USGS ScienceSearch

SEARCH · USGS Science

Results for “State Government”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 145 records · Page 8Linked to original sources

Indicators of mercury concentration in Lake Trout: Can fish location and appearance provide information to anglers to reduce their exposure?

Objective People are exposed to mercury (Hg) through the consumption of fish. State and federal governments provide broad, often-generalized food safety guidance to reduce exposure; however, numerous rural fishing areas lack testing and location- or species-specific guidance. The aim of this study was to provide tangible, visible, or easily measured characteristics of Lake Trout Salvelinus namaycush that could convey information on Hg exposure to people harvesting and consuming fish where no location-specific guidance exists. Methods We investigated potential indicators of Lake Trout total Hg (THg) concentrations in muscle across 10 lakes in Alaska's national parks. Potential indicators, including lake, lake zone (i.e., littoral, pelagic, profundal), fish length, head size, body condition, and general appearance, were evaluated by competing linear mixed-effects models. Results Lake Trout THg concentrations ranged widely from 22 to 1,306 ng/g wet weight. Much of the variation (48%) in THg concentrations was attributed to differences among individual lakes, but the interaction of the fish's lake zone, body length, and head size accounted for an additional 21%. Predicted THg concentrations increased with Lake Trout length and head : body proportion, but the rate of THg concentration increase with length varied by head : body proportion and lake zone. Conclusions Given the overwhelming evidence of high lake-to-lake variability in Lake Trout THg concentrations, we find support for use of lake-specific guidance when data are available. When lake-specific THg concentrations are not available, the best potential way to reduce exposure is to harvest and consume Lake Trout with mean predicted THg concentrations that are within state and federal safe consumption guidelines. This included Lake Trout from surface waters (i.e., pelagic or littoral zone) that are ≤70 cm in length; if harvesting fish from deep waters (i.e., profundal zone), lower THg concentrations were found in Lake Trout with heads ≤25% of their body length. The indicators—lake zone, length, and head size—of Lake Trout THg concentrations can provide harvesters with additional information in the absence of data for specific lakes.

Alaska

Suspended-sediment concentrations, bedload, particle sizes, surrogate measurements, and annual sediment loads for selected sites in the lower Minnesota River Basin, water years 2011 through 2016

Accurate measurements of fluvial sediment are important for assessing stream ecological health, calculating flood levels, computing sediment budgets, and managing and protecting water resources. Sediment-enriched rivers in Minnesota are a concern among Federal, State, and local governments because turbidity and sediment-laden waters are the leading impairments and affect more than 6,000 miles of rivers in Minnesota. The suspended sediment in the lower Minnesota River is deleterious, contributing about 75 to 90 percent of the suspended sediment being deposited into Lake Pepin. The Saint Paul District of the U.S. Army Corps of Engineers and the Lower Minnesota River Watershed District collaborate to maintain a navigation channel on the lower 14.7 miles of the Minnesota River through scheduled dredging operations. The Minnesota Pollution Control Agency has adopted a sediment-reduction strategy to reduce sediment in the Minnesota River by 90 percent by 2040. The U.S. Geological Survey, in cooperation with the U.S. Army Corps of Engineers, the Minnesota Pollution Control Agency, and the Lower Minnesota River Watershed District, collected suspended-sediment, bedload, and particle-size samples at five sites in the lower Minnesota River Basin during water years 2011 through 2014 and surrogate measurements of acoustic backscatter at one of these sites on the lower Minnesota River during water years 2012 through 2016 to quantify sediment loads and improve understanding of sediment-transport relations. Annual sediment loads were computed for calendar years 2011 through 2014. Data collected from water years 2011 through 2014 indicated that two tributaries, Le Sueur River and High Island Creek, had the highest sediment yield and concentrations of suspended sediment. These tributaries also had greater stream gradients than the sites on the Minnesota River. Suspended fines were greater than suspended sand at all sites in the study area. The range of median particle sizes matched the range for stream gradients from greatest to smallest. Bedload ranged from 3 to 20 percent of the total load at the Le Sueur River, Minnesota River at Mankato, and High Island Creek and was less than 1 percent of the total load at the Minnesota River near Jordan and at Fort Snelling State Park. The reach of the Minnesota River between Mankato and Jordan is a major source of sediment, with the sediment yield at Jordan being two and a half times greater than at Mankato. Between Jordan and Fort Snelling, the sediment yield decreases substantially, which indicates that the Minnesota River in this reach is a sink for sediment. Surrogate measurements (acoustic backscatter) collected with suspended-sediment concentration data from water years 2012 through 2016 from the Minnesota River at Fort Snelling State Park indicated strong relations between the acoustic backscatter and suspended-sediment concentrations. These results point to the dynamic nature of sediment aggradation, degradation, and transport in the Minnesota River Basin. The analyses described in this report will improve the understanding of sediment-transport relations and sediment budgets in the Minnesota River Basin.

