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At least 1,333 records · Page 74Linked to original sources

Development of ‘SedCam’— A close-range remote sensing method of estimating suspended-sediment concentration in small rivers

The adaptation of suspended-sediment surrogate technologies continues to rapidly expand across geomorphology and fluvial sediment monitoring efforts. Over a decade of research and development shows increased reliability and accuracy of in-situ surrogates with reduced program cost as compared to traditional sample-based methods, but environmental fouling and probe damage can be problematic. The SedCam technique is a unique non-contact close-range remote sensing method to estimate suspended-sediment concentration from multispectral imagery of a river surface. In contrast to typical airborne- or satellite-based platforms, SedCam uses broadband sensors with lower spectral resolution (three bands covering wavelengths of 340 to 1100 nm) but greater spatial resolution (0.5 mm pixel size; equivalent to medium to coarse sand) and temporal resolution (15-min intervals during daylight hours). This paper summarizes lessons learned from two studies, utilizing three consumer-grade digital cameras (each with different spectral signatures) at two different rivers (each with different sediment characteristics). >90,000 images and 174 concurrent physical samples represent a collective period of 26 months. A subset of these data pairs supports the development of four regression models. Statistical diagnostics show model error can be <40 % when surface point samples are used, with coefficients of determination ≥0.90. This novel approach shows similar accuracy to other surrogate methods such as instream turbidity. Results of this study indicate that optimizing spectra based on expected suspended-sediment concentration increases model performance.

Geomorphology↗

Understanding and managing introduction pathways into protected areas in a changing climate

The Kunming-Montreal Global Biodiversity Framework 2030 calls for the conservation of 30% of the world’s ecosystems, focusing on protecting areas vital to biodiversity, identifying and managing invasive species introduction pathways, and minimizing the impacts of climate change on biodiversity. While protected areas (PAs) have historically limited the introduction, establishment, and spread of non-native species, climate change is likely to increase their susceptibility to invasion. Yet we know little about how pathways may shift in the future, making it difficult for managers to plan appropriately. This paper explores how climate change may affect primary and secondary pathways of introduction and presents an adaptive management approach to avoid, minimize, and mitigate impacts. Climate change has influenced introduction pathways by modifying human behaviors (e.g., forced migration and shifting travel and vacation destinations), and by altering transportation routes, natural dispersal mechanisms, and the environmental conditions along these pathways and in donor and receiver regions. These changes increase the risk of non-native species introductions and their subsequent spread within PAs. Implementing climate-smart adaptive biosecurity, an iterative process that includes the incorporation of new technologies and perspectives, will become increasingly important for invasive species prevention and management of PAs as it provides flexibility in management response and maximizes positive outcomes when resources are limited.

Biological Invasions↗

Vaccination of endangered wildlife as a conservation tool: Hindsights and new horizons in the pandemic era

Vaccines are an established conservation tool that can reduce the threat of infectious disease in endangered wildlife populations. Vaccines exist for many infectious pathogens, and at a time of rapid technological advances in vaccinology, developing vaccines and vaccination programs for free-living endangered wildlife could help efforts to prevent extinctions from disease threats. Vaccination efforts could focus on protecting members of the target species or could be directed at reservoir populations to prevent pathogen spillover. Vaccination strategies need to be substantiated by research on safety and effectiveness, include risk and feasibility assessments, account for differences in host biology and disease epidemiology, and align with relevant regulatory frameworks. Engagement with stakeholders and the public is important to ensure the success of endangered species vaccination programs. Challenges such as funding, regulation, and societal acceptance are barriers to progress in vaccination programs for some species and geographic regions. We recommend the development of scientifically based international guidelines and a transdisciplinary forum with a specific emphasis on endangered wildlife vaccination. New technologies could be used collaboratively to prevent transmission of diseases for which vaccines are not currently available. Careful approaches and enhanced collaborations could help ensure the successful development of wildlife vaccination programs and promote resilience of endangered wildlife populations to increasing anthropogenic and environmental stressors on biodiversity.

