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

First investigations on lamprey responses to elevated total dissolved gas exposure and risk of gas bubble trauma

A flexible spill program in the federal Columbia River power system increased the total dissolved gas (TDG) water quality standards (i.e., the gas cap) from 120% to 125%. Spill is used to pass juvenile salmon (Oncorhynchus spp.) over dams, but it can generate elevated TDG, and exposed fish can develop gas bubble trauma (GBT) or experience mortality. Juvenile salmon are monitored for GBT through the Fish Passage Center’s (FPC), and under the flexible spill program, native non-salmonid fishes are also monitored. Pacific Lamprey (Entosphenus tridentatus) are exposed to elevated TDG, but nothing is known about their risk for GBT. This project is the first to evaluate GBT in lamprey, beginning with larval and juvenile lamprey in a controlled laboratory setting. These early life stages were chosen for this initial work because they have been shown to be more sensitive to GBT in other fish species. We modified the FPC protocol for GBT exams to be specific to lamprey and ranked bubbles in the mouth, eyes (juveniles only), gill pores, first and second dorsal fins, caudal fin, anal fin, vent, and body. We followed the FPC ranking criteria and assigned rank based on the proportion of the area occluded with bubbles, as 0=no bubbles, 1=1-5%, 2=6-25%, 3=26-50%, and 4=>50%. Four experiments were completed with larval lamprey from January to September 2022 using small (70 mm total length or less) and large (86 mm total length or greater) larvae in approximately equal proportions. Experiments included: (1) 130% TDG for 31 d, (2) 125% TDG for 91 d, (3) 130% TDG for 20 d with assessments of burrowing performance, and (4) 128-138% TDG for 3-4 d with assessments of predator avoidance ability and the corresponding untreated control groups. The first and second experiments had similar study designs and findings. First, we tested an acute exposure at 130% TDG and then we tested a chronic exposure at 125%, to represent a full spill season. None of the controls (exposed to normally saturated water) experienced mortality or showed GBT signs. Few lamprey in the treatment groups (5% in Experiment 1; 0% in Experiment 2) showed GBT signs, and there were no mortalities (n=200 fish experiment 1; n=100 fish Experiment 2). Lamprey with GBT signs had bubbles on the body, with low severity ranks. During external exams for Experiment 2, we observed bubbles in the gut of several lamprey. The light coloration and transparency of the body made these observations possible, and we confirmed the finding with internal exams. From day 9 to day 91, 70.8% of the lamprey examined had bubbles in the gut. We observed five lamprey that were positively buoyant in the test tanks, and we likely underestimated the prevalence of floating as our procedures were not initially designed to document this sign. In our third experiment, burrowing performance was not significantly different between lamprey exposed to 130% TDG and controls. Mortality was 4.2% in the treatment group, but no GBT signs were observed. The proportion of lamprey with positive buoyancy increased through time, with 87.5% of fish floating on day 20 (end of the test). Bubbles in the gut were observed for some lamprey on each of five sampling dates (day 2 to 20), with prevalence ranging from 50-100%. Median burrow times ranged from 28 to 154 sec for treatment fish and from 40 to 100 sec for controls. We noted some atypical behaviors during burrow performance tests, including lamprey that were positively buoyant and unable to descend through 0.5 m of water to reach the sediment as well as lamprey that were unable to complete burrowing (within 10 min test period). These lamprey were so buoyant that they repeatedly floated to the surface of the water when they stopped or slowed their burrowing movements. Predator avoidance ability was assessed in our fourth experiment by exposing lamprey with GBT signs (floating) and controls to sculpin (Cottus spp.) until about 50% of the fish had been consumed or 2 h had passed. We completed five predation trials, testing the hypothesis that an equal proportion of treatment and control lamprey would be consumed. Treatment groups were generated by exposing 15 lamprey to 128-138% TDG for 3-4 d, until at least 10 lamprey were floating. Overall, 41 treatment and 46 control fish were eaten and there was no evidence that sculpin preferentially preyed upon lamprey with GBT signs. Additional tests with another predator are recommended. Two experiments were completed with juvenile lamprey from March to November 2022: Experiment 5 exposed fish to 125% TDG for 10 d and Experiment 6 exposed fish to 125% for 16 d. Mortality rates for the treatment groups were 21.7% and 20.0% for these experiments, respectively, and few lamprey (4 per experiment) showed GBT signs. With the results from experiments pooled, bubbles were observed in all body areas with low severity ranks (means 0-1). We observed some exophthalmia and bubbles behind the gill pores, in addition to bubbles in the gut and fish floating. The presence of bubbles in or near the gill pores was the likely cause of death as exam findings included enlarged gill pore areas and restricted openings. This project provided the first insights into lamprey responses to elevated TDG, but substantial learning opportunities remain. Our findings highlight that lamprey are vulnerable to GBT, but the effects are generally sublethal and would not be detected using FPC exam procedures. For example, we observed larval and juvenile lamprey that had bubbles in the gut and/or were floating, although these conditions were not consistently linked. More data are needed, but we surmise that it takes some time for bubbles to form in sufficient quantity to create the floatation required to overcome the mass of the lamprey. Positive buoyancy in natural settings could have substantial impacts to the risk of mortality for lamprey. Future studies could test GBT risk for larval lamprey in burrows, investigate the influence of lamprey size, measure performance (e.g., burrowing, swimming, predator avoidance ability) after elevated TDG exposure, and describe the rate that GBT signs dissipate when lamprey are returned to normally saturated water.