Minnesota

Equations for estimating bankfull channel geometry and discharge for streams in Massachusetts

Regression equations were developed for estimating bankfull geometry—width, mean depth, cross-sectional area—and discharge for streams in Massachusetts. The equations provide water-resource and conservation managers with methods for estimating bankfull characteristics at specific stream sites in Massachusetts. This information can be used for the adminstration of the Commonwealth of Massachusetts Rivers Protection Act of 1996, which establishes a protected riverfront area extending from the mean annual high-water line corresponding to the elevation of bankfull discharge along each side of a perennial stream. Additionally, information on bankfull channel geometry and discharge are important to Federal, State, and local government agencies and private organizations involved in stream assessment and restoration projects. Regression equations are based on data from stream surveys at 33 sites (32 streamgages and 1 crest-stage gage operated by the U.S. Geological Survey) in and near Massachusetts. Drainage areas of the 33 sites ranged from 0.60 to 329 square miles (mi2). At 27 of the 33 sites, field data were collected and analyses were done to determine bankfull channel geometry and discharge as part of the present study. For 6 of the 33 sites, data on bankfull channel geometry and discharge were compiled from other studies done by the U.S. Geological Survey, Natural Resources Conservation Service of the U.S. Department of Agriculture, and the Vermont Department of Environmental Conservation. Similar techniques were used for field data collection and analysis for bankfull channel geometry and discharge at all 33 sites. Recurrence intervals of the bankfull discharge, which represent the frequency with which a stream fills its channel, averaged 1.53 years (median value 1.34 years) at the 33 sites. Simple regression equations were developed for bankfull width, mean depth, cross-sectional area, and discharge using drainage area, which is the most significant explanatory variable in estimating these bankfull characteristics. The use of drainage area as an explanatory variable is also the most commonly published method for estimating these bankfull characteristics. Regional curves (graphic plots) of bankfull channel geometry and discharge by drainage area are presented. The regional curves are based on the simple regression equations and can be used to estimate bankfull characteristics from drainage area. Multiple regression analysis, which includes basin characteristics in addition to drainage area, also was used to develop equations. Variability in bankfull width, mean depth, cross-sectional area, and discharge was more fully explained by the multiple regression equations that include mean-basin slope and drainage area than was explained by equations based on drainage area alone. The Massachusetts regional curves and equations developed in this study are similar, in terms of values of slopes and intercepts, to those developed for other parts of the northeastern United States. Limitations associated with site selection and development of the equations resulted in some constraints for the application of equations and regional curves presented in this report. The curves and equations are applicable to stream sites that have (1) less than about 25 percent of their drainage basin area occupied by urban land use (commercial, industrial, transportation, and high-density residential), (2) little to no streamflow regulation, especially from flood-control structures, (3) drainage basin areas greater than 0.60 mi2 and less than 329 mi2, and (4) a mean basin slope greater than 2.2 percent and less than 23.9 percent. The equations may not be applicable where streams flow through extensive wetlands. The equations also may not apply in areas of Cape Cod and the Islands and the area of southeastern Massachusetts close to Cape Cod with extensive areas of coarse-grained glacial deposits where none of the study sites are located. Regardless of the setting, the regression equations are not intended for use as the sole method of estimating bankfull characteristics; however, they may supplement field identification of the bankfull channel when used in conjunction with field verified bankfull indicators, flood-frequency analysis, or other supporting evidence.