Biological Conservation↗

Concentration of 1,4-Dioxane in Wells Sampled During 2002-2009 in the Vicinity of the Tucson International Airport Area Superfund Site, Arizona

Extensive groundwater contamination resulting from industrial activities led to the listing of the Tucson International Airport Area as a Superfund Site in 1983. Early investigations revealed elevated levels of volatile organic compounds (VOCs) including the chlorinated solvents trichloroethylene (TCE) and perchloroethylene (PCE) in wells in the area. Several responsible parties were identified and cleanup activities were begun in the late 1980s using technology designed for removal of VOCs. In 2002, the compound 1,4-dioxane was discovered in wells in the Tucson Airport Remediation Project (TARP) area. Since then, 1,4-dioxane has been detected throughout the TARP area, in some cases exceeding the U.S. Environmental Protection Agency (USEPA) drinking water advisory level of 3 ?g/L.

Scientific Investigations Map↗

Laboratory evaluation of the Sea-Bird Scientific HydroCycle-PO4 phosphate sensor

Sea-Bird Scientific’s HydroCycle-PO 4 phosphate sensor is a single-analyte wet-chemistry sensor designed for in situ environmental monitoring. The unit was evaluated at the U.S. Geological Survey Hydrologic Instrumentation Facility to assess the accuracy of the sensor in solutions with known phosphorous concentration and to test the effects of chromophoric (colored) dissolved organic matter (CDOM) and natural water matrixes on sensor accuracy. Accuracy was tested with three standards: 0.110, 0.174, and 0.260 milligram per liter, as phosphorous (mg/L as P). The 0.110- and 0.260-mg/L standards were made from a dilution of a National Institute of Standards and Technology-traceable phosphate-phosphorous standard with Type I deionized water (DIW). Average measured phosphate concentrations of the tested standards (0.110, 0.174, and 0.260 mg/L as P) in DIW were 0.132, 0.181, and 0.310 mg/L as P, for differences of 20, 4, and 19 percent, respectively. Measured phosphate concentration of a tested standard was biased by the addition of tea water filtered through a 0.45-micrometer pore size filter (filtered tea water [FTW]) simulating the effect of CDOM. An aliquot of the filtered tea solution was sent to a certified environmental laboratory, which reported a less than reporting level (<0.004 mg/L as P) phosphate concentration. True color of the FTW was measured at 380 platinum-cobalt units by using Standard Methods 8025. For this FTW test, the measured phosphate concentration for the clear 0.260 mg/L as P standard averaged 0.366 mg/L as P. This concentration increased to an average of 0.653 mg/L as P with the addition of 10 percent FTW, and to an average of 0.859 mg/L as P with the addition of 20 percent FTW. These test results indicate a positive bias of up to 40 percent of the concentrations of the measured phosphate concentrations when CDOM is present and indicate a proportional increase in an apparent concentration of phosphorus instrument response as CDOM concentration increases.

Open-File Report↗

Mineral supply for sustainable development requires resource governance

Successful delivery of the United Nations sustainable development goals and implementation of the Paris Agreement requires technologies that utilize a wide range of minerals in vast quantities. Metal recycling and technological change will contribute to sustaining supply, but mining must continue and grow for the foreseeable future to ensure that such minerals remain available to industry. New links are needed between existing institutional frameworks to oversee responsible sourcing of minerals, trajectories for mineral exploration, environmental practices, and consumer awareness of the effects of consumption. Here we present, through analysis of a comprehensive set of data and demand forecasts, an interdisciplinary perspective on how best to ensure ecologically viable continuity of global mineral supply over the coming decades.

