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At least 1,387 records · Page 77Linked to original sources

Modflow-setup: Robust automation of groundwater model construction

In an age of both big data and increasing strain on water resources, sound management decisions often rely on numerical models. Numerical models provide a physics-based framework for assimilating and making sense of information that by itself only provides a limited description of the hydrologic system. Often, numerical models are the best option for quantifying even intuitively obvious connections between human activities and water resource impacts. However, despite many recent advances in model data assimilation and uncertainty quantification, the process of constructing numerical models remains laborious, expensive, and opaque, often precluding their use in decision making. Modflow-setup aims to provide rapid and consistent construction of MODFLOW groundwater models through robust and repeatable automation. Common model construction tasks are distilled in an open-source, online code base that is tested and extensible through collaborative version control. Input to Modflow-setup consists of a single configuration file that summarizes the workflow for building a model, including source data, construction options, and output packages. Source data providing model structure and parameter information including shapefiles, rasters, NetCDF files, tables, and other (geolocated) sources to MODFLOW models are read in and mapped to the model discretization, using Flopy and other general open-source scientific Python libraries. In a few minutes, an external array-based MODFLOW model amenable to parameter estimation and uncertainty quantification is produced. This paper describes the core functionality of Modflow-setup, including a worked example of a MODFLOW 6 model for evaluating pumping impacts to a lake in central Wisconsin, United States.

Wisconsin↗

Aquatic vegetation and invertebrate communities of Big Stone National Wildlife Refuge

Observed degradation of aquatic systems at Big Stone National Wildlife Refuge, located in west-central Minnesota, have been associated with sediment-laden inflows from riverine systems. To support management, a study was conducted during 2013–2014 with overall goals of characterizing the aquatic invertebrate and vegetation communities of the Big Stone National Wildlife Refuge and exploring relations between these communities and various water-quality parameters. Sample sites were located along an observed vegetation gradient and assigned to three predetermined habitat zones for comparison purposes: upstream, transition, and downstream. Of the 12 species of aquatic vegetation that were identified, invasive narrowleaf cattail Typha angustifolia dominated the upstream zone (observed at .90% of sample locations), coontail Ceratophyllum demersum and narrowleaf cattail were most common in the transition zone (collected or observed at 100 and 83% of sample locations, respectively), and coontail and narrowleaf pondweed Potamogeton strictifolius were most common in the downstream zone collected at 100 and 64% of sample locations, respectively). Measured values for the water-quality parameters varied among dates, reflecting the continually fluctuating nature of riverine systems. Based on general observations across sample dates, turbidity and dissolved oxygen concentrations were greatest in the upstream zone sample sites, while oxidation-reduction potential was greatest in the downstream zone sites. There were 115 unique aquatic invertebrate taxa identified to varying levels of taxonomic resolution. Results suggested that there were overall differences in invertebrate biomass among the sample dates, but that there were no strong trends among the sample zones. Aquatic invertebrates and vegetation communities, along with the water-quality parameters, varied temporally and showed irregular relations among the sample zones. These general observations emphasize the importance of temporally and spatially intensive sampling to account for natural variation. Moreover, short- and long-term streamflow and water-level information obtained for this study demonstrated substantial variability that must be considered when conducting biotic inventories and monitoring water quality, as well as when using such data to assess management options. Periodic monitoring of wetlands and associated streamflows, along with sediment loads and water quality of inflows, should allow Big Stone National Wildlife Refuge staff to identify habitat degradation and potential contributing factors, and to develop strategies to achieve specific management objectives and goals.

Minnesota↗

Compendium of crane behavior. Part 1: Individual (nonsocial) behavior

This paper provides the organizational framework, nomenclature, and abbreviated descriptions for all conspicuous nonsocial behavioral units for all 15 species of crane. We present eight generalized functional classes of behavior. These classes include about 90 discrete motor patterns that constitute the nonsocial repertoire of all cranes. We present this compendium to facilitate information exchanges among students of crane behavior and to encourage interest in future detailed studies of the descriptive ethology of each species.