Massachusetts

Use of satellite imagery to identify vegetation cover changes following the Waldo Canyon Fire event, Colorado, 2012-2013

The Waldo Canyon Fire of 2012 was one of the most destructive wildfire events in Colorado history. The fire burned a total of 18,247 acres, claimed 2 lives, and destroyed 347 homes. The Waldo Canyon Fire continues to pose challenges to nearby communities. In a preliminary emergency assessment conducted in 2012, the U.S. Geological Survey (USGS) concluded that drainage basins within and near the area affected by the Waldo Canyon Fire pose a risk for future debris flow events. Rainfall over burned, formerly vegetated surfaces resulted in multiple flood and debris flow events that affected the cities of Colorado Springs and Manitou Springs in 2013. One fatality resulted from a mudslide near Manitou Springs in August 2013. Federal, State, and local governments continue to monitor these hazards and other post-fire effects, along with the region’s ecological recovery. At the request of the Colorado Springs Office of Emergency Management, the USGS Special Applications Science Center developed a geospatial product to identify vegetation cover changes following the 2012 Waldo Canyon Fire event. Vegetation cover was derived from July 2012 WorldView-2 and September 2013 QuickBird multispectral imagery at a spatial resolution of two meters. The 2012 image was collected after the fire had reached its maximum extent. Per-pixel increases and decreases in vegetation cover were identified by measuring spectral changes that occurred between the 2012 and 2013 image dates. A Normalized Difference Vegetation Index (NDVI), and Green-Near Infrared Index (GRNIR) were computed from each image. These spectral indices are commonly used to characterize vegetation cover and health condition, due to their sensitivity to detect foliar chlorophyll content. Vector polygons identifying surface-cover feature boundaries were derived from the 2013 imagery using image segmentation software. This geographic software groups similar image pixels into vector objects based upon their spatial and spectral characteristics. The vector dataset was then populated with the per-pixel spectral change information to provide an estimated percentage of vegetation increase or decrease of pixels within each polygon. Information collected during a field visit to the Waldo Canyon burn scar in September 2013 was used to help validate this assessment (see photographs 1-3). The numbers on the satellite images correspond to the location of the photographs. For display purposes, the polygons shown on the map represent areas where significant decrease or increase in vegetation cover occurred. Only polygons that held a 70 percent or greater cover change are shown on this map (a GIS dataset with complete information is available upon request). A significant increase in vegetation cover was found in the burned area. This increase is likely due to the growth of grasses and other herbaceous vegetation. Minimal vegetation cover decrease was detected at this threshold. This product is meant to provide a broad survey of post-fire vegetation trends within the Waldo Canyon burned area to Federal, State, and local officials. It is not designed to quantify species-level vegetation change at this time.

Colorado

Applications of knowledge and predictions of atmospheric rivers

This chapter reviews how AR research is being applied in real-world situations to address issues of flood planning and emergency intervention. It includes water supply management case studies. Examples comprise five distinct sections that show how AR research is being directly applied to the challenges that water managers, dam operators, crisis-management engineers such as USACE, National Weather Service (NWS) personnel, the media, and others face. These topics include how decision-makers on the ground must iteratively alternate between forecasts and their own field observations, especially in unfolding emergency-response conditions, and the trade-offs necessitated between acting on competing priorities such as flood-risk management and water supply management. Ultimately, almost all AR studies have the potential to directly benefit the public’s need for ongoing water supply as well as for accurate weather forecasts and deployable emergency protocols for natural hazards that necessitate municipal, state, and federal government personnel to collaborate.

Book chapter

Environmental contaminants in eggs of California least terns (Sterna antillarum browni)

A severe decline in the coastal breeding population of California least terns (Sterna antillarum browni) in California and Baja California (U.S. Fish Wildl. Serv. 1980) prompted both State and Federal governments to designate it an endangered species in 1970 (Massey 1974). Significant losses of nesting and feeding habitat have contributed greatly to the decline of this subspecies (Massey 1974; Atwood and Minsky 1983). However, environmental contaminants, such as organochlorine compounds and metals, may also have contributed to the decline. California least terns are primarily piscivorous during the nesting period (Massey 1974), feeding predominantly on jack-smelt (Atherinops californiensis), topsmelt (A. affinis), and northern anchovy (Engraulis mordax) (Atwood and Minsky 1983). Topsmelt had the highest levels of DDE (p,p'-DDE) (up to 3 #g/g wet wt) of fish collected from San Diego Bay by Ohlendorf et al. (1985). Eggs of Caspian terns ~. caspia) from that study contained up to 56/~g/g DDE, and DDE was associated with a reduction in eggshell thickness as determined by the thickness index. In addition to shell deficiencies, organochlorines can also cause reduced egg production, aberrant incubation behavior, delayed ovulation, embryotoxicosis, and mortality of chicks and adults (Blus 1982). Mercury (Hg) and selenium (Se) have caused decreased hatchability, altered nesting behavior, and embryotoxicosis in birds in field and laboratory studies (Cormors et al. 1975; Ohlendorf et al. 1986; Heinz et al. 1987). Our objective was to evaluate the role of contaminants in the decline of California least terns.

