species management

Buffelgrass, a highly competitive and flammable African bunchgrass, is spreading rapidly across both urban and natural areas in the Sonoran Desert of southern and central Arizona. Damages include increased fire risk, losses in biodiversity, and diminished revenues and quality of life. Feasibility of sustained and successful mitigation will depend heavily on rates of spread, treatment capacity, and cost–benefit analysis. We created a decision support model for the wildland–urban interface north of Tucson, AZ, using a spatial state-and-transition simulation modeling framework, the Tool for Exploratory Landscape Scenario Analyses. We addressed the issues of undetected invasions, identifying potentially suitable habitat and calibrating spread rates, while answering questions about how to allocate resources among inventory, treatment, and maintenance. Inputs to the model include a state-and-transition simulation model to describe the succession and control of buffelgrass, a habitat suitability model, management planning zones, spread vectors, estimated dispersal kernels for buffelgrass, and maps of current distribution. Our spatial simulations showed that without treatment, buffelgrass infestations that started with as little as 80 ha (198 ac) could grow to more than 6,000 ha by the year 2060. In contrast, applying unlimited management resources could limit 2060 infestation levels to approximately 50 ha. The application of sufficient resources toward inventory is important because undetected patches of buffelgrass will tend to grow exponentially. In our simulations, areas affected by buffelgrass may increase substantially over the next 50 yr, but a large, upfront investment in buffelgrass control could reduce the infested area and overall management costs.

Arizona↗

Pre-Wisconsin glacial stratigraphy of the central plains region in Iowa, Nebraska, Kansas, and Missouri

Recent investigations have documented the presence of several tills and interglacial paleosols that were not recognized in the simple Kansan-Aftonian-Nebraskan stratigraphic sequence. Also, the single 'Pearlette ash' recognized by early workers now is known to be three different Pearlette family ash beds of greatly contrasting ages. The complexity of the stratigraphy, as it is currently understood, and the miscorrelations of early work necessitate abandonment of the archaic terms Kansan, Aftonian, and Nebraskan in stratigraphic terminology. Continued use of those terms will only promote confusion of stratigraphic nomenclature and erroneous correlations of stratigraphic units. The limited chronometric control available within the early and middle Pleistocene stratigraphic sequence is provided directly by dating or by correlation of buried soils and volcanic ash beds and it is provided inferentially by interpretation of magnetic polarity data. These controls provide, at best, a general time framework to begin a new synthesis of the Quaternary history of the region. New methods of dating are needed to facilitate long-distance correlation of early and middle Pleistocene deposits. ?? 1986.

Quaternary Science Reviews↗

Understanding and modeling tephra transport: Lessons learned from the 18 May 1980 eruption of Mount St. Helens

Discoveries made during the 18 May 1980 eruption of Mount St. Helens advanced our understanding of tephra transport and deposition in fundamental ways. The eruption enabled detailed, quantitative observations of downwind cloud movement and particle sedimentation, along with the dynamics of co-pyroclastic-density current (PDC) clouds lofted from ground-hugging currents. The deposit was mapped and sampled over more than 150,000 km 2 within days of the event and remains among the most thoroughly documented tephra deposits in the world. Abundant observations were made possible by the large size of the eruption, its occurrence in good weather during daylight hours, cloud movement over a large, populated continent, and the availability of images from recently deployed satellites. These observations underpinned new, quantitative models for the rise and growth of volcanic plumes, the importance of umbrella clouds in dispersing ash, and the roles of particle aggregation and gravitational instabilities in removing ash from the atmosphere. Exceptional detail in the eruption chronology and deposit characterization helped identify the eruptive phases contributing to deposition in different sectors of the distal deposit. The eruption was the first to significantly impact civil aviation, leading to the earliest documented case of in-flight engine damage. Continued eruptive activity in 1980 also motivated pioneering use of meteorological models to forecast ash-cloud movement. In this paper, we consider the most important discoveries and how they changed the science of tephra transport.