Book chapter↗

Structure and composition of a watershed-scale sediment information network

A 'Watershed-Scale Sediment Information Network' (WaSSIN), designed to complement UNESCO's International Sedimentation Initiative, was endorsed as an initial project by the World Association for Sedimentation and Erosion Research. WaSSIN is to address global fluvial-sediment information needs through a network approach based on consistent protocols for the collection, analysis, and storage of fluvial-sediment and ancillary information at smaller spatial scales than those of the International Sedimentation Initiative. As a second step of implementation, it is proposed herein that the WaSSIN have a general structure of two components, (1) monitoring and data acquisition and (2) research. Monitoring is to be conducted in small watersheds, each of which has an established database for discharge of water and suspended sediment and possibly for bed load, bed material, and bed topography. Ideally, documented protocols have been used for collecting, analyzing, storing, and sharing the derivative data. The research component is to continue the collection and interpretation of data, to compare those data among candidate watersheds, and to determine gradients of fluxes and processes among the selected watersheds. To define gradients and evaluate processes, the initial watersheds will have several common attributes. Watersheds of the first group will be: (1) six to ten in number, (2) less than 1000 km2 in area, (3) generally in mid-latitudes of continents, and (4) of semiarid climate. Potential candidate watersheds presently include the Weany Creek Basin, northeastern Australia, the Zhi Fanggou catchment, northern China, the Eshtemoa Watershed, southern Israel, the Metsemotlhaba River Basin, Botswana, the Aiuaba Experimental Basin, Brazil, and the Walnut Gulch Experimental Watershed, southwestern United States.

International Journal of Sediment Research↗

A progress report on results of test drilling and ground-water investigations of the Snake Plain aquifer, southeastern Idaho: Part 3: Lake Walcott-Bonanza Lake area

Direct-current resistivity soundings and exploratory drilling suggest that the basalt of the Snake River Group is relatively thin in the area along the Snake River that is topographically suitable for pumping large quantities of ground water in exchange for surface water. The formations underlying the Snake River Group appear to have low permeability and probably would not yield large amounts of water. Previous studies have indicated that the southern edge of the Snake Plain aquifer extended to the Snake River. Data presented in this report implies that, in general, the southern boundary should, in fact, be several miles north of the river.

Idaho↗

User's guide and metadata for WestuRe: U.S. Pacific Coast estuary/watershed data and R tools

Overview There are about 350 estuaries along the U.S. Pacific Coast (U.S. Fish andWildlife 2011). Basic descriptive data for these estuaries, such as their size and watershed area, are important for coastal-scale research and conservation planning. However, this information is spread among many sources, making it difficult to find and standardize. The goal of the WestuRe Project is to provide a framework to: (1) make general descriptive data for estuaries and their watersheds more accessible, and (2) provide tools to make analyzing and visualizing these data easier. The WestuRe download includes data describing U.S. Pacific Coast estuaries and their corresponding watersheds from northern Washington (including the region located along the Strait of Juan de Fuca that goes from Port Townsend to Cape Flattery, 48.383°N) to southern California (Tijuana Estuary, 32.557°N), excluding Puget Sound proper and coastal islands (Fig. 1). The WestuRe data currently include shapefiles of estuary and watershed polygons as well as CSV files summarizing geomorphological and climate data (Fig. 2, Section 2). The WestuRe tools help users extract and view relevant data using the statistical program R and Google Earth (Fig. 3, Section 3). Potential applications of the data include: Describing and comparing estuaries and watersheds at the landscape scale Identifying relationships between estuary/watershed variables Incorporating estuary/watershed attributes in models to predict species and habitat distributions Classifying estuaries according to morphology, climate, and habitat (Lee and Brown 2009)

