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The floods of March 1936, Part 3, Potomac, James, and upper Ohio Rivers

During the period March 9-22, 1936, there occurred in close succession over the northeastern United States, from the James and upper Ohio River Basins in Virginia and Pennsylvania to the river basins of Maine, two extraordinarily heavy storms, in which the precipitation was almost entirely in the form of rain. The depths of rainfall mark this period as one of the greatest concentrations of precipitation, in respect to time and magnitude of the area covered, of which there is record in this country. At the time of the rain there were also accumulations of snow on the ground over much of the storm-affected region that were large for the season. The comparatively warm temperatures associated with the storms thawed the snow and added materially to the quantities of water to be disposed of by drainage into the waterways, by surface storage in lakes, ponds, and reservoirs, by absorption in the ground, and, probably in comparatively negligible degree, by evaporation. The total quantity of water that had to be disposed of in these ways ranged between 10 and 30 inches in depth over much of the region. The water disposed of by natural storage, absorption, and evaporation amounted to average depths over the many river basins generally within the range of 1 to 3 inches, with a significant degree of uniformity and systematic areal distribution. The remainder of the rain and snow water, generally much larger or even several times larger in amount than surface storage, absorption, and evaporation, required accommodation by the channels of the brooks, creeks, and rivers. There were generally two distinct flood peaks, and in many of the basins the destruction was seriously aggravated, especially during the first flood, by the break-up of thick ice cover accumulated through a winter of exceptionally continuous and severe cold weather. The resulting floods were extraordinarily severe, and records of river stages, extending on some streams back to or nearly to the time of settlement by white men, were broken many of them by wide margins. The peak of the Connecticut River at Hartford, Conn., was 8.6 feet higher than had been experienced since the settlement by white men, 300 years ago. The Susquehanna River at Harrisburg, Pa., was 3.5 feet higher than had been known in a period of record covering about 200 years. The Ohio River at Pittsburgh, Pa., was 6.1 feet higher than had been known in the period beginning 1762. This volume presents many of the facts of these notable floods with respect to the New England rivers, for permanent record and for study and reference by engineers concerned with the building of highways, bridges, and industrial plants, planners of river development, and others. Similar volumes for the region from the Hudson River to the Susquehanna River and for the Potomac, James, and upper Ohio River Basins are presented in companion Water-Supply Papers 799 and 800 respectively. In this volume records of stage and discharge for the period Including the floods are presented for about 150 measurement stations; peak discharges with comparative data for other floods at more than 400 measurement points are summarized; crest stages along an aggregate length of stream channel of 2,820 miles are tabulated; and results of detailed studies of the rainfall and run-off and many other kinds of flood information are presented.

Water Supply Paper↗

Effects of spectrometer band pass, sampling, and signal‐to‐noise ratio on spectral identification using the Tetracorder algorithm

[1] Estimates of spectrometer band pass, sampling interval, and signal‐to‐noise ratio required for identification of pure minerals and plants were derived using reflectance spectra convolved to AVIRIS, HYDICE, MIVIS, VIMS, and other imaging spectrometers. For each spectral simulation, various levels of random noise were added to the reflectance spectra after convolution, and then each was analyzed with the Tetracorder spectral identification algorithm [ Clark et al. , 2003]. The outcome of each identification attempt was tabulated to provide an estimate of the signal‐to‐noise ratio at which a given percentage of the noisy spectra were identified correctly. Results show that spectral identification is most sensitive to the signal‐to‐noise ratio at narrow sampling interval values but is more sensitive to the sampling interval itself at broad sampling interval values because of spectral aliasing, a condition when absorption features of different materials can resemble one another. The band pass is less critical to spectral identification than the sampling interval or signal‐to‐noise ratio because broadening the band pass does not induce spectral aliasing. These conclusions are empirically corroborated by analysis of mineral maps of AVIRIS data collected at Cuprite, Nevada, between 1990 and 1995, a period during which the sensor signal‐to‐noise ratio increased up to sixfold. There are values of spectrometer sampling and band pass beyond which spectral identification of materials will require an abrupt increase in sensor signal‐to‐noise ratio due to the effects of spectral aliasing. Factors that control this threshold are the uniqueness of a material's diagnostic absorptions in terms of shape and wavelength isolation, and the spectral diversity of the materials found in nature and in the spectral library used for comparison. Array spectrometers provide the best data for identification when they critically sample spectra. The sampling interval should not be broadened to increase the signal‐to‐noise ratio in a photon‐noise‐limited system when high levels of accuracy are desired. It is possible, using this simulation method, to select optimum combinations of band‐pass, sampling interval, and signal‐to‐noise ratio values for a particular application that maximize identification accuracy and minimize the volume of imaging data.