Nature↗

Scientific developments ISFD3

Highlights, trends, and consensus from the 63 papers submitted to the Scientific Developments theme of the Third International Symposium on Flood Defence (ISFD) are presented. Realizing that absolute protection against flooding can never be guaranteed, trends in flood management have shifted: (1) from flood protection to flood-risk management, (2) from reinforcing structural protection to lowering flood levels, and (3) to sustainable management through integrated problem solving. Improved understanding of watershed responses, climate changes, applications of GIS and remote-sensing technologies, and advanced analytical tools appeared to be the driving forces for renewing flood-risk management strategies. Technical competence in integrating analytical tools to form the basin wide management systems are demonstrated by several large, transnation models. However, analyses from social-economic-environmental points of view are found lag in general. ?? 2006 Taylor & Francis Group.

Conference Paper↗

Summary report of the sediments, structural framework, petroleum potential, environmental conditions, and operational considerations of the United States Beaufort Sea, Alaska area

Proposed OCS Oil and Gas Lease Sale i54comprising approximately 20,000 sq km in the Beaufort Sea of northern Alaska, has good potential for petroleum in each of the three geologic provinces it contains. However, only about half of the proposed area underlies waters shallower than 20 m, the apparent present technologic limit for petroleum development in polar seas impacted by a drifting permanent ice pack.

Alaska↗

Decision analysis to advance environmental sustainability

Decision analysis provides a robust framework for complex decisions related to environmental sustainability and conservation, including for energy and water, fisheries and wildlife management, agriculture, and climate change response. The complexities of these problems stem from their large scope and scale, which leads to multiple decision makers, stakeholders, rightsholders, and other entities with potentially competing objectives. These problems often are time limited (e.g., urgent action is required to prevent species’ extinction), involve management interventions over long time scales and delayed responses to management (deep uncertainty), and are impeded by limited resources (funding, capacity, etc.). In this Special Issue on “Decision Analysis to Advance Environmental Sustainability,” we present five case studies of applications of decision analysis to complex problems in environmental sustainability and conservation. These case studies incorporate multiple objectives related to ecological and environmental sustainability, economic and social concerns, and logistics of implementation. They showcase a wide range of tools and applications to these problems. We also provide suggestions for new avenues of research and application of decision analysis to problems of environmental sustainability and conservation, including how to incorporate other decision-making tools into decision analysis processes, how to broaden the reach of decision analysis to other sustainability problems, how to incorporate more stakeholders and rightsholders into the decision process, the potential to incorporate new technology into these processes, identifying more creative alternatives, how to secure more funding, ways to move from decision to action, and how to move beyond status quo to make big transitions necessary to achieve sustainability.

Decision Analysis↗

USGS science in Menlo Park -- a science strategy for the U.S. Geological Survey Menlo Park Science Center, 2005-2015

In the spring of 2004, the U.S. Geological Survey (USGS) Menlo Park Center Council commissioned an interdisciplinary working group to develop a forward-looking science strategy for the USGS Menlo Park Science Center in California (hereafter also referred to as "the Center"). The Center has been the flagship research center for the USGS in the western United States for more than 50 years, and the Council recognizes that science priorities must be the primary consideration guiding critical decisions made about the future evolution of the Center. In developing this strategy, the working group consulted widely within the USGS and with external clients and collaborators, so that most stakeholders had an opportunity to influence the science goals and operational objectives. The Science Goals are to: Natural Hazards: Conduct natural-hazard research and assessments critical to effective mitigation planning, short-term forecasting, and event response. Ecosystem Change: Develop a predictive understanding of ecosystem change that advances ecosystem restoration and adaptive management. Natural Resources: Advance the understanding of natural resources in a geologic, hydrologic, economic, environmental, and global context. Modeling Earth System Processes: Increase and improve capabilities for quantitative simulation, prediction, and assessment of Earth system processes. The strategy presents seven key Operational Objectives with specific actions to achieve the scientific goals. These Operational Objectives are to: Provide a hub for technology, laboratories, and library services to support science in the Western Region. Increase advanced computing capabilities and promote sharing of these resources. Enhance the intellectual diversity, vibrancy, and capacity of the work force through improved recruitment and retention. Strengthen client and collaborative relationships in the community at an institutional level. Expand monitoring capability by increasing density, sensitivity, and efficiency and reducing costs of instruments and networks. Encourage a breadth of scientific capabilities in Menlo Park to foster interdisciplinary science. Communicate USGS science to a diverse audience.