California, Oregon, Washington↗

Encylopedia of Caves

For many people, a visit to a cave is a wondrous event directing our minds to ponder the mysteries presented by these unique places and inspiring questions: How old is the cave? What was the role of water in forming the cave and where did the water come from? How is the cave connected to the surface environment? These are intriguing questions to ask, and karst scientists use isotope geochemistry to help solve these mysteries. Isotopes are atoms of the same chemical element that have the same number of protons but vary in their number of neutrons. As a result of their atomic mass difference, isotopes of a single element may exhibit slightly different chemical behavior. Radioisotopes are unstable and the nucleus of a parent isotope will spontaneously break apart (decay), releasing energy and changing into another element (daughter product) by loss or gain of protons, neutrons, or electrons. Stable isotopes, as implied by the name, are stable and do not spontaneously decay. These two types of isotopes are used widely by scientists to understand ancient and modern karst systems. Generally, radioisotopes are used for absolute dating karst water, cave sediments, cave formations (speleothems), and other material preserved in caves (such as bones). Stable isotopes can provide information about relative ages of cave water and speleothems. An absolute age provides a numeric date—such as 100,000 years old—whereas a relative age provides information that something is older or younger than something else—such as cave art is younger than a speleothem found in the same cave. Stable isotopes are used to study ancient karst systems because isotopic signals of past climate (paleoclimate) and environmental conditions (paleoenvironment) are preserved in speleothems and sediments. Stable isotopes are also used to understand modern systems, primarily through studies that distinguish sources of karst water, cave air, or contaminants, mixing of those sources, and biologic or chemical reactions that process compounds, such as breakdown of contaminants or organic matter. The variation in mass among isotopes is small, and isotope abundances are measured as a ratio of a common isotope to its less common isotopic counterparts (stable isotopes) or the abundance of a parent compared to daughter isotope (radioisotopes). As an example, hydrogen (H) has three naturally occurring isotopes. Most H comprises one proton (1H), but the rarer stable isotope (called deuterium) comprises one proton and one neutron (2H), and the radioisotope (called tritium) comprises one proton and two neutrons (3H). Because scientists use the minute differences in isotopes to test hypotheses, a scientist must understand the accuracy, precision, and error of the available methods, the assumptions about the chemical conditions of interest, and the limitations of the isotopic method being used. Many isotopic studies employ multiple isotopic tracers to better leverage the strengths and offset the limitations of using a single isotope. This article focuses on isotopes used to study the geology and hydrology of caves, but much additional isotopic work has been used to characterize the biology of caves.

Book chapter↗

Land use and land cover digital data

The discipline of cartography is undergoing a number of profound changesthat center on the emerging influence ofdigital manipulation and analysis ofdata for the preparation of cartographic materials and for use in geographic information systems. Operational requirements have led to the development by the USGS National Mapping Division of several documents that establish in-house digital cartographic standards. In an effort to fulfill lead agency requirements for promulgation of Federal standards in the earth sciences, the documents have been edited and assembled with explanatory text into a USGS Circular. This Circular describes some of the pertinent issues relative to digital cartographic data standards, documents the digital cartographic data standards currently in use within the USGS, and details the efforts of the USGS related to the definition of national digital cartographic data standards. It consists of several chapters; the first is a general overview, and each succeeding chapter is made up from documents that establish in-house standards for one of the various types of digital cartographic data currently produced. This chapter 895-E, describes the Geographic Information Retrieval and Analysis System that is used in conjunction with the USGS land use and land cover classification system to encode, edit, manipuate, and analyze land use and land cover digital data.

