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Methodology for an integrative assessment of China's ecological restoration programs

While research projects have been conducted to examine the impacts and effectiveness of China's ecological restoration programs, few of them represent integrated, systematic efforts. The objective of this chapter is thus to articulate and outline a methodology for an integrative assessment, which, we believe, should embrace both the environmental and socioeconomic changes and engage investigations at multiple scales. Further, these investigations should be pursued through interdisciplinary collaboration with expertise from ecology, economics, hydrology, and geospatial, climate, and land change sciences. We argue that the deployment of geospatial capability, the use of longitudinal data, and the connection between science and policy should be the hallmarks of an integrative assessment. We also describe our general approach and specific models to quantify the environmental and socioeconomic impacts induced by implementing the restoration programs, and address the issue of how to overcome the challenges in generating the data needed for executing various empirical tasks. We hope that the adoption and application of this methodology will make a valuable contribution to a more robust and timely assessment as well as implementation of the ecological restoration programs in and outside of China.

Book chapter↗

Digital recordings of aftershocks of the 17 October 1989 Loma Prieta, California, earthquake

After the 17 October 1989 Loma Prieta, central California, earthquake (291 00:04:15.25 UTC, M s =7.1), the U. S. Geological Survey recorded aftershocks at sites of seismologic and engineering interest. This report describes a seismic-waveform dataset collected from 17 October 1989 (291 UTC) to 14 March 1990 (073 UTC) with GEOS digital seismographs deployed from USGS offices in Menlo Park, California. It is a summary of field and data-playback information that is intended to facilitate use of the waveform data in seismologic and engineering studies. It includes station locations, instrumentation histories (trigger parameters, sensor parameters, clock corrections, etc.), listings of waveform records, preliminary seismicity listings, and information about data availability. Our principal research goal is to understand the influence of seismic-source and wave-propagation phenomena on damaging ground motions, and to use this knowledge to predict hazards from future earthquakes. Source processes encompass the spatial and temporal variations in the excitation of seismic waves at the fault. Wave-propagation processes include amplification and deamplification as seismic energy radiates away from the fault through rocks and soils of variable seismic properties. Since shallow geology at a site (upper tens to hundreds of meters) can exert a relatively great influence on damaging ground motions, it is useful to separate wave-propagation phenomena into whole-path and site parts. In studying these phenomena, aftershock waveform recordings can play an important role. Compared to main shocks, aftershocks are simple earthquakes and aftershock records tend to be relatively dominated by wave-propagation effects. Geometrically, since aftershocks are distributed over the fault zone, aftershock records should resemble part of the main-shock ground motion contributed by localized rupture. This observation forms the basis of the empirical-Green's-function method wherein main-shock ground motion is modeled by summing aftershock records. The Loma Prieta earthquake provided a rare opportunity that motivated the intensive aftershock-recording effort described in this report. In a seismically noisy urban environment like the San Francisco Bay area, such a large set of high quality seismic data would otherwise be unobtainable.

California↗

Investigating apparent misalignment of predator-prey dynamics: Great Lakes lake trout and sea lampreys

Interpreting ecological dynamics is challenging when observed patterns are not aligned with presumed models. Investigating possible sources of uncertainty is critical to understand the underlying system and ultimately inform management decisions. In this study, we used simulation to investigate the hypothesis that observed inconsistencies in Great Lakes lake trout ( Salvelinus namaycush ) and sea lamprey ( Petromyzon marinus ) predator-prey dynamics were caused by measurement error in the abundance and predation metrics. When lake trout abundances increase and sea lamprey abundances decrease, predation rates are expected to decline (and vice versa). Occasionally predation rates do not change as expected, leading to an inconsistency in expected predator-prey dynamics. We used a Type II functional response model to align lake trout relative abundance, adult sea lamprey abundance, and sea lamprey marking rates of lake trout in each Great Lake. Then we added measurement error to each of the simulated metrics to see how it contributed to observed inconsistencies in the marking rates. The simulated inconsistency rate was far less than the observed inconsistency rate in Lakes Superior and Erie, indicating that measurement error was not primarily responsible for the misalignment of metrics, contrary to our hypothesis. Rather than ignoring these inconsistencies as unfortunate consequences of imperfect assessments, we recommend that future inconsistencies be scrutinized for possible mechanistic explanations. We suspect that predator-prey dynamics are being influenced by spatially structured within-lake components and the presence of alternative hosts, neither of which were accounted for in the functional response model we used.