Journal of Geophysical Research: Planets↗

Fire and grazing impacts on plant diversity and alien plant invasions in the southern Sierra Nevada

Patterns of native and alien plant diversity in response to disturbance were examined along an elevational gradient in blue oak savanna, chaparral, and coniferous forests. Total species richness, alien species richness, and alien cover declined with elevation, at scales from 1 to 1000 m 2 . We found no support for the hypothesis that community diversity inhibits alien invasion. At the 1-m 2 point scale, where we would expect competitive interactions between the largely herbaceous flora to be most intense, alien species richness as well as alien cover increased with increasing native species richness in all communities. This suggests that aliens are limited not by the number of native competitors, but by resources that affect establishment of both natives and aliens. Blue oak savannas were heavily dominated by alien species and consistently had more alien than native species at the 1-m 2 scale. All of these aliens are annuals, and it is widely thought that they have displaced native bunchgrasses. If true, this means that aliens have greatly increased species richness. Alternatively, there is a rich regional flora of native annual forbs that could have dominated these grasslands prior to displacement by alien grasses. On our sites, livestock grazing increased the number of alien species and alien cover only slightly over that of sites free of livestock grazing for more than a century, indicating some level of permanency to this invasion. In chaparral, both diversity and aliens increased markedly several years after fire. Invasive species are rare in undisturbed shrublands, and alien propagules fail to survive the natural crown fires in these ecosystems. Thus, aliens necessarily must colonize after fire and, as a consequence, time since fire is an important determinant of invasive presence. Blue oak savannas are an important propagule source for alien species because they maintain permanent populations of all alien species encountered in postfire chaparral, and because the vegetation mosaic in this region places them in proximity to chaparral. The speed at which alien propagules reach a burned site and the speed at which the shrublands return to their former closed-canopy condition determine alien invasion. Frequent burning of this vegetation alters the balance in favor of alien invasion. In the higher-elevation coniferous forests, species diversity was a function of fire severity and time since fire. High-intensity fires create gaps that decrease canopy coverage and increase light levels and nutrients for an ephemeral successional flora. Few species have persistent seed banks, so the time since fire is an important determinant of colonization success. There was a highly significant interaction between fire severity and time since fire for understory cover, species richness, and alien richness and cover. Understory was sparse in the first year after fire, particularly in low-severity burns, and increased substantially several years after fire, particularly on high-severity burns. Both fire severity and time since fire affected alien species richness and dominance. Coniferous forests had about one-third as many alien species as the foothill oak savannas, and fewer than half of the species were shared between these communities. Unburned coniferous forests were largely free of alien species, whereas some burned sites had a significant alien presence, which presents a challenge for fire restoration of these forests.