Open-File Report↗

Effects of acid deposition on ecosystems: Advances in the state of the science

Chapter 2 focused on the environmental results of the ARP, presenting data from national monitoring networks on SO2 and NOx emissions, air quality, atmospheric deposition, surface water chemistry, and visibility. This chapter expands on this information by examining the most recent research into how ecosystems respond to acid deposition, especially the processes that control the recovery of ecosystems as acid deposition decreases. In Chapter 2, two general trends were discussed regarding the current recovery status of affected ecosystems: (1) these ecosystems are trending generally towards recovery, but improvements in ecosystem condition shown by surface water chemistry monitoring data thus far have been less than the improvements in deposition; and (2) ecosystem impacts and trends vary widely by geographic region, but the evidence of improvement is strongest and most evident in the Northeast. These trends are not uniform across the United States, however, and in some regions (e.g., central Appalachian Mountain region), trends in improved water quality are generally not evident. Despite the strong link in many areas between reduced emissions and reduced acidity of atmospheric deposition, the link is less clear between reduced acidity and recovery of the biological communities that live in aquatic and terrestrial ecosystems that have experienced deleterious effects from acid deposition. The recovery of these communities is proceeding at a slower pace than, for example, the improvements in stream and lake ANC would indicate. The goal of this chapter is to synthesize the science in a weightof-evidence manner to provide policy makers with tangible evidence and likely causative factors regarding ecosystem status and recovery patterns to date. This chapter serves as an update to the 2005 NAPAP RTC (NSTC, 2005), with an emphasis on scientific studies and monitoring since 2003, which was the last year for consideration of research results in the 2005 report. Several issues pertinent to ecosystem response to emission controls and acid deposition are receiving increasing attention in the scientific literature and will be discussed in this chapter, including the (1) observed delay in ecosystem recovery in the eastern United States, even with decreases in emissions and deposition over the past 30 years; (2) emerging ecosystem impacts of nitrogen deposition in the western United States; (3) the application of critical deposition loads as a tool for scientists to better inform air quality policies; (4) the role of changes in climate and the carbon cycle as factors that affect the response of ecosystems to acid deposition; and (5) the interaction of multiple pollutants in ecosystems. Throughout this chapter, the value of long-term environmental monitoring data in informing air quality policy will be highlighted, including the limitations of assessing the current status of some ecosystem indicators for which continuous, long-term data are lacking.

Report↗

Genetic analyses of captive Alala (Corvus hawaiiensis) using AFLP analyses

Population level studies of genetic diversity can provide information about population structure, individual genetic distinctiveness and former population size. They are especially important for rare and threatened species like the Alala, where they can be used to assess extinction risks and evolutionary potential. In an ideal situation multiple methods should be used to detect variation, and these methods should be comparable across studies. In this report, we discuss AFLP (Amplified Fragment Length Polymorphism) as a genetic approach for detecting variation in the Alala , describe our findings, and discuss these in relation to mtDNA and microsatellite data reported elsewhere in this same population. AFLP is a technique for DNA fingerprinting that has wide applications. Because little or no prior knowledge of the particular species is required to carry out this method of analysis, AFLP can be used universally across varied taxonomic groups. Within individuals, estimates of diversity or heterozygosity across genomes may be complex because levels of diversity differ between and among genes. One of the more traditional methods of estimating diversity employs the use of codominant markers such as microsatellites. Codominant markers detect each allele at a locus independently. Hence, one can readily distinguish heterozygotes from homozygotes, directly assess allele frequencies and calculate other population level statistics. Dominant markers (for example, AFLP) are scored as either present or absent (null) so heterozygotes cannot be directly distinguished from homozygotes. However, the presence or absence data can be converted to expected heterozygosity estimates which are comparable to those determined by codominant markers. High allelic diversity and heterozygosity inherent in microsatellites make them excellent tools for studies of wild populations and they have been used extensively. One limitation to the use of microsatellites is that heterozygosity estimates are affected by the mutation rate at microsatellite loci, thus introducing a bias. Also, the number of loci that can be studied is frequently limited to fewer than 10. This theoretically represents a maximum of one marker for each of 10 chromosomes. Dominant markers like AFLP allow a larger fraction of the genome to be screened. Large numbers of loci can be screened by AFLP to resolve very small individual differences that can be used for identification of individuals, estimates of pairwise relatedness and, in some cases, for parentage analyses. Since AFLP is a dominant marker (can not distinguish between +/+ homozygote versus +/- heterozygote), it has limitations for parentage analyses. Only when both parents are homozygous for the absence of alleles (-/-) and offspring show a presence (+/+ or +/-) can the parents be excluded. In this case, microsatellites become preferable as they have the potential to exclude individual parents when the other parent is unknown. Another limitation of AFLP is that the loci are generally less polymorphic (only two alleles/locus) than microsatellite loci (often >10 alleles/locus). While generally fewer than 10 highly polymorphic microsatellite loci are enough to exclude and assign parentage, it might require up to 100 or more AFLP loci. While there are pros and cons to different methodologies, the total number of loci evaluated by AFLP generally offsets the limitations imposed due to the dominant nature of this approach and end results between methods are generally comparable. Overall objectives of this study were to evaluate the level of genetic diversity in the captive population of Alala, to compare genetic data with currently available pedigree information, and to determine the extent of relatedness of mating pairs and among founding individuals.