Report↗

Slow slip phenomena in Cascadia from 2007 and beyond: a review

Recent technological advances combined with more detailed analyses of seismologic and geodetic observations have fundamentally changed our understanding of the ways in which tectonic stresses arising from plate motions are accommodated by slip on faults. The traditional view that relative plate motions are accommodated by a simple cycle of stress accumulation and release on “locked” plate-boundary faults has been revolutionized by the serendipitous discovery and recognition of the significance of slow-slip phenomena, mostly in the deeper reaches of subduction zones. The Cascadia subduction zone, located in the Pacific Northwest of the conterminous United States and adjacent Canada, is an archetype of exploration and learning about slow-slip phenomena. These phenomena are manifest as geodetically observed aseismic transient deformations accompanied by a previously unrecognized class of seismic signals. Although secondary failure processes may be involved in generating the seismic signals, the primary origins of both aseismic and seismic phenomena appear to be episodic fault slip, probably facilitated by fluids, on a plate interface that is critically stressed or weakened. In Cascadia, this transient slip evolves more slowly and over more prolonged durations relative to the slip in earthquakes, and it occurs between the 30- and 40-km-depth contours of the plate interface where information was previously elusive. Although there is some underlying organization that relaxes nearly all the accrued plate-motion stresses along the entirety of Cascadia, we now infer that slow slip evolves in complex patterns indicative of propagating stress fronts. Our new understanding provides key constraints not only on the region where the slow slip originates, but also on the probable characteristics of future megathrust earthquakes in Cascadia. Herein, we review the most significant scientific issues and progress related to understanding slow-slip phenomena in Cascadia and highlight some of their societal implications. We provide a comprehensive review, from the big picture as inferred from studies of regional-scale monitoring data to the details revealed by innovative, focused experiments and new instrumentation. We focus on what has been learned largely since 2007, when several major investments in monitoring and temporary deployments dramatically increased the quality and quantity of available data.

Oregon↗

Wind assistance: A requirement for migration of shorebirds?

We investigated the importance of wind-assisted flight for northward (spring) migration by Western Sandpipers ( Calidris mauri ) along the Pacific Coast of North America. Using current models of energy costs of flight and recent data on the phenology of migration, we estimated the energy (fat) requirements for migration in calm winds and with wind-assisted flight for different rates of fat deposition: (1) a variable rate, assuming that birds deposit the minimum amount of fat required to reach the next stopover site; (2) a constant maximum rate of 1.0 g/day; and (3) a lower constant rate of 0.4 g/day. We tested these models by comparing conservative estimates of predicted body mass along the migration route with empirical data on body mass of Western Sandpipers at different stopover sites and upon arrival at the breeding grounds. In calm conditions, birds would have to deposit unrealistically high amounts of fat (up to 330% of observed values) to maintain body mass above absolute lean mass values. Fat-deposition rates of 1.0 g/day and 0.4 g/day, in calm conditions, resulted in a steady decline in body mass along the migration route, with predicted body masses on arrival in Alaska of only 60% (13.6 g) and 26% (5.9 g) of average lean mass (22.7 g). Conversely, birds migrating with wind assistance would be able to complete migration with fat-deposition rates as low as 0.4 g/day, similar to values reported for this size bird from field studies. Our results extend the conclusion of the importance of winds for large, long-distance migrants to a small, short-distance migrant. We suggest that the migratory decisions of birds are more strongly influenced by the frequency and duration of winds aloft, i.e. by events during the flight phase, than by events during the stopover phase of migration, such as fat-deposition rate, that have been the focus of much recent migration theory.

The Auk↗

Thiamine and lipid utilization in fasting Chinook salmon

A laboratory study was conducted to estimate utilization rates of thiamine (vitamin B 1 ) and lipid in whole fish, muscle, and liver tissues of fasting Chinook salmon ( Oncorhynchus tshawytscha ). The experiment was conducted with Chinook salmon held at 5ºC over a period of 150 days to simulate fasting during migration or overwintering. Chinook salmon body length and wet weight did not change ( p > 0.05) over the course of the study; however, significant declines were observed in muscle thiamine ( p < 0.01) and lipid (p < 0.01). There was an inverse relationship between lipid and water content. Under the experimental conditions with no strenuous swimming, thiamine utilization rates reported are conservative estimates and were found to be 5.3–6.8 pmol·g -1 ·day -1 in muscle tissue and ~110 pmol·g -1 ·day -1 in liver tissue over the first 100 days. Fasting lipid depletion rates in whole fish were calculated to be 0.14–0.16%·d -1 . Muscle lipid decline rate (0.13%·day -1 ) over the first 100 days was similar to whole fish lipid loss, however, muscle lipid utilization was slower (0.04%·day -1 ) over the last 50 days. During periods of fasting, Chinook salmon deplete bodily reserves of both thiamine and lipid which may have consequences for successful spawning migration and overwinter survival.