Great Lakes↗

Internal loading of phosphorus in western Lake Erie

This study applied eight techniques to obtain estimates of the diffusive flux of phosphorus (P) from bottom sediments throughout the western basin of Lake Erie. The flux was quantified from both aerobic and anaerobic incubations of whole cores; by monitoring the water encapsulated in bottom chambers; from pore water concentration profiles measured with a phosphate microelectrode, a diffusive equilibrium in thin films (DET) hydrogel, and expressed pore waters; and from mass balance and biogeochemical diagenetic models. Fluxes under aerobic conditions at summertime temperatures averaged 1.35 mg P/m 2 /day and displayed spatial variability on scales as small as a centimeter. Using two different temperature correction factors, the flux was adjusted to mean annual temperature yielding average annual fluxes of 0.43–0.91 mg P/m 2 /day and a western basin-wide total of 378–808 Mg P/year as the diffusive flux from sediments. This is 3–7% of the 11,000 Mg P/year International Joint Commission (IJC) target load for phosphorus delivery to Lake Erie from external sources. Using these average aerobic fluxes, the sediment contributes 3.0–6.3 μg P/L as a background internal contribution that represents 20–42% of the IJC Target Concentration of 15 μg P/L for the western basin. The implication is that this internal diffusive recycling of P is unlikely to trigger cyanobacterial blooms by itself but is sufficiently large to cause blooms when combined with external loads. This background flux may be also responsible for delayed response of the lake to any decrease in the external loading.

Lake Erie↗

Sources and streambed storage of soft sediment and sediment-bound phosphorus in an agricultural Great Lakes tributary

The East River, an agricultural tributary to the Lower Fox River and Lake Michigan in Wisconsin, USA, has excessive phosphorus (P) and suspended-sediment loads that contribute to downstream eutrophication and habitat-related impairments. Spatial variations and connectivity in the sources and streambed storage of soft, fine-grained (silt and clay) sediment and related sediment-bound P (sed-P) were examined, from first-order ephemeral channels to a downstream water-monitoring station. Analysis included field inventories, a channel corridor sediment and sed-P budget applied to an extended channel network, and geochemical fingerprinting. Corridor inventories included mass wasting along valley sides, eroding streambanks, gullying along perennial and ephemeral channels, and streambed storage volumes in perennial reaches; each converted to masses. Erosion results estimate 7400 Mg/yr of fine-grained sediment, similar to the mean annual suspended sediment load of 5400 Mg/yr. Corridor erosion contributed 7200 kg/yr of sed-P, less than the mean annual particulate-P load of 10,000 kg/yr P. Soft sediment storage was 1400 Mg, with 1500 kg sed-P. Apportionment of soft sediment as streambank sourced was spatially variable, contributing ≥95 % in high order reaches with high storage and as little as 20 % in upstream reaches, where gully, crop, and forest provided the remainder. Two nearby tributaries showed similarity in the predominance of streambank-sourced material in stored soft sediment but differences in geomorphic setting affected its spatial distribution. The results of this study show the importance of including corridor erosion as a source of sediment and sed-P in agricultural basins, which can be helpful in decision-making regarding conservation practices.