Open-File Report↗

Map showing spatial and temporal relations of mountain and continental glaciations on the Northern Plains, primarily in northern Montana and northwestern North Dakota

This report is an overview of glacial limits and glacial history on the plains in northern Montana and northeastern North Dakota (long 102?-114?W.) and also in adjacent southern Alberta and Saskatchewan, Canada. In the Rocky Mountains and on the plains adjacent to the mountains in Montana, the map also depicts spatial relations of valley glaciers and piedmont ice lobes to continental ice sheets. Glacial limits east of 102?, in the United States and also in adjacent Canada, are depicted on published maps of the U.S. Geological Survey Quaternary Geologic Atlas of the United States (I-1420) map series. The limits shown here are from data compiled for the Lethbridge, Regina, Yellowstone, and Big Horn Mountains 4? x 6? quadrangles in the Quaternary Geologic Atlas series. This geospatial database has been prepared with a degree of detail appropriate for viewing at a scale of 1:1,000,000. Because of the degree of generalization required, the map is intended for regional analysis, rather than for detailed analysis in specific areas. It depicts the geographic positions of the limits of mountain and continental glaciations and the limits of selected glacial readvances. That information provides a foundation for reconstruction of geologic history and for reconstruction. The base map is simplified. Selected hydrographic features, selected towns and cities, selected physiographic features, and a grid of 1? x 2? topographic quadrangles are included to aid the reader in location of the glacial limits and other features that are depicted here on other maps at different scales. Most of the geologic data were compiled at 1:250,000 scale. The nominal reading scale of the digitized map data is 1:1,000,000. Enlargement will not restore resolution that was lost by simplification or generalization of data. Accompanying illustrations show regional directions of ice movement from Canada into the United States during maximum Illinoian glaciation, during maximum late Wisconsin glaciation, and during a later regional glacial readvance maximum

Scientific Investigations Map↗

Paleohydrologic techniques used to define the spatial occurrence of floods

Defining the cause and spatial characteristics of floods may be difficult because of limited streamflow and precipitation data. New paleohydrologic techniques that incorporate information from geomorphic, sedimentologic, and botanic studies provide important supplemental information to define homogeneous hydrologic regions. These techniques also help to define the spatial structure of rainstorms and floods and improve regional flood-frequency estimates. The occurrence and the non-occurrence of paleohydrologic evidence of floods, such as flood bars, alluvial fans, and tree scars, provide valuable hydrologic information. The paleohydrologic research to define the spatial characteristics of floods improves the understanding of flood hydrometeorology. This research was used to define the areal extent and contributing drainage area of flash floods in Colorado. Also, paleohydrologic evidence was used to define the spatial boundaries for the Colorado foothills region in terms of the meteorologic cause of flooding and elevation. In general, above 2300 m, peak flows are caused by snowmelt. Below 2300 m, peak flows primarily are caused by rainfall. The foothills region has an upper elevation limit of about 2300 m and a lower elevation limit of about 1500 m. Regional flood-frequency estimates that incorporate the paleohydrologic information indicate that the Big Thompson River flash flood of 1976 had a recurrence interval of approximately 10,000 years. This contrasts markedly with 100 to 300 years determined by using conventional hydrologic analyses. Flood-discharge estimates based on rainfall-runoff methods in the foothills of Colorado result in larger values than those estimated with regional flood-frequency relations, which are based on long-term streamflow data. Preliminary hydrologic and paleohydrologic research indicates that intense rainfall does not occur at higher elevations in other Rocky Mountain states and that the highest elevations for rainfall-producing floods vary by latitude. The study results have implications for floodplain management and design of hydraulic structures in the mountains of Colorado and other Rocky Mountain States.