North Pacific Anadromous Fish Commission Bulletin↗

A North American Hydroclimate Synthesis (NAHS) of the Common Era

This study presents a synthesis of century-scale hydroclimate variations in North America for the Common Era (last 2000 years) using new age models of previously published multiple proxy-based paleoclimate data. This North American Hydroclimate Synthesis (NAHS) examines regional hydroclimate patterns and related environmental indicators, including vegetation, lake water elevation, stream flow and runoff, cave drip rates, biological productivity, assemblages of living organisms, and salinity. Centennial-scale hydroclimate anomalies are obtained by iteratively sampling the proxy data on each of thousands of age model realizations and determining the fractions of possible time series indicating that the century-smoothed data was anomalously wet or dry relative to the 100 BCE to 1900 CE mean. Results suggest regionally asynchronous wet and dry periods over multidecadal to centennial timescales and frequent periods of extended regional drought. Most sites indicate drying during previously documented multicentennial periods of warmer Northern Hemisphere temperatures, particularly in the western U.S., central U.S., and Canada. Two widespread droughts were documented by the NAHS: from 50 BCE to 450 CE and from 800 to 1100 CE. Major hydroclimate reorganizations occurred out of sync with Northern Hemisphere temperature variations and widespread wet and dry anomalies occurred during both warm and cool periods. We present a broad assessment of paleoclimate relationships that highlights the potential influences of internal variability and external forcing and supports a prominent role for Pacific and Atlantic Ocean dynamics on century-scale continental hydroclimate.

Global and Planetary Change↗

On the preservation of laminated sediments along the western margin of North America

Piston, gravity, and multicores as well as hydrographic data were collected along the Pacific margin of Baja California to reconstruct past variations in the intensity of the oxygen-minimum zone (OMZ). Gravity cores collected from within the OMZ north of 24??N did not contain laminated surface sediments even though bottom water oxygen (BWO) concentrations were close to 5 ??mol/kg. However, many of the cores collected south of 24??N did contain millimeter- to centimeter-scale, brown to black laminations in Holocene and older sediments but not in sediments deposited during the Last Glacial Maximum. In addition to the dark laminations, Holocene sediments in Soledad Basin, silled at 290 m, also contain white coccolith laminae that probably represent individual blooms. Two open margin cores from 430 and 700 m depth that were selected for detailed radiocarbon dating show distinct transitions from bioturbated glacial sediment to laminated Holocene sediment occurring at 12.9 and 11.5 ka, respectively. The transition is delayed and more gradual (11.3-10.0 ka) in another dated core from Soledad Basin. The observations indicate that bottom-water oxygen concentrations dropped below a threshold for the preservation of laminations at different times or that a synchronous hydrographic change left an asynchronous sedimentary imprint due to local factors. With the caveat that laminated sections should therefore not be correlated without independent age control, the pattern of older sequences of laminations along the North American western margin reported by this and previous studies suggests that multiple patterns of regional productivity and ventilation prevailed over the past 60 kyr. Copyright 2003 by the American Geophysical Union.

Paleoceanography↗

Exploring GPS observations of postseismic deformation following the 2012 MW7.8 Haida Gwaii and 2013 MW7.5 Craig, Alaska Earthquakes: Implications for viscoelastic Earth structure

The Queen Charlotte-Fairweather Fault (QC-FF) system off the coast of British Columbia and southeast Alaska is a highly active dextral strike-slip plate boundary that accommodates ∼50 mm/yr of relative motion between the Pacific and North America plates. Nine M W ≥ 6.7 earthquakes have occurred along the QC-FF system since 1910, including a M S (G-R) 8.1 event in 1949. Two recent earthquakes, the October 28, 2012 Haida Gwaii ( M W 7.8) and January 5, 2013 Craig, Alaska ( M W 7.5) events, produced postseismic transient deformation that was recorded in the motions of 25 nearby continuous Global Positioning System (cGPS) stations. Here, we use 5+ yr of cGPS measurements to characterize the underlying mechanisms of postseismic deformation and to constrain the viscosity structure of the upper mantle surrounding the QC-FF. We construct forward models of viscoelastic deformation driven by coseismic stress changes from these two earthquakes and explore a large set of laterally heterogeneous viscosity structures that incorporate a relatively weak back-arc domain; we then evaluate each model based on its fit to the postseismic signals in our cGPS data. In determining best-fit model structures, we additionally incorporate the effects of afterslip following the 2012 event. Our results indicate the occurrence of a combination of temporally decaying afterslip and vigorous viscoelastic relaxation of the mantle asthenosphere. In addition, our best-fit viscosity structure (transient viscosity of 1.4–2.0 × 10 18 Pa s; steady-state viscosity of 10 19 Pa s) is consistent with the range of upper mantle viscosities determined in previous studies of glacial isostatic rebound and postseismic deformation.