Ecological Applications↗

Gaps and hotspots in the state of knowledge of pinyon-juniper communities

Pinyon-juniper (PJ) plant communities cover a large area across North America and provide critical habitat for wildlife, biodiversity and ecosystem functions, and rich cultural resources. These communities occur across a variety of environmental gradients, disturbance regimes, structural conditions and species compositions, including three species of juniper and two species of pinyon. PJ communities have experienced substantial changes in recent decades and identifying appropriate management strategies for these diverse communities is a growing challenge. Here, we surveyed the literature and compiled 441 studies to characterize patterns in research on PJ communities through time, across geographic space and climatic conditions, and among focal species. We evaluate the state of knowledge for three focal topics: 1) historical stand dynamics and responses to disturbance, 2) land management actions and their effects, and 3) potential future responses to changing climate. We identified large and potentially important gaps in our understanding of pinyon-juniper communities both geographically and topically. The effect of drought on Pinus edulis, the pinyon pine species in eastern PJ communities was frequently addressed, while few studies focused on drought effects on Pinus monophylla , which occurs in western PJ communities. The largest proportion of studies that examined land management actions only measured their effects for one year. Grazing was a common land-use across the geographic range of PJ communities yet was rarely studied. We found only 39 studies that had information on the impacts of anthropogenic climate change and most were concentrated on Pinus edulis . These results provide a synthetic perspective on PJ communities that can help natural resource managers identify relevant knowledge needed for decision-making and researchers design new studies to fill important knowledge gaps.

Arizona, California, Colorado, Nevada, New Mexico,↗

Amphibian use of recently created wetlands in the Palouse region of northern Idaho, USA

Human development has resulted in the loss of natural wetlands in many regions and thus has led to amphibian habitat loss. Human-constructed wetlands are increasingly prevalent, particularly in human-modified landscapes, and can be used as breeding habitats by amphibians. It is important to identify factors influencing amphibian use of constructed wetlands to guide future wetland creation efforts. We examined wetland- and landscape-level factors influencing the presence and reproduction of native amphibians in 33 recently created (2–11 yold) wetlands within an urban-agricultural interface in northern Idaho, USA. We recorded wetland age, perimeter vegetation, and percentage of surrounding land cover as covariates and modeled detection and occupancy using Bayesian Multi-scale Occupancy Models for the three species we detected: Sierran Treefrog ( Pseudacris sierra ), Colombia Spotted Frog ( Rana luteiventris ), and Long-Toed Salamander ( Ambystoma macrodactylum ). Our results indicate that these three species can rapidly colonize recently created wetlands in an urban-agricultural interface. The effects of wetland- and landscape-scale features varied across species. Colombia Spotted Frog occupancy was greatest in older wetlands with some evidence for a negative association with more urbanized landscapes. Long Toed Salamanders and Sierran Treefrogs were not associated with wetland age but also showed some evidence of negative associations with urbanization. Long-Toed Salamanders showed evidence of using less vegetated wetlands while Sierran Treefrogs showed evidence of using more vegetated wetlands. Our results are consistent with multiple studies showing that wetlands in human-modified landscapes can provide amphibian breeding habitat, and they suggest that including vegetation plantings within recently created wetlands may promote amphibian colonization. Anecdotal observations also indicate that designing wetlands with sufficient hydroperiod for metamorphoses may be important for ensuring that newly created wetlands benefit amphibian populations.

Idaho↗

Use of biological characteristics of common carp ( Cyprinus carpio ) to indicate exposure to hormonally active agents in selected Minnesota streams, 1999

The presence of hormonally active agents (HAAs) was determined in selected Minnesota streams using biological characteristics (measures of endocrine disruption) of common carp ( Cyprinus carpio ) exposed to wastewater treatment plant (WWTP) effluent and runoff from agricultural and forested land. Four biological characteristics of common carp were used as indicators of HAAs in the streams selected for this study: (1) high concentrations of vitellogenin in male fish and low concentrations in female fish, (2) high or low plasma concentrations of the sex steroid hormones (17β-estradiol and 11-ketotestosterone), (3) low gonado-somatic index (GSI) (gonad weight divided by total body weight multiplied by 100) values, and (4) abnormal gonad histopathology (high percent of atretic oocytes in female ovaries and high percent ceroid/lipofuscin tissue in male or female gonads). The study design was a paired site approach targeting sites downstream and upstream of WWTP discharges on different streams. Male (221 individuals) and female (201 individuals) common carp were collected using electrofishing techniques from seven streams with sites at two locations (upstream and downstream of WWTPs), and eight sites located downstream of WWTPs with no upstream-paired sites. Samples were collected between August 3 and September 13, 1999. The presence of HAAs in selected Minnesota streams was indicated by biological characteristics in common carp. Biological characteristics used in this study identified WWTP effluent as a potential source of HAAs. Additionally, fish located at sites upstream of WWTP effluent primarily draining agricultural land show indications of HAAs, which may be the result of agricultural runoff or other sources of HAAs. There was variability among all sites and among sites within each site group. Differences among sites may be due to differences in water chemistry or fish exposure time. Natural variation in the biological characteristics may account for some of the differences observed in this study. This study and others indicate the presence of HAAs in surface water and the potential signs of endocrine disruption in resident fish populations. Detailed controlled studies could confirm the effects of particular chemicals such as pesticides or components of WWTPs on fish reproduction and population structure.