Geomorphology↗

Research to improve ShakeAlert earthquake early warning products and their utility

Earthquake early warning (EEW) is the rapid detection of an earthquake and issuance of an alert or notification to people and vulnerable systems likely to experience potentially damaging ground shaking. The level of ground shaking that is considered damaging is defined by the specific application; for example, manufacturing equipment may experience damage at a lower intensity ground shaking than would cause damage to a building. Along the West Coast of the United States, the warning times for ground shaking could range as high as tens of seconds for moderate levels of ground shaking, or potentially longer, if a lower ground-shaking threshold is used to issue alerts. However, it is not always possible to provide advance warning of ground shaking, particularly for locations close to an earthquake that are most likely to experience very strong ground shaking. EEW alerts may be useful to individuals who can use a few seconds to move to a safe zone and to electromechanical systems that can take automatic actions to reduce damage and injuries. An EEW system, ShakeAlert, has been under development in the United States since 2006. Federal and State governments, as well as the private sector, are now investing in the ShakeAlert prototype system that will, when completed, become an operational public system for the West Coast of the United States. While the current prototype is delivering alerts to test users, improvements to the accuracy, timeliness, and utility of the alerts are needed. For this reason, it is essential that the ShakeAlert system be continuously improved through targeted research, involving not only the current ShakeAlert partner organizations, but also the broader scientific, engineering, and emergencyresponse communities. To this end, this report describes the opportunities for improvement that can be addressed through research and development over the next 5 years. Our recommendations are organized into four areas: (1) understand EEW capabilities and user needs, (2) make alerts as fast and accurate as possible, (3) ensure reliability when it counts, and (4) explore the use of new instrumentation. The first challenge is to understand EEW capabilities and user needs. EEW must deliver actionable information to people and to automated systems to mitigate short- and longterm impacts of damaging ground shaking, so development of EEW must be motivated by the needs of users. Within this challenge, we must study the technical capabilities and limitations of EEW in general, and the ShakeAlert system specifically. This includes development of performance metrics that assess the timeliness and accuracy of alerts to understand the value and utility of the ShakeAlert EEW product(s) for various user groups, including different industry sectors, emergency-management agencies, and the public. Research is needed to define the alerting choices that maximize the utility of the system for users and to determine what the available communication pathways are for providing timely alert information. Additionally, we engage users to assess how alerts will be used by different sectors to mitigate losses and to inform EEW product design. Further, social-science research is needed to develop alert messaging, including what relevant prior and follow-up information are required, to ensure effective use of alerts. The second challenge is to make alerts as fast and as accurate as possible. The timeliness and accuracy of an EEW alert is important because it will set in motion a series of actions and downstream products. An EEW alert will trigger notification across emergency-alert systems and across multiple communication channels to populations in impacted regions. The EEW alert region may grow as the earthquake fault-rupture length increases, and the EEW system’s characterization of it, evolves. We must continue research into new or improved seismic and geodetic waveform-processing methods necessary to rapidly characterize the expected ground shaking and associated uncertainties. It is important to thoroughly evaluate whether new methods improve alerts through more accurate ground-motion estimates and (or) reduced latencies (that is, longer warning times). New methods could include tracking the extent of a large rupture in real time (known as finite-fault algorithms) and ground-motionbased EEW algorithms. Additionally, ground motion predictions could be optimized for each earthquake as the earthquake fault rupture progresses by using, for example, event terms to shift ground-motion curves for more (or less) energetic ruptures. The third challenge is to ensure reliability when it counts. This challenge requires us to explore approaches that assess the expected performance of ShakeAlert across the range of earthquake magnitudes, locations, and depths that may occur within the alerting region. Large, damaging earthquakes and their associated aftershock sequences matter most for hazard and for EEW, but these large-earthquake sequences occur infrequently. We expect ShakeAlert to respond robustly to these large-earthquake sequences despite potentially long periods of relative seismic quiescence in the intervening years, and in spite of inevitable communication challenges that arise during and after a large earthquake. We must develop methods to utilize the broadest available datasets to test EEW performance, including ground-motion data recorded in other parts of the world. The observational period for large, damaging earthquakes in any particular region has been short in comparison to estimated large-earthquake recurrence times. Ground-motion records for very large, damaging western United States events and major aftershock sequences do not yet exist, nor do data exist for all potential sources of noise and spurious signals that ShakeAlert must be “tuned” to reject. In addition, robust synthetic data could provide the flexibility to test a wider range of earthquake magnitude, tectonic-setting, and noise scenarios than are covered by existing observational data. Synthetic ground-motion data must be thoroughly vetted against records of smaller magnitude earthquakes to ensure that they accurately capture both the onset and the amplitude of the ground shaking. The final challenge is to explore the use of new instrumentation. The development of EEW around the world to date has focused on the use of high-quality, scientific-grade seismic and geodetic instrumentation. The use of additional types of instrumentation or information may also improve EEW products by filling gaps in sensor coverage in countries that already have dense seismic networks or enable EEW in countries without such networks. We must keep up with these developments and continuously assess their value in supplementing existing EEW systems, such as ShakeAlert, or enabling EEW where such systems do not exist. Such developments include low-cost instrumentation with microelectromechanical system (MEMS) sensors and global positioning system (GPS)/global navigation satellite system (GNSS) antennas embedded in low-cost consumer electronics, sea-floor seismometers, geodetic instrumentation deployed along the Cascadia and Alaska megathrust margins of western North America, and borehole strainmeters that are already deployed across the region.