Wisconsin↗

The perfect debris flow? Aggregated results from 28 large-scale experiments

Aggregation of data collected in 28 controlled experiments reveals reproducible debris-flow behavior that provides a clear target for model tests. In each experiment ∼10 m 3 of unsorted, water-saturated sediment composed mostly of sand and gravel discharged from behind a gate, descended a steep, 95-m flume, and formed a deposit on a nearly horizontal runout surface. Experiment subsets were distinguished by differing basal boundary conditions (1 versus 16 mm roughness heights) and sediment mud contents (1 versus 7 percent dry weight). Sensor measurements of evolving flow thicknesses, basal normal stresses, and basal pore fluid pressures demonstrate that debris flows in all subsets developed dilated, coarse-grained, high-friction snouts, followed by bodies of nearly liquefied, finer-grained debris. Mud enhanced flow mobility by maintaining high pore pressures in flow bodies, and bed roughness reduced flow speeds but not distances of flow runout. Roughness had these effects because it promoted debris agitation and grain-size segregation, and thereby aided growth of lateral levees that channelized flow. Grain-size segregation also contributed to development of ubiquitous roll waves, which had diverse amplitudes exhibiting fractal number-size distributions. Despite the influence of these waves and other sources of dispersion, the aggregated data have well-defined patterns that help constrain individual terms in a depth-averaged debris-flow model. The patterns imply that local flow resistance evolved together with global flow dynamics, contradicting the hypothesis that any consistent rheology applied. We infer that new evolution equations, not new rheologies, are needed to explain how characteristic debris-flow behavior emerges from the interactions of debris constituents.

Journal of Geophysical Research F: Earth Surface↗

Satellite and airborne remote sensing of gross primary productivity in boreal Alaskan lakes

In terrestrial and marine ecosystems, remote sensing has been used to estimate gross primary productivity (GPP) for decades, but few applications exist for shallow freshwater ecosystems.Here we show field-based GPP correlates with satellite and airborne lake color across a range of optically and limnologically diverse lakes in interior Alaska. A strong relationship between in situ GPP derived from stable oxygen isotopes (δ 18 O) and space-based lake color from satellites (e.g. Landsat-8, Sentinel-2 and CubeSats) and airborne imagery (AVIRIS-NG) demonstrates the potential power of this technique for improving spatial and temporal monitoring of lake GPP when coupled with additional field validation measurements across different systems. In shallow waters clear enough for sunlight to reach lake bottoms, both submerged vegetation (macrophytes and algae) and phytoplankton likely contribute to GPP. The stable isotopes and remotely sensed shallow lake color used here integrate both components. These results demonstrate the utility of lake color as a feasible means for mapping lake GPP from remote sensing. This novel methodology estimates GPP from remote sensing in shallow lakes by combining field measurements of oxygen isotopes with airborne, satellite and CubeSat imagery. This use of lake color for providing insight into ecological processes of shallow lakes is recommended, especially for remote arctic and boreal landscapes.

Alaska↗

Documenting Arctic sea ice dynamics with Global Fiducials Program imagery

For more than 25 years, the U.S. Geological Survey (USGS) has used the remote-sensing capabilities of United States National Imagery Systems (USNIS) to obtain high-resolution electro-optical imagery to monitor Earth’s response to global environmental change. A major focus has been monitoring sea ice behavior in the Arctic Ocean and its marginal seas. In 1997 and 1998, under the direction of the Global Fiducials Program (GFP), USNIS imagery was collected during the Surface Heat Budget of the Arctic Ocean (SHEBA) Project. In 1999, collection of USNIS imagery of six static sea ice sites in the Arctic Ocean and its marginal seas began, and the imagery was archived in the USGS-hosted Global Fiducials Library (GFL). The static sites were imaged through 2014, creating time series of geographically referenced images which scientists have used to study seasonal changes in Arctic ice over the same locations for extended time periods. In early 2009, the Central Intelligence Agency’s MEDEA Program requested that the USGS use USNIS imagery to track movements of sea ice floes during an entire Arctic summer (April through September). The goal was to improve researchers’ understanding of seasonal changes in Arctic sea ice. In order to track and repeatedly capture imagery of the same ice as it drifted across the Arctic Ocean, the USGS developed a methodology and a series of protocols to use data from telemetering drift buoys deployed at locations across the Arctic Ocean by the International Arctic Buoy Programme (IABP) to track the drift of targeted ice masses for periods that exceeded a year. Resulting time series of sea ice imagery, captured while monitoring 38 individual buoys, were archived in the GFL. In 2013 and 2014, in support of the Seasonal Ice Zone Reconnaissance Surveys (SIZRS) Program led by the University of Washington, Seattle, Washington, the USGS requested the collection of USNIS imagery of selected sites in the Beaufort and Chukchi Seas located at every degree of latitude between 70º and 80º N. along a north-south transect. This was done to track and understand the interplay among the ice, atmosphere, and ocean and what it contributes to the rapid decline in summer ice extent that has occurred in recent years. Under the auspices of the GFP, thousands of sea ice images have been collected. Many of those that pass a quality and cloud-cover screening are archived in the GFL. Of these, more than 1,750 sea ice images have been publicly released, following an editing and processing procedure that produces high-resolution degraded images, known as “literal imagery-derived products” or LIDPs. These LIDPs have been approved for free, unrestricted public distribution and scientific analysis. The LIDPs can be downloaded from the USGS Global Fiducials Library Data Access Portal (USGS GFLDAP) at https://www.usgs.gov/global-fiducials-library-data-access-portal . In addition, nonliteral imagery-derived products (nonliteral IDPs), such as metadata, maps, charts, and graphs, have also been released.