Washington↗

Officially social: Developing a social media crisis communication strategy for USGS Volcanoes during the 2018 Kīlauea eruption

The USGS Volcano Science Center has a long history of science and crisis communication about volcanoes and their eruptions. Centered mainly on websites, email notifications, traditional media, and in-person interaction in the past, our toolkit has expanded in the last decade to include social media channels. This medium has allowed us to communicate with both long-standing and new audiences in new ways. In the process, social media communication has further developed trust in USGS researchers. In particular, the nearly 4-month-long 2018 eruption of Kīlauea volcano in the State of Hawaii necessitated the rapid development of a communication strategy that more deeply incorporated web and social media (Facebook and Twitter) channels to share critical eruption information. This was the first major volcanic eruption response where the USGS used official social media accounts as a significant form of public communication and outreach. These timely and conversive interactions furthered engagement with residents and reinforced the USGS as an authoritative and approachable voice on the eruption with U.S. and international audiences. In many cases, USGS Volcanoes' social media channels were also sampled directly by media outlets looking to provide current information, particularly by local reporters and citizen journalists. This helped disseminate scientific information directly to those who needed it and removed pressure from observatory scientists to respond to media requests. In short, the conversational tone and engaged and inquisitive online audience allowed the USGS Volcanoes' social media channels to act as a virtual community meeting, which nurtured a nearly continuous educational environment for both directly affected and distant members of the public. We present the history and details of this strategy here in hopes that it will benefit volcano observatories and other official agencies and crisis communicators.

Hawaii↗

Land application of biosolid, livestock, and drilling wastes to US farmland: A potential pathway for the redistribution of contaminants in the environment

In the United States (U.S.), waste byproducts generated from the treatment of municipal waste (biosolids), production of livestock (livestock waste), and drilling of oil and gas wells (drilling waste) are commonly applied to agricultural lands. Although this can be a cost-effective reuse/disposal practice, there is limited research on the potential for contaminant exposures and effects on ecosystems, wildlife, and human health from such land applications. In this study, we conducted extensive chemical, microbial, and toxicity analyses of biosolid, livestock, and drilling wastes just prior to land application on agricultural lands at 34 sites across the U.S. Twenty-two analytical methods were used to determine potential contaminant exposures profiles for 452 organic and 114 inorganic chemicals, nine microbial groups, estrogenicity, and cytotoxicity. Analytical results document unique and substantial chemical, microbial, and toxicity profiles for these land-applied wastes. Of the three waste byproducts, biosolids contained the greatest concentrations of household chemicals, pesticides, pharmaceuticals, per-/polyfluoroalkyl substances, calcium, and phosphorus. Livestock waste contained the greatest concentrations of total and leachable dissolved organic carbon, biogenic hormones, mycotoxins, plant estrogens, total inorganic nitrogen, and potassium. Drilling waste contained the greatest concentrations of BTEX compounds (benzene, toluene, ethylbenzene, and xylenes), polycyclic aromatic hydrocarbons, rare-earth elements, barium, strontium, and uranium–thorium series radioisotopes. Biosolid and livestock wastes had greater culturable heterotrophic bacteria, halophilic bacteria, Escherichia coli ( E. coli ), enterococci, and staphylococci concentrations, and greater microbial diversity than drilling waste. Bioassay analyses indicated that exposure to contaminants in livestock wastes and biosolids could result in estrogenic effects, whereas exposure to contaminants in drilling waste could result in cytotoxic effects. Our study documents that current reuse/disposal practices for biosolid, livestock, and drilling wastes on agricultural lands could provide a potential pathway for the redistribution of unique and complex contaminant mixtures into the environment that have bioactive, endocrine disrupting, and carcinogenic characteristics. Results of this study provide a snapshot of chemical compositions and concentrations that can be used to inform the development of best-management practices to help maximize beneficial reuse of these wastes and minimize risk to the environment and human health.

Environmental Science: Processes & Impacts↗

Geologic evidence for an icehouse Earth before the Sturtian global glaciation

Snowball Earth episodes, times when the planet was covered in ice, represent the most extreme climate events in Earth’s history. Yet, the mechanisms that drive their initiation remain poorly constrained. Current climate models require a cool Earth to enter a Snowball state. However, existing geologic evidence suggests that Earth had a stable, warm, and ice-free climate before the Neoproterozoic Sturtian global glaciation [ca. 717 million years (Ma) ago]. Here, we present eruption ages for three felsic volcanic units interbedded with glaciolacustrine sedimentary rocks from southwest Virginia, USA, that demonstrate that glacially influenced sedimentation occurred at tropical latitudes ca. 751 Ma ago. Our findings are the first geologic evidence of a cool climate teetering on the edge of global glaciation several million years before the Sturtian Snowball Earth.