Circular↗

Reducing wastewater nitrogen loading by >90% with carbon-amended septic systems: A field demonstration in Barnstable (Cape Cod), Massachusetts

Onsite wastewater treatment systems (OWTS) are a major source of excess nutrients and co-pollutants in watersheds across the United States. In Barnstable County (Cape Cod), Massachusetts, effluent from septic systems and cesspools contributes approximately 80% of the controllable reactive nitrogen (N) load to numerous impaired estuaries and degrades water quality in the region's sole source aquifer, streams and ponds. In unsewered areas, wastewater N loads could be reduced substantially by Innovative/Alternative (I/A) septic systems designed for enhanced removal. Use, however, has been partly limited by the availability of high performing, cost effective options, while conventional septic systems continue to be installed in watersheds with well documented N impairments. This paper describes the strategic replacement of residential OWTS with two I/A models that incorporate woodchip bioreactors to enhance N removal. Systems were installed at 14 neighboring homes in Barnstable, MA, and monitored for field performance. Influent and effluent were sampled monthly and analyzed for N and phosphorus (P), among other water quality indicators. Flow to each system was continuously metered to estimate nutrient loads. Results from the first 25 months of monitoring for 13 systems with at least a full year of data are presented in terms of 1) reductions in nutrient concentrations and mass loads and 2) reliability of the systems for meeting a performance goal of total N (TN) < 10 mg/L. Discussion supports consideration of where and how these technologies may be successfully used to manage excess N in sensitive watersheds.

Massachusetts↗

Cyanobacterial harmful algal blooms and U.S. Geological Survey science capabilities

Cyanobacterial harmful algal blooms (CyanoHABs) are increasingly a global concern because CyanoHABs pose a threat to human and aquatic ecosystem health and cause economic damages. Despite advances in scientific understanding of cyanobacteria and associated compounds, many unanswered questions remain about occurrence, environmental triggers for toxicity, and the ability to predict the timing, duration, and toxicity of CyanoHABs. U.S. Geological Survey (USGS) scientists are leading a diverse range of studies to address CyanoHAB issues in water bodies throughout the United States, using a combination of traditional methods and emerging technologies, and in collaboration with numerous partners. By providing practical applications of cutting edge CyanoHAB research, USGS studies have advanced scientific understanding, enabling the development of approaches to help protect ecological and human health.

Open-File Report↗

Outlining potential biomarkers of exposure and effect to critical minerals: Nutritionally essential trace elements and the rare earth elements

Emerging and low-carbon technologies and innovations are driving a need for domestic sources, sustainable use, and availability of critical minerals (CMs)—those vital to the national and economic security of the United States. Understanding the known and potential health effects of exposures to such mineral commodities can inform prudent and environmentally responsible handling and harvesting. We review the occurrence, use, predominant exposure pathways, and adverse outcome pathways (AOP) for human and fish receptors of those CMs that are nutritionally essential trace metals (specifically, cobalt, chromium, manganese, nickel, and zinc), as well as the rare earth elements. Biological responses to some elements having comparable biogeochemistry can sometimes be similar. Candidate quantifiable biomarkers for assessing potential AOP are conveyed.

Toxics↗

Sampling and monitoring for closure

An important aspect of planning a new mine or mine expansion within the modern regulatory framework is to design for ultimate closure. Sampling and monitoring for closure is a form of environmental risk management. By implementing a sampling and monitoring program early in the life of the mining operation, major costs can be avoided or minimized. The costs for treating mine drainage in perpetuity are staggering, especially if they are unanticipated. The Metal Mining Sector of the Acid Drainage Technology Initiative (ADTI-MMS), a cooperative government-industry-academia organization, was established to address drainage-quality technologies of metal mining and metallurgical operations. ADTI-MMS recommends that sampling and monitoring programs consider the entire mine-life cycle and that data needed for closure of an operation be collected from exploration through postclosure.

