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Loess studies in central United States: Evolution of concepts

Few words in the realm of earth science have caused more debate than "loess". It is a common term that was first used as a name of a silt deposit before it was defined in a scientific sense. Because this "loose" deposit is easily distinguished from other more coherent deposits, it was recognized as a matter of practical concern and later became the object of much scientific scrutiny. Loess was first recognized along the Rhine Valley in Germany in the 1830s and was first noted in the United States in 1846 along the lower Mississippi River where it later became the center of attention. The use of the name eventually spread around the world, but its use has not been consistently applied. Over the years some interpretations and stratigraphic correlations have been validated, but others have been hotly contested on conceptual grounds and semantic issues. The concept of loess evolved into a complex issue as loess and loess-like deposits were discovered in different parts of the US. The evolution of concepts in the central US developed in four indefinite stages: the eras of (1) discovery and development of hypotheses, (2) conditional acceptance of the eolian origin of loess, (3) "bandwagon" popularity of loess research, and (4) analytical inquiry on the nature of loess. Toward the end of the first era around 1900, the popular opinion on the meaning of the term loess shifted from a lithological sense of loose silt to a lithogenetic sense of eolian silt. However, the dual use of the term fostered a lingering skepticism during the second era that ended in 1944 with an explosion of interest that lasted for more than a decade. In 1944, R.J. Russell proposed and H.N. Fisk defended a new non-eolian, property-based, concept of loess. The eolian advocates reacted with surprise and enthusiasm. Each side used constrained arguments to show their view of the problem, but did not examine the fundamental problem, which was not in the proofs of their hypothesis, but in the definition of the term. Between 1944 and about 1950, the debates about loess reached a maximum level of complexity. The main semantic problem was submersed in peripheral arguments about physical properties and genetic interpretations. The scholarly treatment of the subject by Fisk and Russell stimulated quality responses from a diversity of earth scientists interested in academic and applied studies, particularly geo-history, pedology, soil mechanics and stratigraphy. The long-lasting popularity of loess studies during the bandwagon era lasted to about 1970. By that time, the analytical and technical interests had attracted the mainstream into the fourth era with a focus beyond the old arguments. Although Fisk and Russell found themselves defending an unpopular theory, they stimulated a scientific interest in the late Quaternary history of the Mississippi Valley that may never be exceeded.

Engineering Geology↗

Early season tropical cyclones affect birds breeding on a barrier island

Animal populations often experience acute natural disturbances, most of which are connected to short—term weather events. Occurrences of early—season tropical cyclones during the peak of the avian breeding season are likely to increase with climate change, which can substantially impact populations of coastal breeding birds at multiple scales. To understand the acute impacts of severe tropical cyclones, we investigated how abundances of breeding birds changed before and after 4 early season named tropical cyclones on a barrier island in the Gulf of Mexico. We detected a change in pre— versus post—storm numbers of breeding birds after 2 out of 4 storms between 2015–2020. Following Tropical Storm Cindy and Hurricane Barry, significant declines in breeding adults ranged from a reduction of 32 Willets ( Tringa semipalmata ) to 105 Wilson’s Plover ( Anarhynchus wilsoni a) and 18 Willets to 1,794 Black Skimmer ( Rynchops niger ), respectively. The lack of response following 2 storms was likely due to the location of the storms relative to the island. Following the 2 storms that did elicit a response by breeding birds, we observed lower abundances in the majority of species after the storm passed. Species life histories and habitat restoration might explain the species—specific responses we observed. Our study documents occurrences of early—season tropical cyclones negatively affecting coastal breeding birds, which could be exacerbated with sea level rise. Additionally, our findings may provide insights regarding island design and nest susceptibility to flooding events, which may aid land managers as well as conservation and restoration planners.

Louisiana↗

Salt marsh establishment controlled by sediment availability, landscape position, and anthropogenic history