Open-File Report↗

The global status of freshwater fish age validation studies and a prioritization framework for future research

Age information derived from calcified structures is commonly used to estimate recruitment, growth, and mortality for fish populations. Validation of daily or annual marks on age structures is often assumed, presumably due to a lack of general knowledge concerning the status of age validation studies. Therefore, the current status of freshwater fish age validation studies was summarized to show where additional effort is needed, and increase the accessibility of validation studies to researchers. In total, 1351 original peer-reviewed articles were reviewed from freshwater systems that studied age in fish. Periodicity and age validation studies were found for 88 freshwater species comprising 21 fish families. The number of age validation studies has increased over the last 30 years following previous calls for more research; however, few species have validated structures spanning all life stages. In addition, few fishes of conservation concern have validated ageing structures. A prioritization framework, using a combination of eight characteristics, is offered to direct future age validation studies and close the validation information gap. Additional study, using the offered prioritization framework, and increased availability of published studies that incorporate uncertainty when presenting research results dealing with age information are needed.

Reviews in Fisheries Science & Aquaculture↗

HydroMet: A new code for automated objective optimization of hydrometeorological thresholds for landslide initiation

Landslide detection and warning systems are important tools for mitigation of potential hazards in landslide prone areas. Traditionally, warning systems for shallow landslides have been informed by rainfall intensity-duration thresholds. More recent advances have introduced the concept of hydrometeorological thresholds that are informed not only by rainfall, but also by subsurface hydrological measurements. Previously, hydrometeorological thresholds have been shown to improve capabilities for forecasting shallow landslides, and they may ultimately be adapted to more generalized landslide forecasting. We present HydroMet, a code developed in Python by the U.S. Geological Survey, which allows users to guide the automated estimation of hydrometeorological thresholds for a site or area of interest, with the flexibility to select preferred threshold variables for the antecedent hydrologic conditions and the triggering meteorological conditions. Users can import hydrologic time-series data, including rainfall, soil-water content, and pore-water pressure, along with the times of known landslide occurrences, and then conduct objective optimization of warning thresholds using receiver operating characteristics. HydroMet presents many additional options, including selecting the threshold formula, the timescale of possible threshold variables, and the skill statistics used for optimization. Users can develop dual-stage thresholds for watch and warning alerts, with a lower, risk-averse threshold to avoid missed alarms and a less conservative threshold to minimize false alarms. Users may also choose to split their inventory data into calibration and evaluation subsets to independently evaluate the performance of optimized thresholds. We present output and applications of HydroMet using monitoring data from landslide-prone areas in the U.S. to demonstrate its utility and ability to produce thresholds with limited missed and false alarms for informing the next generation of reliable landslide warning systems.