Minnesota↗

Extended megadroughts in the southwestern United States during Pleistocene interglacials

The potential for increased drought frequency and severity linked to anthropogenic climate change in the semi-arid regions of the southwestern United States (US) is a serious concern. Multi-year droughts during the instrumental period and decadal-length droughts of the past two millennia were shorter and climatically different from the future permanent, ‘dust-bowl-like’ megadrought conditions, lasting decades to a century, that are predicted as a consequence of warming. So far, it has been unclear whether or not such megadroughts occurred in the southwestern US, and, if so, with what regularity and intensity. Here we show that periods of aridity lasting centuries to millennia occurred in the southwestern US during mid-Pleistocene interglacials. Using molecular palaeotemperature proxies to reconstruct the mean annual temperature (MAT) in mid-Pleistocene lacustrine sediment from the Valles Caldera, New Mexico, we found that the driest conditions occurred during the warmest phases of interglacials, when the MAT was comparable to or higher than the modern MAT. A collapse of drought-tolerant C 4 plant communities during these warm, dry intervals indicates a significant reduction in summer precipitation, possibly in response to a poleward migration of the subtropical dry zone. Three MAT cycles ∼ 2 °C in amplitude occurred within Marine Isotope Stage (MIS) 11 and seem to correspond to the muted precessional cycles within this interglacial. In comparison with MIS 11, MIS 13 experienced higher precessional-cycle amplitudes, larger variations in MAT (4–6 °C) and a longer period of extended warmth, suggesting that local insolation variations were important to interglacial climatic variability in the southwestern US. Comparison of the early MIS 11 climate record with the Holocene record shows many similarities and implies that, in the absence of anthropogenic forcing, the region should be entering a cooler and wetter phase.

Nature↗

Klamath-Siskiyou herpetofauna: Biogeographic patterns and conservation strategies

The Klamath-Siskiyou region of southwest Oregon and northwest California (USA) has some of the most complex landscape mosaics and plant communities in western North America, reflecting its marked diversity of precipitation and topography. With 38 native species of amphibians and reptiles, the Klamath-Siskiyou region has the most species-rich herpetofauna of any similarly sized mountain range in the Pacific Northwest. Although it is a biodiversity 'hot spot,' there are only two endemic species, both salamanders, in the Klamath-Siskiyou region. High diversity is due to the overlap of two major biogeographic groups: the Arcto- (= northern) and Madro- (= southern) Tertiary herpetofaunas. Many of the amphibians in the Klamath-Siskiyou region are restricted to specialized habitats. Much of our knowledge about the biology of the regional fauna is based on studies elsewhere. Distributional surveys and ecological research are needed to address how the herpetofauna responds to timber harvest and other human activities that may reduce populations and increase fragmentation of suitable habitats. Conservation of the region's diverse herpetofauna should emphasize strategies directed at habitat specialists and species at the latitudinal limits of their ranges.