Alaska, British Columbia↗

Geese migrating over the Pacific Ocean select altitudes coinciding with offshore wind turbine blades

Renewable energy facilities are a key part of mitigating climate change, but can pose threats to wild birds and bats, most often through collisions with infrastructure. Understanding collision risk and the factors affecting it can help minimize impacts on wild populations. For wind turbines, flight altitude is a major factor influencing collision risk, and altitude-selection analyses can evaluate when and why animals fly at certain altitudes under certain conditions. We used GPS tags to track Pacific Flyway geese (Pacific greater white-fronted goose, tule greater white-fronted goose and lesser snow goose) on transoceanic migrations between Alaska and the Pacific Coast of the contiguous United States, an area where offshore windfarm development is beginning. We evaluated how geographic and environmental covariates affected (1) whether birds were at rest on the water versus in flight (binomial model) and (2) altitude selection when in flight (similar to a step-selection framework). We then used a Monte Carlo simulation to predict the probability of flying at each altitude under various conditions, considering both the fly/rest decision and altitude selection. In both spring and fall, geese showed strong selection for altitudes within the expected rotor-swept zone (20–200 m asl), with 56% of locations expected to be within the rotor-swept zone under mean daylight conditions and 28% at night. This indicates a high possibility that migrating geese may be at risk of collision when passing through windfarms. Although there was some variation across subspecies, geese were most likely to be within the rotor-swept zone with little wind or light tailwinds, low clouds, little to no precipitation and moderate to cool air temperatures. Geese were unlikely to be in the rotor-swept zone at night, when most individuals were at rest on the water. Synthesis and applications . These results could be used to inform windfarm management, including decisions to shut down turbines when collision risk is high. The altitude-selection framework we demonstrate could facilitate further study of other bird species to develop a holistic view of how windfarms in this area could affect the migratory bird community as a whole.

Journal of Applied Ecology↗

Avian predator buffers against variability in marine habitats with flexible foraging behavior

How well seabirds compensate for variability in prey abundance and composition near their breeding colonies influences their distribution and reproductive success. We used tufted puffins ( Fratercula cirrhata ) as forage fish samplers to study marine food webs from the western Aleutian Islands (53°N, 173°E) to Kodiak Island (57°N, 153°W), Alaska, during August 2012–2014. Around each colony we obtained data on: environmental characteristics (sea surface temperature and salinity, seafloor depth and slope, tidal range, and chlorophyll- a ), relative forage fish biomass (hydroacoustic backscatter), and seabird community composition and density at-sea. On colonies, we collected puffin chick-meals to characterize forage communities and determine meal energy density, and measured chicks to obtain a body condition index. There were distinct environmental gradients from west to east, and environmental variables differed by ecoregions: the (1) Western-Central Aleutians, (2) Eastern Aleutians, and, (3) Alaska Peninsula. Forage fish biomass, species richness, and community composition all differed markedly between ecoregions. Forage biomass was strongly correlated with environmental gradients, and environmental gradients and forage biomass accounted for ~ 50% of the variability in at-sea density of tufted puffins and all seabird taxa combined. Despite the local and regional variability in marine environments and forage, the mean biomass of prey delivered to puffin chicks did not differ significantly between ecoregions, nor did chick condition or puffin density at-sea. We conclude that puffins can adjust their foraging behavior to produce healthy chicks across a wide range of environmental conditions. This extraordinary flexibility enables their overall success and wide distribution across the North Pacific Ocean.

Aleutian Islands, Gulf of Alaska↗

Gonad organochlorine concentrations and plasma steroid levels in white sturgeon (Acipenser transmontanus) from the Columbia River, USA