California

Projecting the remaining habitat for the western spadefoot (Spea hammondii) in heavily urbanized southern California

Extensive urbanization in coastal southern California has reduced natural habitat in this biodiversity hotspot. To better conserve ecological communities, state and federal agencies, along with local jurisdictions and private stakeholders, developed regional conservation plans for southern California. Although many protected areas exist within this region, the patchwork nature of these protected areas might not provide good coverage for species that require multiple habitat components, such as amphibians with complex life histories. Because of declines in the past century, the status of the western spadefoot ( Spea hammondii ) in southern California is of concern to state and federal wildlife agencies. Species distribution models (SDMs) can aid in determining the conservation status of imperiled species by projecting where suitable habitat remains and how much is protected from further development. We built SDMs that integrated site-occupancy data from systematic pitfall trapping surveys and presence-only data from biodiversity databases and citizen science platforms to project the current distribution of western spadefoots in southern California. Western spadefoot occurrence was positively related to the cover of grassland or shrub/scrub and the % sand in the soil within a 1000 m buffer, and was negatively related to slope, elevation, and distance to ephemeral streams or vernal pools . Most of the remaining unprotected habitat for western spadefoots is in the southern half of its historical range in western San Diego and Riverside counties. A few large tracts of spadefoot habitat exist on U.S. Department of Defense lands and smaller tracts remain on ecological reserves owned by state and local government agencies. Only small patches of habitat remain in the northern half of this clade’s historical range in Ventura, Orange, Los Angeles, and San Bernardino counties. Existing regional conservation plans provide ostensible spatial coverage of the majority of extant habitat for western spadefoots in southern California, but most of the habitat within the jurisdiction of these plans lacks formal protection, exposing this species to further declines as urbanization continues in the 21st century.

California

Ecological and political issues surrounding decommissioning of offshore oil facilities in the Southern California Bight

To aid legislators, resource managers, and the general public, this paper summarizes and clarifies some of the issues and options that the federal government and the state of California face in decommissioning offshore oil and gas production platforms, particularly as these relate to platform ecology. Both local marine ecology and political climate play a role in decommissioning offshore oil production platforms. Compared to the relatively supportive political climate in the Gulf of Mexico for “rigs-to-reefs” programs, conflicting social values among stakeholders in Southern California increases the need for understanding ecological impacts of various decommissioning alternatives (which range from total removal to allowing some or all of platform structure to remain in the ocean). Additional scientific needs in the decommissioning process include further assessment of platform habitat quality, estimation of regional impacts of decommissioning alternatives to marine populations, and determination of biological effects of any residual contaminants. The principal management need is a ranking of environmental priorities (e.g. species-of-interest and marine habitats). Because considerable numbers of economically important species reside near oil platforms, National Oceanic and Atmospheric Administration Fisheries should consider the consequences of decommissioning alternatives in their overall management plans. Management strategies could include designating reefed platforms as marine protected areas. The overarching conclusion from both ecological and political perspectives is that decommissioning decisions should be made on a case-by-case basis.