Open-File Report↗

Disruption of Drift glacier and origin of floods during the 1989-1990 eruptions of Redoubt Volcano, Alaska

Melting of snow and glacier ice during the 1989–1990 eruption of Redoubt Volcano caused winter flooding of the Drift River. Drift glacier was beheaded when 113 to 121 × 10 6 m 3 of perennial snow and ice were mechanically entrained in hot-rock avalanches and pyroclastic flows initiated by the four largest eruptions between 14 December 1989 and 14 March 1990. The disruption of Drift glacier was dominated by mechanical disaggregation and entrainment of snow and glacier ice. Hot-rock avalanches, debris flows, and pyroclastic flows incised deep canyons in the glacier ice thereby maintaining a large ice-surface area available for scour by subsequent flows. Downvalley flow rheologies were transformed by the melting of snow and ice entrained along the upper and middle reaches of the glacier and by seasonal snowpack incorporated from the surface of the lower glacier and from the river valley. The seasonal snowpack in the Drift River valley contributed to lahars and floods a cumulative volume equivalent to about 35 × 10 6 m 3 of water, which amounts to nearly 30% of the cumulative flow volume 22 km downstream from the volcano. The absence of high-water marks in depressions and of ice-collapse features in the glacier indicated that no large quantities of meltwater that could potentially generate lahars were stored on or under the glacier; the water that generated the lahars that swept Drift River valley was produced from the proximal, eruption-induced volcaniclastic flows by melting of snow and ice.

Alaska↗

Sea level, paleogeography, and archeology on California's Northern Channel Islands

Sea-level rise during the late Pleistocene and early Holocene inundated nearshore areas in many parts of the world, producing drastic changes in local ecosystems and obscuring significant portions of the archeological record. Although global forces are at play, the effects of sea-level rise are highly localized due to variability in glacial isostatic adjustment (GIA) effects. Interpretations of coastal paleoecology and archeology require reliable estimates of ancient shorelines that account for GIA effects. Here we build on previous models for California's Northern Channel Islands, producing more accurate late Pleistocene and Holocene paleogeographic reconstructions adjusted for regional GIA variability. This region has contributed significantly to our understanding of early New World coastal foragers. Sea level that was about 80–85 m lower than present at the time of the first known human occupation brought about a landscape and ecology substantially different than today. During the late Pleistocene, large tracts of coastal lowlands were exposed, while a colder, wetter climate and fluctuating marine conditions interacted with rapidly evolving littoral environments. At the close of the Pleistocene and start of the Holocene, people in coastal California faced shrinking land, intertidal, and subtidal zones, with important implications for resource availability and distribution.