Reviews in Engineering Geology↗

Water quality of groundwater and stream base flow in the Marcellus Shale Gas Field of the Monongahela River Basin, West Virginia, 2011-12

The Marcellus Shale gas field underlies portions of New York, Pennsylvania, Ohio, Virginia, Maryland, Tennessee, and West Virginia. Development of hydraulic fracturing and horizontal drilling technology led to extensive development of gas from the Marcellus Shale beginning about 2007. The need to identify and monitor changes in water-quality conditions related to development of the Marcellus Shale gas field prompted the U.S. Geological Survey, in cooperation with the West Virginia Department of Environmental Protection, Division of Water and Waste Management, to document water quality for comparison with water quality in samples collected at a future date. The identification of change in water-quality conditions over time is more difficult if baseline water-quality conditions have not been documented. U.S. Geological Survey personnel sampled groundwater and surface water in West Virginia&rsquo;s Monongahela River Basin during 2011&ndash;12. A groundwater survey, in which 39 wells and 2 springs were sampled, was conducted during June through September 2011. A base-flow survey was conducted during July through October 2012; 50 stream sites were sampled under base-flow conditions in this survey. Because additives to hydraulic fracturing fluids are variable and decrease in flowback water over a relatively short time, water-quality analyses for this study focused on documenting the water-quality characteristics typical of water from shallow aquifers; water derived from contact with the Marcellus Shale (flowback from hydraulic fracturing or formation water); and water with constituents from conventional oil and gas development, sewage effluent, and coal-mine drainage. All samples were analyzed for field properties (water temperature, pH, specific conductance, dissolved oxygen, and turbidity), major ions, trace elements, naturally occurring radioactive materials, and stable isotopes. In addition to documenting baseline water-quality conditions for an area of shale-gas development, these data were examined for patterns in water quality. Groundwater and base-flow survey data were compared to historical data from the Monongahela River Basin in West Virginia. Additionally, groundwater- and base-flow survey samples were grouped by Marcellus Shale gas production in the subbasin in which that sampling site was located. The comparisons of data collected as part of this study with historical data identified few differences. No significant difference was found in a comparison of groundwater survey data and historical data. Base-flow survey samples differed significantly from historical data for pH, chloride, and strontium, all of which had higher concentrations in the base-flow survey samples. Differences in pH are likely related to changes in mining regulation beginning in 1977. Concentrations of chloride and strontium elevated above background concentrations may be related to saline groundwater; saline water is within 300 feet of the land surface in parts of the study area. In the comparison of base-flow survey samples grouped by shale-gas-production setting, significant differences were found for fluoride and barium. Concentrations of fluoride and barium were higher in stream subbasins with active Marcellus Shale production than in subbasins not near active Marcellus Shale production. Elevated fluoride and barium are associated with deep brines. Generally, naturally occurring radioactive materials were not found in elevated concentrations in either groundwater or base-flow samples. Only 3 samples, 2 from the groundwater survey and one from the base-flow survey, exceeded the U.S. Environmental Protection Agency maximum contaminant level for radium isotopes of 5.0 picocurie per liter for either a single isotope or a combined value of radium-226 and radium-228. Stable isotope composition indicates broad similarity among surface water, shallow groundwater, and precipitation in the region. Neither shallow groundwater nor surface water showed a marked similarity with the deep brines associated with shale gas. In most of the groundwater survey samples, 38 of 41 samples, dissolved gas profiles were similar to those previously found in samples from shallow, domestic wells in the region. This study provides a baseline of water-quality conditions in the Monongahela River Basin in West Virginia during the early phases of development of the Marcellus Shale gas field. Although not all inclusive, the results of this study provide a set of reliable water-quality data against which future data sets can be compared and the effects of shale-gas development may be determined.