Ocean and Coastal Management

A typology of drought decision making: Synthesizing across cases to understand drought preparedness and response actions

Drought is an inescapable reality in many regions, including much of the western United States. With climate change, droughts are predicted to intensify and occur more frequently, making the imperative for drought management even greater. Many diverse actors – including private landowners, business owners, scientists, non-governmental organizations (NGOs), and managers and policymakers within tribal, local, state, and federal government agencies – play multiple, often overlapping roles in preparing for and responding to drought. Managing water is, of course, one of the most important roles that humans play in both mitigating and responding to droughts; but, focusing only on “water managers” or “water management” fails to capture key elements related to the broader category of drought management. The respective roles played by those managing drought (as distinct from water managers), the interactions among them, and the consequences in particular contexts, are not well understood. Our team synthesized insights from 10 in-depth case studies to understand key facets of decision making about drought preparedness and response. We present a typology with four elements that collectively describe how decisions about drought preparedness and response are made (context and objective for a decision; actors responsible; choice being made or action taken; and how decisions interact with and influence other decisions). The typology provides a framework for system-level understanding of how and by whom complex decisions about drought management are made. Greater system-level understanding helps decision makers, program and research funders, and scientists to identify constraints to and opportunities for action, to learn from the past, and to integrate ecological impacts, thereby facilitating social learning among diverse participants in drought preparedness and response.

Colordao, Idaho, Montana, New Mexico, Oklahoma, Or

Legal mechanisms for protecting riparian resource values

Riparian resources include the borders of rivers, lakes, ponds, and potholes. These border areas are very important for a number of reasons, including stream channel maintenance, flood control, aesthetics, erosion control, fish and wildlife habitat, recreation, and water quality maintenance. These diverse functions are not well protected by law or policy. We reviewed law and policies regarding endangered species habitat designation, land use planning, grazing management, water allocation, takings, and federal permits and licenses, along with the roles of federal, state, and local governments. We discuss the politics of implementing these policies, focusing on the difficulties in changing entrenched water and land use practices. Our review indicates a lack of direct attention to riparian ecosystem issues in almost all environmental and land use programs at every level of government. Protection of riparian resource values requires a means to integrate existing programs to focus on riparian zones.

Water Resources Research

Status and management of the PaliIa, an endangered Hawaiian honeycreeper, 1987-1996

A single, relictual population of Palila Loxioides bailleui, a Hawaiian honeycreeper, survives on the slopes of Mauna Kea volcano on the island of Hawai'i, where it feeds principally on flowers and green seeds of the mamane tree Sophora chrysophylla. The Palila was listed as an endangered species by state and federal governments because of continuing damage to its habitat by browsing Feral and Mouflon Sheep Ovis aries and O. musimon and Goats Capra hircus and because of the bird's restricted range and low numbers. Ecology of the Palila was studied from 1987 to 1996. Annual population estimates fluctuated between 1 600 and 5 700 and averaged 3 400 birds. Estimates varied with availability of mamane seeds, which are less abundant in drought years. In drought years, most birds did not attempt to breed, and survival rates were lower because of a shortage of food. Availability of mamane seeds also showed large seasonal variability. While some nests were preyed upon by Owls Asio flammeus, Cats Felis catus and Rats Rattus rattus, losses were high at the end of the season from unexplained death of eggs and chicks. Genetic studies did not implicate inbreeding depression. Neither avian malaria nor avian pox appeared at this site, where the mosquito vector was absent. However, weather and food shortage worsened towards the end of the nesting season. Availability of food and habitat remain the principal factors limiting increase in the Palila population. Recovery efforts now focus on reducing numbers of feral ungulates, fire management, removing mammalian predators, and developing techniques for captive propagation and introduction to currently unoccupied sites within the bird's former range. Reforestation adjacent to the Mauna Kea Forest Reserve would allow the Palila population to expand and grow.

Pacific Conservation Biology

The role of defensible space for residential structure protection during wildfires

With the potential for worsening fire conditions, discussion is escalating over how to best reduce effects on urban communities. A widely supported strategy is the creation of defensible space immediately surrounding homes and other structures. Although state and local governments publish specific guidelines and requirements, there is little empirical evidence to suggest how much vegetation modification is needed to provide significant benefits. We analysed the role of defensible space by mapping and measuring a suite of variables on modern pre-fire aerial photography for 1000 destroyed and 1000 surviving structures for all fires where homes burned from 2001 to 2010 in San Diego County, CA, USA. Structures were more likely to survive a fire with defensible space immediately adjacent to them. The most effective treatment distance varied between 5 and 20 m (16–58 ft) from the structure, but distances larger than 30 m (100 ft) did not provide additional protection, even for structures located on steep slopes. The most effective actions were reducing woody cover up to 40% immediately adjacent to structures and ensuring that vegetation does not overhang or touch the structure. Multiple-regression models showed landscape-scale factors, including low housing density and distances to major roads, were more important in explaining structure destruction. The best long-term solution will involve a suite of prevention measures that include defensible space as well as building design approach, community education and proactive land use planning that limits exposure to fire.