California↗

Planktonic to sessile: Drivers of spatial and temporal variability across barnacle life stages and indirect effects of the Pacific Marine Heatwave

Barnacles are a foundation species in intertidal habitats. During the Pacific Marine Heatwave (PMH), intertidal barnacle cover increased in the northern Gulf of Alaska (GoA); however, the role of pelagic larval supply in this increase was unknown. Using long-term monitoring data on intertidal benthic (percent cover) and pelagic larval populations (nauplii and cyprid concentrations), we examined potential environmental drivers (temperature, chlorophyll-a, mixed layer depth) of larval concentration and whether including larval concentration at regional and annual scales improved intertidal barnacle percent cover models in two study regions in the GoA. In both regions, larval concentrations were slightly higher following the PMH. Percent cover models were improved by including cyprid concentrations (but not nauplii), and the effect strength varied by site and tidal elevation. This indicates that larval concentration contributes as a bottom–up driver of benthic barnacle abundance. There is little evidence of a direct effect of the PMH on either life stage. Instead, our results may illustrate the positive feedback between life stages, where higher adult benthic abundance increased larval concentrations, which then supplied more new recruits to the benthos. As heatwaves continue to occur, integrating various data types can provide insights into factors influencing both benthic and pelagic communities.

Alaska↗

Earning their stripes: The potential of tiger trout and other salmonids as biological controls of forage fishes in a western reservoir

Maintaining a balance between predator and prey populations can be an ongoing challenge for fisheries managers, especially in managing artificial ecosystems such as reservoirs. In a high-elevation Utah reservoir, the unintentional introduction of the Utah Chub Gila atraria and its subsequent population expansion prompted managers to experimentally shift from exclusively stocking Rainbow Trout Oncorhynchus mykiss to also stocking tiger trout (female Brown Trout Salmo trutta × male Brook Trout Salvelinus fontinalis ) and Bonneville Cutthroat Trout O. clarkii utah (hereafter, Cutthroat Trout) as potential biological control agents. We measured a combination of diet, growth, temperature, and abundance and used bioenergetic simulations to quantify predator demand versus prey supply. Utah Chub were the predominant prey type for tiger trout, contributing up to 80% of the diet depending on the season. Utah Chub represented up to 70% of the total diet consumed by Cutthroat Trout. Although Utah Chub dominated the fish biomass in the reservoir, we still estimated abundances of 238,000 tiger trout, 214,000 Cutthroat Trout, and 55,000 Rainbow Trout. Consequently, when expanded to the population level of each predator, tiger trout and Cutthroat Trout consumed large quantities of Utah Chub on an annual basis: tiger trout consumed 508,000 kg (2,660 g/predator) of the standing prey population, and Cutthroat Trout consumed an estimated 322,000 kg (1,820 g/predator). The estimated combined consumption by Cutthroat Trout and tiger trout exceeded the estimate of Utah Chub annual production. As such, our results suggest that the high rates of piscivory exhibited by Cutthroat Trout and tiger trout in artificial lentic ecosystems are likely sufficient to effectively reduce the overall abundance of forage fishes and to prevent forage fishes from dominating fish assemblages. Collectively, this research provides the first documented findings on tiger trout ecology and performance, which will aid managers in designing and implementing the best stocking strategy to optimize sport fish performance, control undesirable forage fish, and enhance and maintain angler satisfaction.