Water↗

Using the internet to understand angler behavior in the information age

Declining participation in recreational angling is of great concern to fishery managers because fishing license sales are an important revenue source for protection of aquatic resources. This decline is frequently attributed, in part, to increased societal reliance on electronics. Internet use by anglers is increasing and fishery managers may use the Internet as a unique means to increase angler participation. We examined Internet search behavior using Google Insights for Search, a free online tool that summarizes Google searches from 2004 to 2011 to determine (1) trends in Internet search volume for general fishing related terms and (2) the relative usefulness of terms related to angler recruitment programs across the United States. Though search volume declined for general fishing terms (e.g., fishing, fishing guide), search volume increased for social media and recruitment terms (e.g., fishing forum, family fishing) over the 7-year period. We encourage coordinators of recruitment programs to capitalize on anglers’ Internet usage by considering Internet search patterns when creating web-based information. Careful selection of terms used in web-based information to match those currently searched by potential anglers may help to direct traffic to state agency websites that support recruitment efforts.

Fisheries↗

The National Vegetation Classification Standard applied to the remote sensing classification of two semiarid environments

The National Vegetation Classification Standard (NVCS) was implemented at two US National Park Service (NPS) sites in Texas, the Padre Island National Seashore (PINS) and the Lake Meredith National Recreation Area (LM-NRA), to provide information for NPS oil and gas management plans. Because NVCS landcover classifications did not exist for these two areas prior to this study, we created landcover classes, through intensive ground and aerial reconnaissance, that characterized the general landscape features and at the same time complied with NVCS guidelines. The created landcover classes were useful for the resource management and were conducive to classification with optical remote sensing systems, such as the Landsat Thematic Mapper (TM). In the LMNRA, topographic elevation data were added to the TM data to reduce confusion between cliff, high plains, and forest classes. Classification accuracies (kappa statistics) of 89.9% (0.89) and 88.2% (0.87) in PINS and LMNRA, respectively, verified that the two NPS landholdings were adequately mapped with TM data. Improved sensor systems with higher spectral and spatial resolutions will ultimately refine the broad classes defined in this classification; however, the landcover classifications created in this study have already provided valuable information for the management of both NPS lands. Habitat information provided by the classifications has aided in the placement of inventory and monitoring plots, has assisted oil and gas operators by providing information on sensitive habitats, and has allowed park managers to better use resources when fighting wildland fires and in protecting visitors and the infrastructure of NPS lands.

Environmental Management↗

General characteristics and availability of Landsat 3 and heat capacity mapping mission thermal infrared data

Two satellite systems launched by the National Aeronautics and Space Administration (NASA) in 1978 carried sensors which operated in the thermal infrared (IR) region of the electromagnetic spectrum, The final IR radiation data provide spectral information about the physical properties of the Earth's surficial materials not duplicated in either the visible or reflective IR wavelength regions. Landsat 3, launched on March 5, 1978, contained a thermal sensor as part of the multispectral scanner (MSS) system. The sensor operated in the 10.4- to 12.6-?m (band 8) wavelength region and produced imagery with a ground resolution of approximately 235 m. Launched on April 26) 1978) the Heat Capacity Mapping Mission (HCMM) spacecraft carried a sensor, the heat capacity mapping radiometer (HCMR) which operated in the 10.5- to 12.5?m wavelength region and produced imagery with a ground resolution of approximately 600 m at nadir. The HCMM satellite acquired over 6,600 data passes of visible (0.55-1.1 ?m), as well as thermal IR data, over North America, Europe, and Australia. General characteristics and availability of Landsat 3 and HCMM thermal IR data are discussed. Landsat 3 reflected IR band 7 (0.55-1.1 ?m) and Landsat 3 band 8 thermal data acquired over the eastern and western United States are analyzed and compared with HCMM visible, thermal IR, thermal inertia, and day-night temperature difference imagery for geologic applications. Digitally processed and enhanced HCMM data (high-pass filters, diagonal derivatives, and band ratios), produced by the U.S. Geological Survey, Flagstaff) Ariz., are presented for geologic interpretation.

Open-File Report↗