International Journal of Wildland Fire

The scientific assessment and strategy team contributions assessing the 1993 flood on the Mississippi and Missouri River basins

The Scientific Assessment and Strategy Team was formed to provide scientific advice and assistance to federal officials responsible for making decisions with respect to flood recovery in the Upper Mississippi River Basin (above Cairo, Illinois) as a result of the 1993 flooding. The team assembled data from a wide variety of sources within federal, state, and local governments, and the private sector. The huge volume of data (over 250 gigabytes) made analysis of all the data difficult. The locating, obtaining, and conversion of the data were extremely difficult leading to a recommendation for an on-line source or at least an on-line listing of available data. Parts of the data were analyzed and scientific bases were establishedfor discussions concerning levee effects on flood stages, effects of wetlands on flooding , effects of man 's increased intervention in the floodplains and uplands, and proposals regarding floodways on the nations rivers. The data collected indicated that the 1993 flooding could not be attributed to man's intervention on the floodplain but to the excessive amount of rainfall in the basin. The stormpatterns thatproduced the rainfall also moved south at about the same speed as the flood waters resulting in storms later in the summer reinforcing early floods. This resulted in a very long duration flood that overwhelmed existing flood reduction measures in the portions of the basin that were flooded.

Mississppi River basin, Missouri River basin

Morphometry, growth, and condition of hatchery-reared Cisco (Coregonus artedi) and Bloater (Coregonus hoyi)

The re-introduction of native species that have been extirpated or in low abundance in the Great Lakes has been a binational initiative between the United States and Canadian governments. Recently, new management programs have been underway that use current hatchery facilities for the restoration of native forage fishes in Lake Ontario. These species include Bloater ( Coregonus hoyi ), which has been extirpated from Lake Ontario for approximately four decades, and Cisco ( C. artedi ), which exists at a fraction of its former abundance. We assessed morphometrics, length-weight relationships, and condition factors during early life development for eight cohorts of Cisco and Bloater reared from 2012-2019. Weekly samples for Cisco and Bloater were measured from hatch until release (29-45 weeks, 133-1,002 samples annually). Head width, gape, mandible length, and mouth height metrics were all larger for Cisco than Bloater at any given size but increased at similar rates for both species. Average condition factors for Cisco and Bloater were 0.54317 and 0.55892, respectively. This information may also improve field identification of these species, helping managers evaluate the relative success of different release strategies for rehabilitation of populations of these native species.