Anthropogenic actions have directly and indirectly modulated salt marsh extent globally. For example, direct actions such as draining and filling of marshes for agriculture were common before the early 20th century, while development on barrier islands has indirectly reduced the capacity of back-barrier marshes to evolve in response to coastal processes. Similarly, restoration efforts span a spectrum between direct actions such as hydrologic reconnection and sediment placement to indirect actions such as shoreline protection and facilitation of upland migration. With a combination of remote sensing and synoptic in-situ observations, we demonstrate that the vegetative establishment of two disparate salt marsh complexes are strongly linked to their access to external sediment supply, position in the coastal landscape, and anthropogenic history. A marsh complex fringing Delaware Bay, in a former agricultural reclamation area, was directly modified through re-introduction of tidal forcing; vegetative establishment occurred rapidly (3% y −1 increase in vegetative cover) due to a high flood-ebb suspended sediment differential (+32 mg l −1 ), indicating sediment import. The other marsh complex, behind a sand spit fronting the Atlantic Ocean, vegetated indirectly in response to updrift beach nourishment which provided a sheltered environment for expansion. The lower suspended sediment differential (+1.3 mg l −1 ) led to a slower vegetation establishment rate (1.7% y −1 ). The directly modified and restored complex responded more rapidly than the indirectly modified and restored complex due to sediment availability. Direct restoration may be more rapid than indirect methods, and reversing anthropogenic impacts is possible on relatively short timescales, if sufficient external sediment supply exists. Siting of restoration projects can therefore leverage external forcing to accelerate recovery and enhance resilience. In light of ongoing coastal transgression, these examples also demonstrate a potential difference in return-on-restoration-investment between back-barrier marshes undergoing coastal squeeze and estuarine fringing marshes that are naturally transgressing across the coastal landscape.

New Jersey↗

Geology and assessment of undiscovered oil and gas resources of the Timan-Pechora Basin Province, Russia, 2008

The Timan-Pechora Basin Province is a triangular area that represents the northeasternmost cratonic block of east European Russia. A 75-year history of petroleum exploration and production in the area there has led to the discovery of more than 16 billion barrels of oil (BBO) and 40 trillion cubic feet of gas (TCFG). Three geologic assessment units (AUs) were defined for assessing the potential for undiscovered oil and gas resources in the province: (1) the Northwest Izhma Depression AU, which includes all potential structures and reservoirs that formed in the northwestern part of the Izhma-Pechora Depression, although this part of the basin contains only sparse source and reservoir rocks and so was not assessed quantitatively; (2) the Main Basin Platform AU, which includes all potential structures and reservoirs that formed in the central part of the basin, where the tectonic and petroleum system evolution was complex; and (3) the Foredeep Basins AU, which includes all potential structures and reservoirs that formed within the thick sedimentary section of the foredeep basins west of the Uralian fold and thrust belt during the Permian and Triassic Uralian orogeny. For the Timan-Pechora Basin Province, the estimated means of undiscovered resources are 3.3 BBO, 17 TCFG, and 0.3 billion barrels of natural-gas liquids (BBNGL). For the AU areas north of the Arctic Circle in the province, the estimated means of undiscovered resources are 1.7 BBO, 9.0 TCFG, and 0.2 BBNGL. These assessment results indicate that exploration in the Timan-Pechora Basin Province is at a mature level.

Timan-Pechora Basin Province↗

The status of sea ducks in the North Pacific Rim: Toward their conservation and management

Sea ducks (tribe Mergini after Johnsgard 1960) are the most northerly distributed ducks, and species diversity is greatest in the North Pacific. They exploit a diversity of inshore and offshore marine habitats during the non-breeding season, and their use of habitat during breeding varies from coastal through freshwater wetlands of the tundra and taiga (Figure 1, Appendix 1). Non-breeding cohorts frequent marine habitats most of the year. Sea ducks thus are important indicators of the quality of freshwater and marine ecosystems of northern biomes. Of the 17 species discussed in this manuscript, at least 3 are reported to be declining (Appendix 2). However, the basis for many of those assessments is equivocal because there has been little effort to monitor populations. The efforts to more precisely assess their status point to catastrophic declines (Kertell 1991, Stehn et a 1993). Conservation problems related to sea ducks have a long history throughout the Holarctic. For example, the Labrador duck ( Camptorhynchus labradorius ) became extinct in 1875. (Phillips 1925); common eiders ( Somateria mollissima ) declined seriously throughout the northern hemisphere (Townsend 1914, Phillips 1925, Doughty 1979); harlequin ducks ( Histrionicus histrionicus ) experienced declines in Iceland and Greenland (Gudmundsson1971, Salomonson 1950), and more recently have been designated endangered in eastern Canada (Committee On the Status of Endangered Wildlife in Canada 1990). In Russia, all species of eider and harlequin ducks have been closed to sport hunting since 1981, and the Chinese mergansers ( Mergus squamatus ) presently are extremely rare and fully protected, i.e. category one of the red book (Solomonov 1987).