Sturgeon are an important fishery resource world-wide, providing food and income through commercial, sport, and tribal fisheries. However, sturgeon populations are imperiled in many areas due to overharvest, habitat loss, and pollution. White Sturgeon ( Acipenser transmontanus ) are found along the west coast of North America from San Francisco Bay, USA to British Columbia, Canada. The Columbia River, located in the Pacific Northwest USA, supports active commercial, sport, and tribal white sturgeon fisheries. The white sturgeon fishery in the Columbia River estuary is one of the most productive sturgeon fisheries in the World. Despite the success of the Columbia River estuary white sturgeon fishery, the populations within the impounded sections (i.e. behind the hydroelectric dams) of the Columbia River experience poor reproductive success (Beamesderfer et al. 1995). This poor reproductive success has been attributed to hydroelectric development, but water pollution could also be a significant factor. The bottom dwelling life history and late maturing reproductive strategy for this species may make it particularly sensitive to the adverse effects of bioaccumulative pollutants. The Columbia River receives effluent from bleached-kraft pulp mills, aluminum smelters, municipal sewage treatment plants and runoff from agricultural. industrial, and urban areas. Bioaccumulative contaminants that have the potential for endocrine disruption have been detected in fish and sediments from the Columbia River (Foster et al. 1999). An integrated system of hormones control reproduction in vertebrates. Plasma steroids direct developmental events essential for reproduction. Disruption of endocrine control by contaminants has been linked to reproductive anomalies and failure in a number of vertebrate species (Guillette et al. 1996; Jobling et al. 1996). Because of this, it is important to understand if organochlorine compounds are accumulating in Columbia River white sturgeon and having an effect on their reproductive physiology. The objective of this study was to determine if sturgeon from an impounded section of the Columbia River (where reproductive success has been low) had higher levels of bioaccumulative pollutants than sturgeon from the estuary (where reproductive success has been high) and if these compounds were associated with decreased plasma steroid levels. Specifically, we measured chlorinated pesticides and PCBs in the gonads and plasma steroids in white sturgeon from the Columbia River fishery.

Columbia River↗

Map showing abundance and distribution of silver in stream-sediment samples, Medford 1 degree by 2 degrees Quadrangle, Oregon-California

The Medford quadrangle is located in mountainous southwestern Oregon adjacent to the California border and a short distance east of the Pacific coast. Various parts of this area lie in different geologic provinces. Most of the western half of the quadrangle is underlain by pre-Tertiary rocks of the Klamath Mountains province. However, the Coast Range province is represented by the Tertiary sedimentary rocks in the northwest corner. Much of the eastern half of the quadrangle lies in the Cascade Range. In Oregon, because of differences in physiographic expression and age of rocks, this province is commonly divided into the more rugged High Cascade Range on the east and the more subdued Western Cascade Range on the west. This division is approximated on the map by the contact between the Quaternary and Tertiary volcanic rocks of the High Cascade Range and the Tertiary volcanic rocks of the Western Cascade Range. The geology shown is generalized from a more detailed compilation by Smith and others (1982).

Oregon↗

Map showing abundance and distribution of chromium in stream-sediment samples, Medford 1 degree by 2 degrees Quadrangle, Oregon-California

The Medford quadrangle is located in mountainous southwestern Oregon adjacent to the California border and a short distance east of the Pacific coast. Various parts of this area lie in different geologic provinces. Most of the western half of the quadrangle is underlain by pre-Tertiary rocks of the Klamath Mountains province. However, the Coast Range province is represented by the Tertiary sedimentary rocks in the northwest corner. Much of the eastern half of the quadrangle lies in the Cascade Range. In Oregon, because of differences in physiographic expression and age of rocks, this province is commonly divided into the more rugged High Cascade Range on the east and the more subdued Western Cascade Range on the west. This division is approximated on the map by the contact between the Quaternary and Tertiary volcanic rocks of the High Cascade Range and the Tertiary volcanic rocks of the Western Cascade Range. The geology shown is generalized from a more detailed compilation by Smith and others (1982).

Oregon↗

Gas hydrates of the Peruvian outer continental margin

Gas hydrates were recovered during coring by Ocean Drilling Program (ODP) Leg 112 at Sites 685 and 688 on the Peruvian outer continental margin at latitudes of 9° and 11.5°S, where water depths are 5070 and 3820 m, respectively. In addition, nearby Sites 682 and 683 yielded compelling evidence that gas hydrates are present, but gas hydrates were not directly observed there. Anomalous acoustic reflectors, known as bottom-simulating reflectors (BSRs), on marine seismic profiles from the region also provided inferential evidence that gas hydrates are present. Geothermal gradients of about 43 and 49°C/km were calculated on the basis of relations between depths to BSRs, bottom-water temperatures, and the pressure-temperature stability field of gas hydrates. Geochemical studies revealed that methane concentrations increase rapidly with depth after pore-water sulfate concentrations have been depleted. The relationship between methane and sulfate suggests that microbial processes account for the generation of methane, and the relationship between the carbon isotopic composition of methane and dissolved carbon dioxide supports this suggestion. We believe that decreasing chlorinity in pore water from squeezed sediment at the four sites results mainly from the decomposition of gas hydrates and is a dilution artifact observed as a result of the squeezing procedure. Maximum chlorinity values at or near the surface result from excess salt that comes from the formation of gas hydrates composed of freshwater. Record alkalinity attests to the intensity of diagenetic processes and has significant effects on salinity profiles at these sites. Gas hydrates were recovered at 99 and 166 meters below the seafloor (mbsf) at Site 685, and at 141 mbsf at Site 688 in Pleistocene diatomaceous mud. Methane constitutes more than 99% of the hydrocarbon gas mixture in the gas hydrates. The volumetric ratio of methane to water in the sample from Site 685 is 100, indicating that the sampled gas hydrate is either undersaturated with respect to methane or had partially decomposed during core recovery or both. The discovery of gas hydrates in lower slope deposits of the Peruvian outer continental margin extends our knowledge of gas-hydrate formation and occurrence in the Circum-Pacific region.