California, Oregon↗

Declining ecological resilience and invasion resistance under climate change in the sagebrush region, United States

In water-limited dryland ecosystems of the Western United States, climate change is intensifying the impacts of heat, drought, and wildfire. Disturbances often lead to increased abundance of invasive species, in part, because dryland restoration and rehabilitation are inhibited by limited moisture and infrequent plant recruitment events. Information on ecological resilience to disturbance (recovery potential) and resistance to invasive species can aid in addressing these challenges by informing long-term restoration and conservation planning. Here, we quantified the impacts of projected future climate on ecological resilience and invasion resistance (R&R) in the sagebrush region using novel algorithms based on ecologically relevant and climate-sensitive predictors of climate and ecological drought. We used a process-based ecohydrological model to project these predictor variables and resulting R&R indicators for two future climate scenarios and 20 climate models. Results suggested widespread future R&R decreases (24%–34% of the 1.16 million km 2 study area) that are generally consistent among climate models. Variables related to rising temperatures were most strongly linked to decreases in R&R indicators. New continuous R&R indices quantified responses to climate change; particularly useful for areas without projected change in the R&R category but where R&R still may decrease, for example, some of the areas with a historically low R&R category. Additionally, we found that areas currently characterized as having high sagebrush ecological integrity had the largest areal percentage with expected declines in R&R in the future, suggesting continuing declines in sagebrush ecosystems. One limitation of these R&R projections was relatively novel future climatic conditions in particularly hot and dry areas that were underrepresented in the training data. Including more data from these areas in future updates could further improve the reliability of the projections. Overall, these projected future declines in R&R highlight a growing challenge for natural resource managers in the region, and the resulting spatially explicit datasets provide information that can improve long-term risk assessments, prioritizations, and climate adaptation efforts.

western United States↗

Landscape esthetics: How to quantify the scenics of a river valley

There are an increasing number of bills before Congress that in one way or another affect the landscape or the environment. Each of these requires seemingly endless numbers of congressional hearings, which are recorded upon endless reams of paper. And if, for some reason, you happen to read the voluminous testimony surrounding one of these environment-affecting proposals, you will generally find a marked contrast between the volume and kind of information presented by those who are pressing for technical development - building a dam, constructing a highway, installing a nuclear power plant - and the testimony of those who either oppose the development or wish to alter it in some way. The developer usually employs numerical arguments, which tend to show that there is an economic benefit to be obtained by constructing something - whatever that something may be. The argument is usually expressed in terms of a "cost-benefit ratio." It is typically argued, for instance, that the construction cost of a given project will be repaid over a period of time and will yield a profit or a benefit in excess of the development costs by a ratio of, let us say, 1.2 to 1. The argument is further supported with great numbers of charts, graphs, tables, and additional figures. In marked contrast, those who favor protection of the environment against development are fewer in number, their statements are based on emotion or personal feelings, and they usually lack numerical information, quantitative data, and detailed computations. Perhaps this is the reason why this latter group seems to be continually fighting rearguard actions - losing battle after battle.

Natural History↗

Coastal Circulation and Sediment Dynamics in War-in-the-Pacific National Historical Park, Guam; measurements of waves, currents, temperature, salinity, and turbidity, June 2007-January 2008