Transactions of the North American Wildlife and Na↗

The interaction of intraspecific competition and habitat on individual diet specialization: a near range-wide examination of sea otters

The quantification of individuality is a common research theme in the fields of population, community, and evolutionary ecology. The potential for individuality to arise is likely context-dependent, and the influence of habitat characteristics on its prevalence has received less attention than intraspecific competition. We examined individual diet specialization in 16 sea otter (Enhydra lutris) populations from southern California to the Aleutian Islands in Alaska. Because population histories, relative densities, and habitat characteristics vary widely among sites, we could examine the effects of intraspecific competition and habitat on the prevalence of individual diet specialization. Using observed diet data, we classified half of our sites as rocky substrate habitats and the other half containing a mixture of rocky and unconsolidated (soft) sediment substrates. We used stable isotope data to quantify population- and individual-level diet variation. Among rocky substrate sites, the slope [±standard error (SE)] of the positive significant relationship between the within-individual component (WIC) and total isotopic niche width (TINW) was shallow (0.23 ± 0.07) and negatively correlated with sea otter density. In contrast, the slope of the positive WIC/TINW relationship for populations inhabiting mixed substrate habitats was much higher (0.53 ± 0.14), suggesting a low degree of individuality, irrespective of intraspecific competition. Our results show that the potential for individuality to occur as a result of increasing intraspecific competition is context-dependent and that habitat characteristics, which ultimately influence prey diversity, relative abundance, and the range of skillsets required for efficient prey procurement, are important in determining when and where individual diet specialization occurs in nature.

Oecologia↗

High-resolution geologic mapping of the inner continental shelf: Boston Harbor and approaches, Massachusetts

This report presents the surficial geologic framework data and information for the sea floor of Boston Harbor and Approaches, Massachusetts (fig. 1.1). This mapping was conducted as part of a cooperative program between the U.S. Geological Survey (USGS), the Massachusetts Office of Coastal Zone Management (CZM), and the National Oceanic and Atmospheric Administration (NOAA). The primary objective of this project was to provide sea floor geologic information and maps of Boston Harbor to aid resource management, scientific research, industry and the public. A secondary objective was to test the feasibility of using NOAA hydrographic survey data, normally collected to update navigation charts, to create maps of the sea floor suitable for geologic and habitat interpretations. Defining sea-floor geology is the first steps toward managing ocean resources and assessing environmental changes due to natural or human activity. The geophysical data for these maps were collected as part of hydrographic surveys carried out by NOAA in 2000 and 2001 (fig. 1.2). Bottom photographs, video, and samples of the sediments were collected in September 2004 to help in the interpretation of the geophysical data. Included in this report are high-resolution maps of the sea floor, at a scale of 1:25,000; the data used to create these maps in Geographic Information Systems (GIS) format; a GIS project; and a gallery of photographs of the sea floor. Companion maps of sea floor to the north Boston Harbor and Approaches are presented by Barnhardt and others (2006) and to the east by Butman and others (2003a,b,c). See Butman and others (2004) for a map of Massachusetts Bay at a scale of 1:125,000. The sections of this report are listed in the navigation bar along the left-hand margin of this page. Section 1 (this section) introduces the report. Section 2 presents the large-format map sheets. Section 3 describes data collection, processing, and analysis. Section 4 summarizes the geologic history of the region and discusses geomorphic and anthropogenic features within the study area. Section 4 also provides references that contain additional information about the region. Appendix 1 provides GIS layers of all the data collected in this study, Appendix 2 contains the grain size textural analyses of sediment samples, and Appendix 3 contains bottom photographs of the sea floor in JPG format.

Massaachusetts↗

Loss and modification of habitat

Amphibians live in a wide variety of habitats around the world, many of which have been modified or destroyed by human activities. Most species have unique life history characteristics adapted to specific climates, habitats (e.g., lentic, lotic, terrestrial, arboreal, fossorial, amphibious), and local conditions that provide suitable areas for reproduction, development and growth, shelter from environmental extremes, and predation, as well as connectivity to other populations or habitats. Although some species are entirely aquatic or terrestrial, most amphibians, as their name implies, lead a dual life and require a mosaic of habitats in both aquatic and terrestrial ecosystems. With over 6 billion people on Earth, most species are now persisting in habitats that have been directly or indirectly influenced by human activities. Some species have disappeared where their habitats have been completely destroyed, reduced, or rendered unsuitable. Habitat loss and degradation are widely considered by most researchers as the most important causes of amphibian population decline globally (Barinaga 1990; Wake and Morowitz 1991; Alford and Richards 1999). In this chapter, a background on the diverse habitat requirements of amphibians is provided, followed by a discussion of the effects of urbanization, agriculture, livestock grazing, timber production and harvesting, fire and hazardous fuel management, and roads on amphibians and their habitats. Also briefly discussed is the influence on amphibian habitats of natural disturbances, such as extreme weather events and climate change, given the potential for human activities to impact climate in the longer term. For amphibians in general, microhabitats are of greater importance than for other vertebrates. As ectotherms with a skin that is permeable to water and with naked gelatinous eggs, amphibians are physiologically constrained to be active during environmental conditions that provide appropriate body temperatures and adequate water balance (Thorson and Svihla 1943; Brattstrom 1963; Tracy 1976). Hence, individuals require and seek specific microhabitats that maintain their preferred body temperature while at the same time reducing water loss or allowing individuals to re-hydrate. Amphibians also possess relatively few physical attributes that protect them from predators. Although they may avoid predators behaviourally or deter them by skin toxins, amphibians lack defensive shells or hardened cuticles, do not have protective teeth or claws, and most are insufficiently fast to escape predators. Hence, they are relatively dependent on sites that conceal or protect them from predation. Most amphibians also differ significantly from other vertebrates in possessing a complex two-phase life cycle: the pre-metamorphic larval (tadpole) stage and the post-metamorphic juvenile and adult stage (Wilbur 1980, 1984). Most amphibian species have two distinct econes (Heatwole 1989), each with different habitat requirements, the larvae being aquatic and the post-metamorphic animals more terrestrial. The habitats required by the two phases can differ greatly, but both are essential to the survival of a species. However, amphibian diversity is great and exceptions to this general pattern exist. For example, some species have direct development without going through a larval stage and are fully terrestrial, whereas the larvae of other species can reach sexual maturity without going through metamorphosis (i.e., neoteny) and are fully aquatic.