ODP Leg 112↗

Dissolved-solids sources, loads, yields, and concentrations in streams of the conterminous United States

Recent studies have shown that excessive dissolved-solids concentrations in water can have adverse effects on the environment and on agricultural, domestic, municipal, and industrial water users. Such effects motivated the U.S. Geological Survey&rsquo;s National Water Quality Assessment Program to develop a SPAtially-Referenced Regression on Watershed Attributes (SPARROW) model that has improved the understanding of sources, loads, yields, and concentrations of dissolved solids in streams of the conterminous United States. Using the SPARROW model, long-term mean annual dissolved-solids loads from 2,560 water-quality monitoring stations were statistically related to several spatial datasets that are surrogates for dissolved-solids sources and land-to-water delivery processes. Specifically, sources in the model included variables representing geologic materials, road deicers, urban lands, cultivated lands, and pasture lands. Transport of dissolved solids from these sources was modulated by land-to-water delivery variables that represent precipitation, streamflow, soil, vegetation, terrain, population, irrigation, and artificial drainage characteristics. Where appropriate, the load estimates, source variables, and transport variables were statistically adjusted to represent conditions for the base year 2000. The nonlinear least-squares estimated SPARROW model was used to predict long-term mean annual conditions for dissolved-solids sources, loads, yields, and concentrations in a digital hydrologic network representing nearly 66,000 stream reaches and their corresponding incremental catchments that drain the Nation. Nationwide, the predominant source of dissolved solids yielded from incremental catchments and delivered to local streams is geologic materials in 89 percent of the catchments, road deicers in 5 percent of the catchments, pasture lands in 3 percent of the catchments, urban lands in 2 percent of the catchments, and cultivated lands in 1 percent of the catchments. Whereas incremental catchments with dissolved solids that originated predominantly from geologic sources or from urban lands are found across much of the Nation, incremental catchments with dissolved solids yields that originated predominantly from road deicers are largely found in the Northeast, and incremental catchments with dissolved solids that originated predominantly from cultivated or pasture lands are largely found in the West. The total amount of dissolved solids delivered to the Nation&rsquo;s streams is 271.9 million metric tons (Mt) annually, of which 194.2 million Mt (71.4%) come from geologic sources, 37.7 million Mt (13.9%) come from road deicers, 18.2 million Mt (6.7%) come from pasture lands, 13.9 million Mt (5.1%) come from urban lands, and 7.9 million Mt (2.9%) come from cultivated lands. Nationwide, the median incremental-catchment yield delivered to local streams is 26 metric tons per year per square kilometer [(Mt/yr)/km 2 ]. Ten percent of the incremental catchments yield less than 4 (Mt/yr)/km 2 , and 10 percent yield more than 90 (Mt/yr)/km 2 . Incremental-catchment yields greater than 50 (Mt/yr)/km 2 mostly occur along the northern part of the West Coast and in a crescent shaped band south of the Great Lakes. For example, the median incremental-catchment yield is 81 (Mt/yr)/km 2 for the Great Lakes, 78 (Mt/yr)/km 2 for the Ohio, and 74 (Mt/yr)/km 2 for the Upper Mississippi water-resources regions. Incremental-catchment yields less than 10 (Mt/yr)/km 2 mostly occur in a wide band across the arid lowland of the interior West that excludes areas along the coast and the extensive, higher mountain ranges. For example, the median incremental-catchment yield is 3 (Mt/yr)/km 2 for the Lower Colorado, 5 (Mt/yr)/km 2 for the Rio Grande, and 8 (Mt/yr)/km 2 for the Great Basin water-resources regions. Predicted incremental loads were cascaded down through the reach network, with loads accumulating from reach to reach. For most stream reaches, the entire incremental load of dissolved solids delivered to the reach was transported to either the ocean or to one of the large streams flowing along the U.S. international boundary without losses occurring along the way. The exceptions to this include streams in the southwestern part of the country, such as the Colorado River, Rio Grande, and streams of internally drained drainages in the Great Basin, where dissolved-solids loads decreased through streamflow diversion for off-stream use, or by infiltration through the streambed. Long-term mean annual flow-weighted concentrations were derived from the predicted accumulated-load and stream-discharge data. Widespread low concentrations, generally less than 100 milligrams per liter (mg/L), occur in many reaches of the New England, South Atlantic-Gulf, and Pacific Northwest water-resources regions as a result of moderate dissolved-solids yields and high runoff rates. Widespread moderate concentrations, generally between 100 and 500 mg/L, occur in many reaches of the Great Lakes, Ohio, and Upper Mississippi River water-resources regions. Whereas dissolved-solids yields are generally high in these regions, runoff rates are also high, which helps moderate concentrations in these regions. Widespread higher concentrations, generally greater than 500 mg/L, occur across a belt of reaches that extends almost continuously from Canada to Mexico in the Midwest, cutting through the Souris-Red-Rainy, Missouri, Arkansas-White-Red, Texas-Gulf, and Rio Grande water-resources regions. Although dissolved-solids yields are moderate to low in these areas, low runoff rates result in the high concentrations for these areas. In 12.6 percent of the Nation&rsquo;s stream reaches, predicted concentrations of dissolved solids exceed 500 mg/L, the U.S. Environmental Protection Agency&rsquo;s secondary, nonenforceable drinking water standard. While this standard provides a metric for evaluating predicted concentrations in the context of drinking-water supplies, it should be noted that it only applies to drinking water actually served to customers by water utilities, and it does not apply to all stream reaches in the Nation nor does it apply during times when water is not being withdrawn for use. Exceedance of 500 mg/L is more pronounced in certain water-resources regions than others. For example, about half of the reaches in the Souris-Red-Rainy region have concentrations predicted to exceed 500 mg/L, and between 25 and 37 percent of the reaches in the Missouri, Arkansas-White-Red, Texas-Gulf, Rio Grande, and Lower Colorado regions are predicted to exceed 500 mg/L. Development of stream-load data for use in the SPARROW model also provided long-term temporal trend information in dissolved-solids concentrations at the monitoring stations for their period of record, which was constrained between 1980 and 2009. For the 2,560 monitoring stations used in this study, long-term trends in flow-adjusted dissolved-solids concentrations increased over time at 23 percent of the stations, decreased at 18 percent of the stations, and did not change over time at 59 percent of the stations. Long-term trends show a strong regional spatial pattern where from the western parts of the Great Plains to the West Coast, concentrations mostly either did not change or decreased over time, and from the eastern parts of the Great Plains to the East Coast, concentrations mostly either did not change or increased over time. Results from the trend analysis and from the SPARROW model indicate that, compared to monitoring stations with no trends or decreasing trends, stations with increasing trends are associated with a smaller percentage of the predicted dissolved-solids load originating from geologic sources, and a larger percentage originating from urban lands and road deicers. Conversely, compared to stations with increasing trends or no trends, stations with decreasing trends have a larger percentage of the predicted dissolved-solids load originating from geologic sources and a smaller percentage originating from urban lands and road deicers. Stations with decreasing trends also have larger percentages of predicted dissolved-solids load originating from cultivated lands and pasture lands, compared to stations with increasing trends or no trends.