Utah↗

U.S. Geological Survey—Energy and wildlife research annual report for 2017

Introduction Terrestrial and aquatic ecosystems provide valuable services to humans and are a source of clean water, energy, raw materials, and productive soils. The Nation’s food supply is more secure because of wildlife. For example, native pollinators enhance agricultural crops, and insect-eating bats provide pest control services worth billions of dollars to farmers annually. Fish and wildlife are also vital to a vibrant outdoor recreation and tourism industry. Recreational activities, such as hunting, shooting, boating, and angling, generated \$1.1 billion in excise taxes paid to State wildlife agencies in 2017. National parks, wildlife refuges, and monuments accounted for $35 billion in economic output and 318,000 jobs nationwide in 2016. Additional economic benefits are generated from the use and enjoyment of wildlife in State-owned lands and waters. Although the United States is rich in natural resources, human activity continues to place new pressures on fish and wildlife and the habitats they rely on. The United States became the world’s top producer of petroleum and natural gas products in 2012, surpassing Russia’s natural gas production levels in 2009 and Saudi Arabia’s petroleum production in 2013. The U.S. Energy Information Administration projects that the demand for liquid fuel, natural gas, and renewable energy will show strong growth in the next 20 years. Wind energy has demonstrated consistent growth since 2007 with now more than 53,000 wind turbines contributing to power grids in 41 States, Guam, and Puerto Rico. Solar energy has seen rapid growth since 2013 and made up nearly one-third of the total electricity generation additions in 2016. Yet as our Nation works to advance energy security and sustain wildlife, some conflicts have surfaced. Impacts of an expanding energy infrastructure include fragmentation and loss of habitat as well as mortality of birds, bats, fish, and other animals from interactions with energy generation facilities. Because energy development can often occur in wildlife habitats, ecological science can help guide project siting and operational decisions to areas that present the lowest risk to wildlife and energy developers. To address these challenges and make the most of new opportunities, the U.S. Geological Survey is producing innovative science to develop workable solutions that can help sustain wildlife and the habitat they rely upon, while allowing informed development.

Circular↗

Triggering of repeating earthquakes in central California

Dynamic stresses carried by transient seismic waves have been found capable of triggering earthquakes instantly in various tectonic settings. Delayed triggering may be even more common, but the mechanisms are not well understood. Catalogs of repeating earthquakes, earthquakes that recur repeatedly at the same location, provide ideal data sets to test the effects of transient dynamic perturbations on the timing of earthquake occurrence. Here we employ a catalog of 165 families containing ~2500 total repeating earthquakes to test whether dynamic perturbations from local, regional, and teleseismic earthquakes change recurrence intervals. The distance to the earthquake generating the perturbing waves is a proxy for the relative potential contributions of static and dynamic deformations, because static deformations decay more rapidly with distance. Clear changes followed the nearby 2004 Mw6 Parkfield earthquake, so we study only repeaters prior to its origin time. We apply a Monte Carlo approach to compare the observed number of shortened recurrence intervals following dynamic perturbations with the distribution of this number estimated for randomized perturbation times. We examine the comparison for a series of dynamic stress peak amplitude and distance thresholds. The results suggest a weak correlation between dynamic perturbations in excess of ~20 kPa and shortened recurrence intervals, for both nearby and remote perturbations.

California↗

Low resistivity and permeability in actively deforming shear zones on the San Andreas Fault at SAFOD

The San Andreas Fault Observatory at Depth (SAFOD) scientific drillhole near Parkfield, California crosses the San Andreas Fault at a depth of 2.7 km. Downhole measurements and analysis of core retrieved from Phase 3 drilling reveal two narrow, actively deforming zones of smectite-clay gouge within a roughly 200 m-wide fault damage zone of sandstones, siltstones and mudstones. Here we report electrical resistivity and permeability measurements on core samples from all of these structural units at effective confining pressures up to 120 MPa. Electrical resistivity (~10 ohm-m) and permeability (10-21 to 10-22 m2) in the actively deforming zones were one to two orders of magnitude lower than the surrounding damage zone material, consistent with broader-scale observations from the downhole resistivity and seismic velocity logs. The higher porosity of the clay gouge, 2 to 8 times greater than that in the damage zone rocks, along with surface conduction were the principal factors contributing to the observed low resistivities. The high percentage of fine-grained clay in the deforming zones also greatly reduced permeability to values low enough to create a barrier to fluid flow across the fault. Together, resistivity and permeability data can be used to assess the hydrogeologic characteristics of the fault, key to understanding fault structure and strength. The low resistivities and strength measurements of the SAFOD core are consistent with observations of low resistivity clays that are often found in the principal slip zones of other active faults making resistivity logs a valuable tool for identifying these zones.