Book chapter↗

Loss and modification of habitat

Amphibians live in a wide variety of habitats around the world, many of which have been modified or destroyed by human activities. Most species have unique life history characteristics adapted to specific climates, habitats (e.g., lentic, lotic, terrestrial, arboreal, fossorial, amphibious), and local conditions that provide suitable areas for reproduction, development and growth, shelter from environmental extremes, and predation, as well as connectivity to other populations or habitats. Although some species are entirely aquatic or terrestrial, most amphibians, as their name implies, lead a dual life and require a mosaic of habitats in both aquatic and terrestrial ecosystems. With over 6 billion people on Earth, most species are now persisting in habitats that have been directly or indirectly influenced by human activities. Some species have disappeared where their habitats have been completely destroyed, reduced, or rendered unsuitable. Habitat loss and degradation are widely considered by most researchers as the most important causes of amphibian population decline globally (Barinaga 1990; Wake and Morowitz 1991; Alford and Richards 1999). In this chapter, a background on the diverse habitat requirements of amphibians is provided, followed by a discussion of the effects of urbanization, agriculture, livestock grazing, timber production and harvesting, fire and hazardous fuel management, and roads on amphibians and their habitats. Also briefly discussed is the influence on amphibian habitats of natural disturbances, such as extreme weather events and climate change, given the potential for human activities to impact climate in the longer term. For amphibians in general, microhabitats are of greater importance than for other vertebrates. As ectotherms with a skin that is permeable to water and with naked gelatinous eggs, amphibians are physiologically constrained to be active during environmental conditions that provide appropriate body temperatures and adequate water balance (Thorson and Svihla 1943; Brattstrom 1963; Tracy 1976). Hence, individuals require and seek specific microhabitats that maintain their preferred body temperature while at the same time reducing water loss or allowing individuals to re-hydrate. Amphibians also possess relatively few physical attributes that protect them from predators. Although they may avoid predators behaviourally or deter them by skin toxins, amphibians lack defensive shells or hardened cuticles, do not have protective teeth or claws, and most are insufficiently fast to escape predators. Hence, they are relatively dependent on sites that conceal or protect them from predation. Most amphibians also differ significantly from other vertebrates in possessing a complex two-phase life cycle: the pre-metamorphic larval (tadpole) stage and the post-metamorphic juvenile and adult stage (Wilbur 1980, 1984). Most amphibian species have two distinct econes (Heatwole 1989), each with different habitat requirements, the larvae being aquatic and the post-metamorphic animals more terrestrial. The habitats required by the two phases can differ greatly, but both are essential to the survival of a species. However, amphibian diversity is great and exceptions to this general pattern exist. For example, some species have direct development without going through a larval stage and are fully terrestrial, whereas the larvae of other species can reach sexual maturity without going through metamorphosis (i.e., neoteny) and are fully aquatic.