Scientific Investigations Report↗

Salvage using electrofishing methods caused minimal mortality of burrowed and emerged larval lampreys in dewatered habitats

Objective Human-induced dewatering of freshwater habitats causes mortality of larval lampreys (family Petromyzontidae). Salvage by electrofishing at dewatering events is assumed to reduce this mortality, but to our knowledge this assumption remains unassessed. Methods We estimated mortality of salvaged larval lampreys ( Lampetra spp. and Pacific Lamprey Entosphenus tridentatus ) within 24 h following collection at field dewatering events in July and October. To assess when salvage may reduce mortality, we compared mortality of salvaged individuals from field dewatering events to mortality of burrowed and emerged individuals in dewatered habitats in the laboratory. Salvage protocols included electrofishing and foot pressure from walking in test enclosures before and after dewatering. Electrofishing after dewatering (“dry shocking”) involves positioning probes on moist sediment to entice burrowed larval lampreys to emerge. Result During the July salvage, air temperature averaged 36°C, bottom water temperature averaged 20°C, and many emerged larval lampreys were dead on the sediment surface. During two October events, air temperatures averaged 18 and 11°C, bottom water temperatures averaged 12 and 7°C, and only one dead emerged larval lamprey was observed. Estimated mortality of salvaged larval lampreys was 0.20 (90% credible interval = 0.09–0.37) in July and 0.00 (90% credible interval = 0.00–0.06) and 0.06 (90% credible interval = 0.01–0.18) in October. All larval lampreys that remained burrowed and were excavated from enclosures after salvage were dead in July but alive in October. Logistic regression suggested that mortality declined with increasing larval length. Mortality of salvaged 80-mm larval lampreys in October was lower than that of 80-mm individuals emerged for 1 h or burrowed for 8 h at similar water temperatures (8–10°C) in the laboratory. Conclusion In this study, electrofishing for salvage caused minimal mortality of burrowed and emerged larval lampreys in dewatered habitats. Thus, salvage using electrofishing methods could aid conservation of native lampreys by reducing mortality associated with human-induced dewatering events, especially when temperatures are elevated.