Virginia↗

Flow convergence caused by a salinity minimum in a tidal channel

Residence times of dissolved substances and sedimentation rates in tidal channels are affected by residual (tidally averaged) circulation patterns. One influence on these circulation patterns is the longitudinal density gradient. In most estuaries the longitudinal density gradient typically maintains a constant direction. However, a junction of tidal channels can create a local reversal (change in sign) of the density gradient. This can occur due to a difference in the phase of tidal currents in each channel. In San Francisco Bay, the phasing of the currents at the junction of Mare Island Strait and Carquinez Strait produces a local salinity minimum in Mare Island Strait. At the location of a local salinity minimum the longitudinal density gradient reverses direction. This paper presents four numerical models that were used to investigate the circulation caused by the salinity minimum: (1) A simple one-dimensional (1D) finite difference model demonstrates that a local salinity minimum is advected into Mare Island Strait from the junction with Carquinez Strait during flood tide. (2) A three-dimensional (3D) hydrodynamic finite element model is used to compute the tidally averaged circulation in a channel that contains a salinity minimum (a change in the sign of the longitudinal density gradient) and compares that to a channel that contains a longitudinal density gradient in a constant direction. The tidally averaged circulation produced by the salinity minimum is characterized by converging flow at the bed and diverging flow at the surface, whereas the circulation produced by the constant direction gradient is characterized by converging flow at the bed and downstream surface currents. These velocity fields are used to drive both a particle tracking and a sediment transport model. (3) A particle tracking model demonstrates a 30 percent increase in the residence time of neutrally buoyant particles transported through the salinity minimum, as compared to transport through a constant direction density gradient. (4) A sediment transport model demonstrates increased deposition at the near-bed null point of the salinity minimum, as compared to the constant direction gradient null point. These results are corroborated by historically noted large sedimentation rates and a local maximum of selenium accumulation in clams at the null point in Mare Island Strait.

California↗

Diviner lunar radiometer observations of cold traps in the moon's south polar region

Diviner Lunar Radiometer Experiment surface-temperature maps reveal the existence of widespread surface and near-surface cryogenic regions that extend beyond the boundaries of persistent shadow. The Lunar Crater Observation and Sensing Satellite (LCROSS) struck one of the coldest of these regions, where subsurface temperatures are estimated to be 38 kelvin. Large areas of the lunar polar regions are currently cold enough to cold-trap water ice as well as a range of both more volatile and less volatile species. The diverse mixture of water and high-volatility compounds detected in the LCROSS ejecta plume is strong evidence for the impact delivery and cold-trapping of volatiles derived from primitive outer solar system bodies.

Science↗

Beryllium geochemistry in soils: Evaluation of 10Be/9Be ratios in authigenic minerals as a basis for age models

Soils contain a diverse and complex set of chemicals and minerals. Being an 'open system', both in the chemical and nuclear sense, soils have defied quantitative nuclear dating. However, based on the published studies of the cosmogenic atmospheric 10Be in soils, its relatively long half-life (1.5 Ma), and the fact that 10Be gets quickly incorporated in most soil minerals, this radionuclide appears to be potentially the most useful for soil dating. We therefore studied the natural variations in the specific activities of 10Be with respect to the isotope 9Be in mineral phases in eight profiles of diverse soils from temperate to tropical climatic regimes and evaluated the implications of the data for determining the time of formation of soil minerals, following an earlier suggestion [Lal et al., 1991. Development of cosmogenic nuclear methods for the study of soil erosion and formation rates. Current Sci. 61, 636-639.]. We find that the 10Be/9Be ratios in both bulk soils and in the authigenic mineral phases are confined within a narrower range than in 10Be concentrations. Also, the highest 10Be/9Be ratios in authigenic minerals are observed at the soil-rock interface as predicted by the model. We present model 10Be/9Be ages of the B-horizon and the corresponding soil formation rates for several soil profiles. The present study demonstrates that the 10Be/9Be ratios in the authigenic phases, e.g. clay and Fe-hydroxides, can indeed be used for obtaining useful model ages for soils younger than 10-15 Ma. However, the present work has to be pushed considerably further, to take into account more realistic age models in which, for instance, downward transport of 10Be and clays, and in-situ dissolution of clay minerals at depths, altering the 10Be/9Be ratios of the acidic solutions, are included. We show that in the case of younger soils (< 1 Ma) studied here, their 10Be inventories and 10Be/9Be ratios have been significantly disturbed possibly by mixing with transported soils. ?? 1997 Elsevier Science B.V.