Book chapter↗

Winter severity affects occupancy of spring- and summer-breeding anurans across the eastern United States

Aim Climate change is an increasingly important driver of biodiversity loss. The ectothermic nature of amphibians may make them particularly sensitive to changes in temperature and precipitation regimes, adding to declines from other threats. While active season environmental conditions can influence growth and survival, effects of variation in winter conditions on population dynamics are less well-studied. Given that extreme winter temperatures can influence amphibian survival and fitness, we expected that increased winter severity—as measured by variability in winter temperatures and snow cover—would be associated with decreased occupancy, and that populations that experience more severe winters would have the largest sensitivities and show the greatest declines. Location Eastern United States. Time period 2001–2015. Major taxa studied Anurans. Methods We used large-scale citizen science data from the eastern half of the United States, a diverse biogeographic and climatic region, to assess how variation in winter severity influenced occupancy dynamics (i.e. presence or absence of species across sites and years) of 11 spring and summer breeding anuran species. Results Most species had increased occupancy in years with greater than average snow cover and warmer than average mean winter temperatures. Surprisingly, climatic conditions in winter affected occupancy dynamics of species with varying life history characteristics, including both spring and summer breeding species, those that overwinter under the soil, and those that overwinter in ponds and stream beds. For two wide-ranging species ( Lithobates catesbeianus and Lithobates clamitans ), colder winter temperatures reduced occupancy more at northern latitudes, while the association between days of snow cover and latitude was equivocal. Main conclusions As the climate continues to change, expected reductions in snowpack may reduce occupancy of already declining anuran populations, while milder winters may improve overwinter survival for some species. The contradictory impacts of temperature and snow cover illustrate the importance of considering multi-dimensional impacts of climate change on anuran populations.

Diversity and Distributions↗

A recombinant rabies vaccine that prevents viral shedding in rabid common vampire bats (Desmodus rotundus)

Vampire bat transmitted rabies (VBR) is a continuing burden to public health and agricultural sectors in Latin America, despite decades-long efforts to control the disease by culling bat populations. Culling has been shown to disperse bats, leading to an increased spread of rabies. Thus, non-lethal strategies to control VBR, such as vaccination, are desired. Here, we evaluated the safety and efficacy of a viral-vectored recombinant mosaic glycoprotein rabies vaccine candidate (RCN-MoG) in vampire bats ( Desmodus rotundus ) of unknown history of rabies exposure captured in México and transported to the United States. Vaccination with RCN-MoG was demonstrated to be safe, even in pregnant females, as no evidence of lesions or adverse effects were observed. We detected rabies neutralizing antibodies in 28% (8/29) of seronegative bats post-vaccination. Survival proportions of adult bats after rabies virus (RABV) challenge ranged from 55–100% and were not significantly different among treatments, pre- or post-vaccination serostatus, and route of vaccination, while eight pups (1–2.5 months of age) used as naïve controls all succumbed to challenge (P<0.0001). Importantly, we found that vaccination with RCN-MoG appeared to block viral shedding, even when infection proved lethal. Using real-time PCR, we did not detect RABV nucleic acid in the saliva samples of 9/10 vaccinated bats that succumbed to rabies after challenge (one was inconclusive). In contrast, RABV nucleic acid was detected in saliva samples from 71% of unvaccinated bats (10/14 sampled, plus one inconclusive) that died of the disease, including pups. Low seroconversion rates post-vaccination and high survival of non-vaccinated bats, perhaps due to earlier natural exposure, limited our conclusions regarding vaccine efficacy. However, our findings suggest a potential transmission-blocking effect of vaccination with RCN-MoG that could provide a promising strategy for controlling VBR in Latin America beyond longstanding culling programs.

San Luis Potosi↗

The role of lead and excess oxygen in uranite

Analysed samples of uraninite were x-rayed, annealed by heating to 550&deg; and 900&deg; for various times in a nitrogen atmosphere, and x-rayed again. A decrease in unit cell size was generally observed. Calculations on the basis of Vegard's Law showed that the ordering of the interstitial oxygen ions could account for the decrease in cell size on annealing. The interstitial oxygens are not necessarily completely disordered before annealing. The degree of original disorder is dependent on the Rare Earth/ThO 2 ratio; for high ThO 2 and low rare earths, the interstitial oxygens are completely random. The degree of disorder apparently depends solely on the composition, and not on the past history of the sample; this implies that the oxygens are being continuously disordered, perhaps by alpha particles, to the equilibrium point determined by the R.E./ThO 2 ratio. The degree of ordering of the interstitial oxygens also accounts for the difference in cell size between vein pitchblendes and those from the sediments of the Colorado Plateau. A study was also made of the degree of oxidation of uraninites. Although the uranium in many pegmatitic uraninites is more oxidized than can be obtained with the cubic UO 2 phase in the laboratory, if the atoms proxying for uranium are calculated into the structural formula, and the lead is assumed to be radiogenic and calculated as original uranium, almost all pegmatitic uraninites fall into the range of interstitial oxygen content obtainable in the laboratory. This fact supports the auto-oxidation hypothesis. Many of the vein and sedimentary pitchblendes have compositions close to U 3 O 8 , although they are cubic. They may gave crystallized as U 3 O 8 , the decomposed to the cubic phase and a amorphous phase. This suggests that the stability range of U 3 O 8 includes only very exceptional natural conditions. Vegard's Law calculations, studies of zoning in crystals, differential leaching, polished section textures, and other lines of evidence indicate that lead, including radiogenic lead, is exsolved from uraninite. A study of x-ray line intensities indicates that it exsolves as oriented monomolecular layers of orthohombic PbO (massicot) along cube planes in the uraninite, separating the uraninite crystallites so that the x-ray reflections interfere destructively to different degrees for different reflections.