Washington↗

Spatiotemporal associations between Pacific herring spawn and surf scoter spring migration: evaluating a "silver wave" hypothesis

Surf scoters Melanitta perspicillata are sea ducks that aggregate at spawning events of Pacific herring Clupea pallasi and forage on the eggs, which are deposited in abundance during spring at discrete sites. We evaluated whether migrating scoters followed a ‘silver wave’ of resource availability, analogous to the ‘green wave’ of high-quality foraging conditions that herbivorous waterfowl follow during spring migration. We confirmed that herring spawning activity began later in the year at higher latitudes, creating a northward-progressing wave of short-term localized food availability. Using satellite telemetry and aerial surveys, we documented the chronology of scoter spring migration and the use of stopover locations in relation to herring spawn timing and locations. We found that the migration chronology paralleled the northward progression of herring spawning events. Although there was considerable variability in the timing of both scoter migration and the initiation of herring spawning, the processes were related beyond a coincidental northward progression. During migration, 60% of the tracked scoters visited at least 1 spawn site, and those that used spawn sites were located on spawn sites for approximately one-third of their migration locations. Surf scoters showed close spatiotemporal associations with herring spawning events, confirming that the presence of herring spawn was a factor determining habitat use for many individuals. Surf scoters showed close spatiotemporal associations with herring spawning events, confirming that the presence of herring spawn was a factor determining habitat use for many individuals, a conclusion that is consistent with previous studies which used physiologically based metrics to evaluate the importance of herring spawn.

Marine Ecology Progress Series↗

Trophic feasibility of reintroducing anadromous salmonids in three reservoirs on the north fork Lewis River, Washington: Prey supply and consumption demand of resident fishes

The reintroduction of anadromous salmonids in reservoirs is being proposed with increasing frequency, requiring baseline studies to evaluate feasibility and estimate the capacity of reservoir food webs to support reintroduced populations. Using three reservoirs on the north fork Lewis River as a case study, we demonstrate a method to determine juvenile salmonid smolt rearing capacities for lakes and reservoirs. To determine if the Lewis River reservoirs can support reintroduced populations of juvenile stream-type Chinook Salmon Oncorhynchus tshawytscha , we evaluated the monthly production of daphnia Daphnia spp. (the primary zooplankton consumed by resident salmonids in the system) and used bioenergetics to model the consumption demand of resident fishes in each reservoir. To estimate the surplus of Daphnia prey available for reintroduced salmonids, we assumed a maximum sustainable exploitation rate and accounted for the consumption demand of resident fishes. The number of smolts that could have been supported was estimated by dividing any surplus Daphnia production by the simulated consumption demand of an individual Chinook Salmon fry rearing in the reservoir to successful smolt size. In all three reservoirs, densities of Daphnia were highest in the epilimnion, but warm epilimnetic temperatures and the vertical distribution of planktivores suggested that access to abundant epilimnetic prey was limited. By comparing accessible prey supply and demand on a monthly basis, we were able to identify potential prey supply bottlenecks that could limit smolt production and growth. These results demonstrate that a bioenergetics approach can be a valuable method of examining constraints on lake and reservoir rearing capacity, such as thermal structure and temporal food supply. This method enables numerical estimation of rearing capacity, which is a useful metric for managers evaluating the feasibility of reintroducing Pacific salmon Oncorhynchus spp. in lentic systems.

Washington↗

Basin amplification effects in the Puget Lowland, Washington from strong motion recordings and 3D simulations

Sedimentary basins in the Puget Sound region, Washington State, increase ground‐motion intensity and duration of shaking during local earthquakes. We analyze Pacific Northwest Seismic Network and U.S. Geological Survey strong‐motion recordings of five local earthquakes ( M 3.9–6.8), including the 2001 Nisqually earthquake, to characterize sedimentary basin effects within the Seattle and Tacoma basins. We observe basin‐edge generated surface waves at sites within the Seattle basin for most ray paths that cross the Seattle fault zone. We also note previously undocumented basin‐edge surface waves in the Tacoma basin during one of the local earthquakes. To place quantitative constraints on basin amplification, we determine amplification factors by computing the spectral ratios of inside‐basin sites to outside‐basin sites at 1, 2, 3, and 5 s periods. Ground shaking is amplified in the Seattle basin for all the earthquakes analyzed and for a subset of events in the Tacoma basin. We find that the largest amplification factors in the Seattle basin are produced by a shallow earthquake located to the southwest of the basin. Our observation suggests that future shallow crustal and megathrust earthquakes rupturing west of the Puget Lowland will produce greater amplification within the Seattle basin than has been seen for intraslab events. We also perform ground‐motion simulations using a finite‐difference method to validate a 3D Cascadia velocity model (CVM) by comparing properties of observed and synthetic waveforms up to a frequency of 1 Hz. Basin‐edge effects are well reproduced in the Seattle basin, but are less well resolved in the Tacoma basin. Continued study of basin effects in the Tacoma basin would improve the CVM.

Washington↗