Chemical Geology↗

Southwest Exotic Mapping Program 2007: Occurrence summary and maps of select invasive, non-native plants in Arizona

An important aspect of management of invasive, non-native plants (invasive plants) is information on the type, location, and magnitude of infestations. Regional development of this information requires an integrated program of data collection, management, and delivery. The Southwest Exotic Plant Mapping Program (SWEMP), coordinated through the U.S. Geological Survey’s Southwest Biological Science Center, annually compiles occurrence records for infestations of invasive plants. Operating since 1998, the SWEMP team has accepted occurrence records contributed voluntarily by federal, tribal, state, and private collaborators and has compiled these contributions accumulatively with previous versions of SWEMP. The SWEMP 2007 regional database update, SWEMP07, contains 62,000 records for 221 plant species with records dating as far back as 1911 and up to December, 2006. Records include invasive plants in Arizona, eastern California, Colorado, New Mexico, and Utah. SWEMP07 is available through the Southwest Exotic Plant Information Clearinghouse ( http://sbsc.wr.usgs.gov/research/projects/swepic/swepic.asp , click SWEMP). Not all invasive plants are non-native and not all invasive plants are even invasive. The Arizona Invasive Species Advisory Council (2006) defined an invasive species as “a species that is (1) non-native to the ecosystem under consideration and, (2) whose introduction causes or is likely to cause economic or environmental harm, or harm to human health”. SWEMP uses the U.S. Department of Agriculture PLANTS database ( http://plants.usda.gov/ ) to determine if a plant is native or not to Arizona. As SWEMP does not independently assess the current or potential impact of invasive plants, we include most non-native plant records contributed. We have not included agricultural crops that are non-native, for example apples, oranges, etc. In this open-file-report, we use the SWEMP07 update to summarize the occurrence of invasive plants in Arizona and present distribution maps for a select invasive plants in Arizona. We use the word occurrence purposefully instead of the word distribution. The SWEMP07 database only provides an estimate of the actual distribution of invasive plants in Arizona. The information provided is a first approximation of the state-wide extent of invasive plant distribution.

Open-File Report↗

Measuring impact crater depth throughout the solar system

One important, almost ubiquitous, tool for understanding the surfaces of solid bodies throughout the solar system is the study of impact craters. While measuring a distribution of crater diameters and locations is an important tool for a wide variety of studies, so too is measuring a crater's “depth.” Depth can inform numerous studies including the strength of a surface and modification rates in the local environment. There is, however, no standard data set, definition, or technique to perform this data‐gathering task, and the abundance of different definitions of “depth” and methods for estimating that quantity can lead to misunderstandings in and of the literature. In this review, we describe a wide variety of data sets and methods to analyze those data sets that have been, are currently, or could be used to derive different types of crater depth measurements. We also recommend certain nomenclature in doing so to help standardize practice in the field. We present a review section of all crater depths that have been published on different solar system bodies which shows how the field has evolved through time and how some common assumptions might not be wholly accurate. We conclude with several recommendations for researchers which could help different data sets to be more easily understood and compared.

Meteoritics and Planetary Science↗

Applying mark-resight, count, and telemetry data to estimate effective sampling area and fish density with stationary underwater cameras

Accurate estimates of abundance and density for geographically open populations must account for the effective sampling area (ESA) of sampling gears. We describe a Marked N-Mixture model to estimate ESA and density (number of individuals/unit area) from repeated counts of unmarked and marked individuals, integrating mark-resight, camera counts, and telemetry data of red snapper ( Lutjanus campechanus ) at a 1.6 km 2 reef off North Carolina, USA. Cameras recorded observations of unmarked and marked individuals, whereas telemetry data indicated the number of tagged fish present on the reef. We estimated density (95 individuals/km 2 , 95%CI: 58–149), ESA (which was lower when current direction was towards the camera), detection probability (0.06, 95%CI: 0.03–0.09), and covariate relationships. Simulation studies under different scenarios of data quality and space use identified positive bias in density estimates from N-mixture models due to fish movement. In contrast, the Marked N-Mixture model returned unbiased estimates of density, ESA, and detection parameters, and appears to be a more robust method for modeling density given the data available for this analysis. This approach can be applied to other populations where count and telemetry data overlap in space and time.

North Carolina↗