Open-File Report↗

Earthquake recurrence and risk assessment in circum-Pacific seismic gaps

THE development of the concept of seismic gaps, regions of low earthquake activity where large events are expected, has been one of the notable achievements of seismology and plate tectonics. Its application to long-term earthquake hazard assessment continues to be an active field of seismological research. Here I have surveyed well documented case histories of repeated rupture of the same segment of circum-Pacific plate boundary and characterized their general features. I find that variability in fault slip and spatial extent of great earthquakes rupturing the same plate boundary segment is typical rather than exceptional but sequences of major events fill identified seismic gaps with remarkable order. Earthquakes are concentrated late in the seismic cycle and occur with increasing size and magnitude. Furthermore, earthquake rupture starts near zones of concentrated moment release, suggesting that high-slip regions control the timing of recurrent events. The absence of major earthquakes early in the seismic cycle indicates a more complex behaviour for lower-slip regions, which may explain the observed cycle-to-cycle diversity of gap-filling sequences.

Nature↗

Ophiolite and volcanic arc assemblages on the Vizcaino Peninsula and Cedros Island region, Baja California Sur, Mexico: Mesozoic forearc lithosphere of the Cordilleran magmatic arc

Mesozoic ophiolites in the Vizcaíno Peninsula and Cedros Island region of Baja California Sur are suprasubduction zone Cordilleran-type ophiolites structurally juxtaposed with underlying high pressure-temperature subduction complex assemblages. The region is divided into three separate tectonostratigraphic terranes, but here we recognize stratigraphic, intrusive, and petrologie links between these terranes and interpret the evolution of the entire region within the same Late Triassic to Early Cretaceous tectonic framework. Several phases of extension are recognized, including two major phases that resulted in development of distinct ophiolite assemblages. The Late Triassic Vizcaine Peninsula Ophiolite (221 ± 2 Ma) represents the earliest stage of this history and comprises a complete spreading center sequence with depleted upper mantle and mafie crustal rocks, including sheeted dike complex, Jurassic are magmatic rocks with low-Ti are tholelite and boninite geochemical affinities were intruded through and constructed on the Triassic ophiolite basement. Ultra-depleted are-ankaramites on Cedros Island may represent an initial phase of are rifting that was followed by major Middle Jurassic extension and production of the Cedros Island Ophiolite (173 ± 2 Ma). The Late Jurassic-Early Cretaceous Coloradito and Eugenia Formations contain mudflows and olistostrome blocks intercalated with are volcanogenic sediment and rift-related pillow lavas; these units record extension and/or transtension and provide the earliest definite evidence of are-continent interaction in the region. Middle Jurassic to Early Cretaceous are plutonic rocks (ca. 165-135 Ma) were shallowly intruded into low greenschist-facies ophiolite and are volcanic basement. Plutonic rocks range in composition from gabbro to granodiorite, but tonalite dominates. These intrusions are typical I-type Cordilleran batholithic rocks with relatively primitive are geochemical affinities (initial Sr 87 / 86 Sr range from ~0.704 to 0.706), but they are distinctly calcic in nature, a feature common to the adjacent Cretaceous Peninsular Ranges batholith. The Vizca í no-Cedros region correlates to ophiolitic terranes of the western Sierra Klamath belt and Coast Ranges of California and Oregon that were constructed in part across the North American margin. Age, stratigraphic, and petrochemical data from the Vizca í no-Cedros region support previously proposed forearc rifting models developed for the U.S. sector of the Cordilleran orogen that interpret the ophiolite assemblages as autochthonous or parautochthonous forearc lithosphere constructed outboard of the Mesozoic continental margin arc.