Journal of Geophysical Research↗

Occurrence of transformation products in the environment

Historically, most environmental occurrence research has focused on the parent compounds of organic contaminants. Research, however, has documented that the environmental transport of chemicals, such as pesticides and emerging contaminants, are substantially underestimated if transformation products are not considered. Although most examples described herein were drawn from research conducted by the U.S. Geological Survey, such results are generally reflective of those found in other parts of the world. Results from a study of 51 streams in the Midwestern United States found that transformation products were seven of the ten most frequently detected pesticide compounds in late spring runoff (after application of pre-emergent herbicides), and nine of the ten most frequently detected compounds in fall season runoff (during and after harvest). In fact, 70% of the total herbicide concentration in water from the Mississippi River Basin was from transformation products. Results from a study of 86 municipal wells in Iowa found the frequency of detection increased from 17%, when pesticide parent compounds were considered, to 53%, when both parents and transformation products were considered. Transformation products were 12 of the 15 most frequently detected compounds for this groundwater study. Although studies on transformation products of synthetic organic compounds other than pesticides are not as common, wastewater treatment plant discharges have repeatedly been shown to contribute such transformation products to streams. In addition, select detergent transformation products have been commonly found in solid waste in the 1000's mg/kg. These findings and many others document that transformation products must be considered to fully assess the potential environmental occurrence of chemical contaminants and their transport and fate in various compartments of the hydrologic system. ?? 2008 Springer-Verlag Berlin Heidelberg.

The Handbook of Environmental Chemistry series↗

Quantifying wetland–aquifer interactions in a humid subtropical climate region: An integrated approach

Wetlands are widely recognized as sentinels of global climate change. Long-term monitoring data combined with process-based modeling has the potential to shed light on key processes and how they change over time. This paper reports the development and application of a simple water balance model based on long-term climate, soil, vegetation and hydrological dynamics to quantify groundwater–surface water (GW–SW) interactions at the Norman landfill research site in Oklahoma, USA. Our integrated approach involved model evaluation by means of the following independent measurements: (a) groundwater inflow calculation using stable isotopes of oxygen and hydrogen ( 16 O, 18 O, 1 H, 2 H); (b) seepage flux measurements in the wetland hyporheic sediment; and (c) pan evaporation measurements on land and in the wetland. The integrated approach was useful for identifying the dominant hydrological processes at the site, including recharge and subsurface flows. Simulated recharge compared well with estimates obtained using isotope methods from previous studies and allowed us to identify specific annual signatures of this important process during the period of study (1997–2007). Similarly, observations of groundwater inflow and outflow rates to and from the wetland using seepage meters and isotope methods were found to be in good agreement with simulation results. Results indicate that subsurface flow components in the system are seasonal and readily respond to rainfall events. The wetland water balance is dominated by local groundwater inputs and regional groundwater flow contributes little to the overall water balance.

Oklahoma↗

Shrub influence on soil carbon and nitrogen in a semi-arid grassland is mediated by precipitation and largely insensitive to livestock grazing

Dryland (arid and semi-arid) ecosystems globally provide more than half of livestock production and store roughly one-third of soil organic carbon (SOC). Biogeochemical pools are changing due to shrub encroachment, livestock grazing, and climate change. We assessed how vegetation microsite, grazing, and precipitation interacted to affect SOC and total nitrogen (TN) at a site with long-term grazing manipulations and well-described patterns of shrub encroachment across elevation and mean annual precipitation (MAP) gradients. We analyzed SOC and TN in the context of vegetation cover at ungrazed locations within livestock exclosures, high-intensity grazing locations near water sources, and moderate-intensity grazing locations away from water. SOC was enhanced by MAP ( p < 0.0001), but grazing intensity had little effect regardless of MAP ( p = 0.12). Shrubs enhanced SOC (300–1279 g C m −2 ) and TN (27–122 g N m −2 ), except at high MAP where the contribution or stabilization of shrub inputs relative to grassland inputs was likely diminished. Cover of perennial herbaceous plants and litter were significant predictors of SOC ( r 2 = 0.63 and 0.34, respectively) and TN ( r 2 = 0.64 and 0.30, respectively). Our results suggest that continued shrub encroachment in drylands can increase SOC storage when grass production remains high, although this response may saturate with higher MAP. In contrast, grazing – at least at the intensities of our sites – has a lesser effect. These effects underscore the need to understand how future climate and grazing may interact to influence dryland biogeochemical cycling.

Arid Land Research and Management↗