West Virginia↗

Local variations in broadband sensor installations: Orientations, sensitivities, and noise levels

As seismologists continue to place more stringent demands on data quality, accurately described metadata are becoming increasingly important. In order to better constrain the orientation and sensitivities of seismometers deployed in U.S. Geological Survey networks, the Albuquerque Seismological Laboratory (ASL) has recently begun identifying true north with a fiber optic gyroscope (FOG) and has developed methodologies to constrain mid-band, vertical component sensitivity levels to less than 1% in a controlled environment. However, questions remain regarding the accuracy of this new alignment technique as well as if instrument sensitivities and background noise levels are stable when the seismometers are installed in different environmental settings. In this study, we examine the stability and repeatability of these parameters by reinstalling two high-quality broadband seismometers (Streckeisen STS-2.5 and Nanometrics T-360 Global Seismographic Network (GSN) version) at different locations around the ASL and comparing them to each other and a reference STS-6 seismometer that stayed stationary for the duration of the experiment. We find that even in different environmental conditions, the sensitivities of the two broadband seismometers stayed stable to within 0.1% and that orientations attained using the FOG are generally accurate to within a degree. However, one install was off by 5° due to a mistake made by the installation team. These results indicate that while technology and methodologies are now in place to calibrate and orient a seismometer to within 1°, human error both during the installation and while producing the metadata is often a limiting factor. Finally, we find that background noise levels at short periods (0.1–1 s) become noisier when the sensors are emplaced in unconsolidated materials, whereas the noise levels at long periods (30–100 s) are not sensitive to local geological structure on the vertical components.

Pure and Applied Geophysics↗

Movement ecology

(Yackulic) At first glance, the decision to study movement in Galapagos tortoises seems curious. Given the slow speed of tortoises and tendency to forage and rest as they move, it seems implausible that tortoises would string their slow bursts of activity together to accomplish large-scale movements. Nonetheless, as early as 1815 (Porter 1815), visitors to Galapagos have noted the propensity for tortoises to walk long distances along well used trails, leading to seasonal changes in the distribution of tortoises on the various islands of the Archipelago. In recent years, advances in the technology used to track animals have led to a better understanding of movement and the diversity of movement strategies among many animal taxa. This chapter focuses on the application of these technologies to study of movement in Galapagos tortoises. Recent work has shown not only the diversity of movement strategies employed by Galapagos tortoises, but also illustrated how movement can both cause and be a consequence of interaction between reproductive and foraging ecologies of tortoises and the presence of strong environmental gradients. Understanding how critical unimpeded movement is to the persistence of Galapagos tortoises also informs efforts to maintain connectivity to, and suitable habitat within, tortoise range outside of protected areas.

Book chapter↗

Trading off hatching success and cost in the captive breeding of Whooping Cranes

Captive breeding is an increasingly used conservation strategy for species with a high risk of extinction in the wild, but managing a captive breeding programme can be challenging if there is a deficiency in knowledge about the species’ breeding biology. A knowledge gap can make it difficult to evaluate different management options. For avian species, egg hatching success is a key demographic parameter, and data-logging egg technology can provide important information on optimal species-specific incubation conditions, which can help inform captive breeding practises and identify efficient captive management options. In the context of a captive breeding programme for endangered Whooping Cranes Grus americana , we investigated associations between hatching success and incubation conditions, including environmental parameters (temperature, relative humidity and egg turning rate), and incubation type (artificial incubation; foster incubation by Sandhill Cranes, Grus canadensis ; and Whooping Crane incubation). Finally, we considered both cost and breeding output in an analysis of incubation practises. We found that daily mean temperatures were negatively associated with hatching success, and that hatching success was highest with incubation under Sandhill Cranes. However, incubation by artificial incubators, rather than Sandhill Cranes, provided a trade-off between cost and breeding output that is likely to be acceptable to many captive programme managers. We encourage other captive breeding programmes to use innovations that help to increase potential release numbers for conservation translocations by considering biological and financial constraints.

Animal Conservation↗