GSA Special Papers↗

Condition bias of decoy-harvested light geese during the conservation order

Evidence that decoy harvest techniques primarily remove individuals of poorer body condition is well established in short-lived duck species; however, there is limited support for condition bias in longer-lived waterfowl species, such as geese, where decoy harvest is considered primarily additive because of their high natural survival rates. We evaluated support for the harvest condition bias hypothesis of 2 long-lived waterfowl species, the lesser snow goose ( Anser caerulescens caerulescens ) and Ross's goose ( Anser rossii ). We used proximate analysis to quantify lipid and protein content of lesser snow and Ross's geese collected during the Light Goose Conservation Order (LGCO) in 2015 and 2016 during spring migration in Arkansas, Missouri, Nebraska, and South Dakota, USA. In each state, LGCO participants collected birds using traditional decoy techniques and we collected birds from the general population using jump-shooting tactics. Total body lipid content in both lesser snow and Ross's geese varied with age, region of harvest, and harvest type (decoy or jump-shooting). On average, adult lesser snow and Ross's geese harvested over decoys had 60 g and 41 g, respectively, fewer lipids than conspecifics collected using jump-shooting. We observed lower lipid reserves in decoy-shot geese in all 4 states sampled despite general gains in lipid reserves as migration chronology progressed. Our data support that the harvest condition bias extends to longer-lived waterfowl species and during a life-history event (spring migration) in which harvest is not normally observed. In the case of overabundant light geese, the disproportionate harvest of poorer-conditioned lesser snow and Ross's geese may serve as an additional challenge against any realized effects of harvest to reduce the population, in addition to extremely low harvest rates.

Arkansas, Missouri, Nebraska, South Dakota↗

Photoperiod control of downstream movements of Atlantic salmon Salmo salar smolts

This study provides the first direct observations that photoperiod controls the initiation of downstream movement in Atlantic salmon Salmo salar smolts. Under simulated natural day length (LDN) conditions and seasonal increases in temperature, smolts increased their downstream movements five-fold for a period of 1 month in late spring. Under the same conditions, parr did not show changes in downstream movement behaviour. When given a shortened day length (10L:14D) beginning in late winter, smolts did not increase the number of downstream movements. An early increase in day length (16L:8D) in late winter resulted in earlier initiation and termination of downstream movements compared to the LDN group. Physiological status and behaviour were related but not completely coincident: gill Na + /K + -ATPase activity increased in all treatments and thyroid hormone was elevated prior to movement in 16L:8D treatment. The most parsimonious model describing downstream movement of smolts included synergistic effects of photoperiod treatment and temperature, indicating that peak movements occurred at colder temperatures in the 16L:8D treatment than in LDN, and temperature did not influence movement of smolts in the 10L:14D treatment. The complicated interactions of photoperiod and temperature are not surprising since many organisms have evolved to rely on correlations among environmental cues and windows of opportunity to time behaviours associated with life-history transitions. These complicated interactions, however, have serious implications for phenological adjustments and persistence of S . salar populations in response to climate change.

Journal of Fish Biology↗

Historical land-use changes and potential effects on stream disturbance in the Ozark Plateaus, Missouri

Land-use changes have been blamed for creating disturbance in the morphology of streams in the Ozark Plateaus, Missouri (hereafter referred to as the Ozarks). Historical evidence and stratigraphic observations document that streams have been aggraded by substantial quantities of gravel beginning sometime at or near the time of European settlement of the Ozarks. Before European settlement, streams were depositing a mixed sediment load of gravel bedload and silty over-bank sediment. Observations of early explorers conspicuously lack descriptions of extensive gravel bars; observations of geologists working during the middle to late 1800's before significant land-use disturbance, however, include descriptions of large quantities of gravel in stream banks and beds. The first change in land cover as settlement progressed from the early 1800's to approximately 1880 was replacement of valley-bottom forest with cultivated fields and pastures. At the same time, suppression of wildfires in the uplands caused an increase of woodland with woody understory at the expense of grassland and oak savannah. Valley-bottom clearing probably initiated some direct disturbance of stream channels, but fire suppression would have decreased runoff and sediment yield from uplands. Beginning sometime during 1870 to 1880 and continuing until 1920, commercial timber companies began large operations in the Ozarks harvesting shortleaf pine for sawlogs and oak for railroad ties. Selective cutting of large timber, use of livestock for skidding logs from the forest, and avoidance of the steeper slopes minimized the effect of this phase of logging on runoff and sediment supply of uplands and valley-side slopes. Continued decreases in the erosional resistance of valley bottoms through clearing and road building, and the incidence of extreme regional floods from 1895 to 1915, probably caused initiation of moderate stream disturbance. This hypothesis is supported by historical and oral-historical observations that stream instability began before the peak of upland destabilization from 1920 to 1960. The post-Timber-boom period (1920 to 1960) included the institution of annual burning of uplands and cut-over valley-side slopes, increased grazing on open range, and increased use of marginal land for cultivated crops. Models for land-use controls on annual runoff, storm runoff, and soil erosion indicate this period should have been the most effective in creating stream disturbance. Written historical sources and oral-historical accounts indicate that erosion was notable mainly on lands in row-crop cultivation. Oral-history respondents consistently recall that smaller streams had more discharge for longer periods during 1920 to 1960 than during 1960 to 1993; many additionally observed that floods are "flashier" under present-day (1993) conditions. Changes in the timing of hydrographs probably relate to changes in upland and riparian zone vegetation that decreased storage and flow resistance. Probably the most destabilizing effect on Ozarks stream channels during this period was caused by livestock on the open range that concentrated in valley bottoms and destroyed riparian vegetation in the channels and on banks. Destruction of riparian vegetation in small valleys may have encouraged headward migration of channels, resulting in extension of the drainage network and accelerated release of gravel from storage in the small valleys. This hypothesis is supported by lack of other sources for the large quantity of gravel in Ozarks streams and oral-historical observations that gravel came out of the runs, rather than from slopes. From 1960 to 1993, cultivated fields and total improved land in farms decreased, but cattle populations continued to increase. This increase in grazing density has the potential to maintain runoff and sediment delivery to streams at rates higher than natural background rates. Whereas some riparian zones have been allowed to grow up into bottom-land forest, this stabilizing effect occurs on only a small part of valley-bottom land. Recovery processes aided by riparian vegetation are limited by channel instability and frequent, large floods.