Ecology and Evolutionary Biology

Science for avian conservation: Priorities for the new millennium

Over the past decade, bird conservation activities have become the preeminent natural resource conservation effort in North America. Maturation of the North American Waterfowl Management Plan (NAWMP), establishment of Partners in Flight (PIF), and creation of comprehensive colonial waterbird and shorebird conservation plans have stimulated unprecedented interest in, and funding for, bird conservation in the United States, Canada, Mexico, and other countries in the western hemisphere. Key to that success in the United States has been active collaboration among federal, state and local governments, conservation organizations, academia, and industry. The U.S. Department of the Interior (DOI), which has primary statutory responsibility for migratory bird conservation and management, has been a key partner. Despite the great strides that have been made in bird conservation science, historical approaches to research and monitoring have often failed to provide sufficient information and understanding to effectively manage bird populations at large spatial scales. That shortcoming, and the lack of an integrated strategy and comprehensive set of research priorities, is more evident in light of the goals established by the North American Bird Conservation Initiative (NABCI). The NABCI is a trinational, coalition-driven effort to provide an organizational umbrella for existing conservation initiatives. The expanded focus of NABCI and individual bird conservation initiatives is to work together in an integrated, holistic fashion to keep common birds common and to increase populations of declining, threatened, and endangered species. To assist bird conservation initiatives in defining goals and developing new approaches to effective research, the U.S. Geological Survey (USGS), the research agency of DOI, convened a workshop, “Science for Avian Conservation: Understanding, Modeling, and Applying Ecological Relationships,” on 31 October–2 November 2000, which brought together 51 scientists from USGS, as well as scientists and conservationists from other agencies and organizations actively participating in NABCI. As the lead federal agency involved in bird conservation research, USGS has a clear legislative mandate to provide scientific information upon which future management plans and actions will be built. This article summarizes key issues and recommendations that arose from that workshop. The principal goal of the workshop was to guide USGS in defining its role, assessing capabilities, and directing future agency planning in support of bird conservation. A major component was to identify key areas of research needed in this new era of bird conservation science. Although tailored to the mission of USGS, workshop recommendations visualize a bold direction for future avian conservation science in which research and monitoring work in tandem with management to increase our understanding of avian populations and the processes that affect them. The USGS is a science agency whose role is to provide objective scientific information to management agencies and therefore is not directly involved in high-level resource policy-making or on-the-ground management decision making. Nevertheless, it is important to note that effective policy decision making must integrate the best available science with political and economic realities to achieve successful avian conservation—an important subject acknowledged in the workshop, but largely beyond its scope of discussion. Williams (2003) questions regarding how scientific information can be effectively communicated to decision makers and incorporated into natural resource policy. Without an aggressive vision and the willingness of researchers, managers, and policy makers to implement it, conservation of North American birds is likely to proceed without the full benefit of scientific investigation. These recommendations represent the principal conclusions drawn by workshop participants and do not necessarily reflect official USGS policy.

The Auk

Distribution, abundance, and habitat affinities of the Coastal Plain Swamp Sparrow

We examined the distribution and abundance of the Coastal Plain Swamp Sparrow (Melospiza georgiana nigrescens) at previously occupied sites and points within potential habitat. We found Swamp Sparrows throughout their formerly documented range except in southern Chesapeake Bay. Swamp Sparrows were most common in the Mullica River region of New Jersey where we detected individuals at 78% of systematically chosen points with a mean count of 4.1 birds/point. The percentages of points with positive detections in. the regions of Delaware River (39%), eastern Delaware Bay (23%), western Delaware Bay (34%), and Tuckahoe River (31%) were lower. The mean count of birds/point was between 0.4 and 0.6 in these regions. A higher resolution Poisson model of relative abundance suggested that the greatest concentrations of Swamp Sparrows occurred not only in the Mullica River area but also along northwestern Delaware Bay. Regression analysis of Swamp Sparrow counts and habitat features identified shrubs (Iva frutescens and Baccharis halimifolia) as a key habitat component. By applying density estimates generated by DISTANCE (Thomas et al. 1998) to the approximate area of potential shrub habitat along Delaware Bay, we estimated that the core population of Coastal Plain Swamp Sparrows was less than 28,000 pairs. We recommend that the Coastal Plain Swamp Sparrow be listed as a subspecies of concern by state and local governments because of its relatively small population size, restricted distribution in the mid-Atlantic region, and narrow habitat requirements.

The Wilson Bulletin

National Cartographic Information Center

The National Cartographic Information Center (NCIC) exists to help you find maps of all kinds and much of the data and materials used to compile and to print them. NCIC collects, sorts and describes all types of cartographic information from Federal, State and local government agencies and, where possible, from private companies in the mapping business. It is the public's primary source for cartographic information. (See partial list of Federal agencies and their map and other cartographic products.)

General Information Product

The United States-Mexican Border - A land of conflict and opportunity: Chapter 1 in United States-Mexican Borderlands: Facing tomorrow's challenges through USGS science

The boundary between the United States and Mexico was created for convenient expediency through political debate and agreements (fig. 1–1). With the exception of the eastern segment of the border, which follows the course of the Rio Grande (known as the Rio Bravo in Mexico), the defining of this border was based on political decisions that had little concern for ecosystems, geologic features, or water—all of which span that imaginary line. However, the location of the border has had a remarkable effect on the biologic and physical systems in the border region and, in turn, has had a growing influence on what we now see as 21st century socioeconomic and environmental priorities. Because of the complex interactions of the human, ecological, political, and economic exigencies associated with this area, the status of the United States–Mexican border region, known as the Borderlands, has become an ever-present concern for most American citizens and for Mexican and United States Federal, State, and local governments.

United States-Mexico Borderlands