Missouri↗

Historical land-use changes and potential effects on stream disturbance in the Ozark Plateaus, Missouri

Land-use changes have been blamed for creating disturbance in the morphology of streams in the Ozark Plateaus, Missouri (hereafter referred to as the "Ozarks"). Historical evidence and stratigraphic observations document that streams have been aggraded by substantial quantities of gravel beginning sometime at or near the time of European settlement of the Ozarks. Before European settlement, streams were depositing a mixed sediment load of gravel bedload and silty overbank sediment. Observations of early explorers conspicuously lack descriptions of extensive gravel bars; observations of geologists working during the middle to late 1800's before significant landuse disturbance, however, include descriptions of large quantities of gravel in stream banks and beds. The first change in land cover as settlement progressed from the early 1800's to approximately 1880 was replacement of valley-bottom forest with cultivated fields and pastures. At the same time, suppression of wildfires in the uplands caused an increase of woodland with woody understory at the expense of grassland and oak savannah. Valley-bottom clearing probably initiated some direct disturbance of stream channels, but fire suppression would have decreased runoff and sediment yield from uplands. Beginning sometime from 1870 to 1880 and continuing until 1920, commercial timber companies began large operations in the Ozarks to harvest shortleaf pine for sawlogs and oak for railroad ties. Selective cutting of large timber, use of livestock for skidding logs from the forest, and avoidance of the steeper slopes minimized the effect of this phase of logging on runoff and sediment supply of uplands and valley-side slopes. Continued decreases in the erosional resistance of valley bottoms through clearing and road building and the incidence of extreme regional floods from 1895 to 1915 probably caused initiation of moderate stream disturbance. This hypothesis is supported by historical and oral-historical observations that stream instability began before the peak of upland destabilization from 1920 to 1960. The post-Timber-boom period (1920-60) included the institution of annual burning of uplands and cut-over valley-side slopes, increased grazing on open range, and increased use of marginal land for cultivated crops. Models for landuse controls on annual runoff, storm runoff, and soil erosion indicate that this period should have been the most effective in creating stream disturbance. Written historical sources and oral-historical accounts indicate that erosion was notable mainly on lands in row-crop cultivation. Oral-history respondents consistently recall that smaller streams had more discharge for longer periods from 1920 to 1960 than from 1960 to 1993; many additionally observed that floods are "flashier" under present-day (1993) conditions. Changes in the timing of hydrographs probably relate to changes in upland and riparian zone vegetation that decreased storage and flow resistance. Probably the most destabilizing effect on Ozarks stream channels during this period was caused by livestock on the open range that concentrated in valley bottoms and destroyed riparian vegetation in the channels and on banks. Destruction of riparian vegetation in small valleys may have encouraged headward migration of channels, resulting in extension of the drainage network and accelerated release of gravel from storage in the small valleys. This hypothesis is supported by lack of other sources for the large quantity of gravel in Ozarks streams and oral-historical observations that gravel came out of the runs, rather than from slopes. From 1960 to 1993, cultivated fields and total improved land in farms decreased, but cattle populations continued to increase. This increase in grazing density has the potential to maintain runoff and sediment delivery to streams at rates higher than natural background rates. Whereas some riparian zones have been allowed to grow up into bottom-land forest, this stabilizing effect occurs on only a small part of valley-bottom land. Recovery processes aided by riparian vegetation are limited by channel instability and frequent, large floods.

Water Supply Paper↗