Flow in and around coral reefs affects a number of physical, chemical and biologic processes that influence the health and sustainability of coral reef ecosystems. These range from the residence time of sediment and contaminants to nutrient uptake and larval retention and dispersal. As currents approach a coast they diverge to flow around reef structures, causing high horizontal and vertical shear. This can result in either the rapid advection of material in localized jets, or the retention of material in eddies that form in the lee of bathymetric features. The high complexity and diversity both within and between reefs, in conjunction with past technical restrictions, has limited our understanding of the nature of flow and the resulting flux of physical, chemical, and biologic material in these fragile ecosystems. Sediment, nutrients, and other pollutants from a variety of land-based activities adversely impact many coral reef ecosystems in the U.S. and around the world. These pollutants are transported in surface water runoff, groundwater seepage, and atmospheric fallout into coastal waters, and there is compelling evidence that the sources have increased globally as a result of human-induced changes to watersheds. In Guam, and elsewhere on U.S. high islands in the Pacific and Caribbean, significant changes in the drainage basins due to agriculture, feral grazing, fires, and urbanization have in turn altered the character and volume of land-based pollution released to coral reefs. Terrigenous sediment run-off (and the associated nutrients and contaminants often absorbed to it) and deposition on coral reefs are recognized to potentially have significant impact on coral health by blocking light and inhibiting photosynthesis, directly smothering and abrading coral, and triggering increases in macro algae. Studies that combine information on watershed, surface water- and groundwater-flow, transport and fate of sediment and other pollutants in the reef environment, and their impact on reef health and ecology are essential for effective reef management. Two of the main anthropogenic activities along west-central Guam's coastline that may impact the region's coral reef ecosystems include pollution and coastal land use/development, as discussed in the review by Porter and others (2005). The pollution threats include point-sources, such as municipal wastewater (Northern District, Hagatna, Naval Station Guam, and Agat-Santa Rita Waster Water Treatment Plants), cooling water (Tanguisson Steam and Cabras Power Plants), and numerous storm water, ballast water, and tank bottom draw outfalls; nonpoint sources include septic systems, urban runoff, illegal dumping, and groundwater discharges. Poor land-use practices include development without the use of runoff management measures, increased areal extent of impervious surfaces and decreased extent of vegetative barriers, and recreational off-road vehicle use. Furthermore, feral ungulates and illegal wildfires remove protective vegetative cover and generally result in increased soil erosion. While anthropogenic point-sources have been reduced in many areas due to better management practices, nonpoint sources have either stayed constant or increased. Between 1975 and 1999, it is estimated that Guam lost more than a quarter of its tree cover, and more than 750 wildfires each year have resulted in a greater proportion of badlands and other erosion-prone land surfaces with high erosion rates (Forestry and Soil Resources Division, 1999). Approximately 1.8 square kilometers (km2) of Asan Bay, west-central Guam, lies within the National Park Service's (NPS) War-in-the-Pacific National Historical Park's (WAPA) Asan Unit; the bay is the sink for material coming out of the Asan watershed. Anthropogenic modifications of the watersheds adjacent to Asan Bay, which include intentionally-set wildfires, construction, and agriculture (Minton, 2005), are believed to have increased over the past 25

Open-File Report↗

Sedimentary features of the Blackhawk formation (Cretaceous) at Sunnyside, Carbon County, Utah

The Blackhawk Formation at Sunnyside, Utah, was deposited along the western margin of the Western Interior Cretaceous sea during southeastward withdrawal of the sea. Sand was the dominant type of land-derived sediment deposited in the Sunnyside district during the regressive phases. Sand bodies prograded seaward in response to changing sediment supply from a source west of Sunnyside. Where conditions were favorable for the accumulation of vegetable material, peat deposits formed and were later changed to bituminous Coal by diagenesis. Studies of the coal bed show that the coals were formed from accumulation of small, low-growing plants and plant debris that was transported into the area of accumulation. Remains of large plants in the coals are rare. Trace fossils, which are tracks, trails and burrows formed by organisms and preserved in the rock, are extremely abundant in the Blackhawk rocks. These biogenic sedimentary structures are common in Cretaceous deposits throughout the western United States. Trace fossil distribution in the rocks is controlled by the depositional environment preferred by their creators. A study of the trace fossils of a. locality allows a more precise determination of the conditions during deposition of the sediments. Water depth, bottom conditions, salinity, current velocity and amount of suspended nutrients in the water are some of the environmental factors that may be reconstructed by studying trace fossils. The Blackhawk Formation at Sunnyside comprises the members, the Kenilworth Member and the Sunnyside Member. Field studies show that the formation may be further subdivided in the Sunnyside district., according to the precepts of units of mappable thickness and similar lithologic characteristics. The Blackhawk pinches out eastward and north. ward into the Mancos Shale, and names for submembers become meaningless. Names are of value in the region of interest, however, because of the prominence of the named units. Coal mining is the main industry of the Book Cliffs region. Mines of the Sunnyside district are plagued by coal mine bumps, which are sudden, catastrophic releases of stress in the coal. Bumps cause loss of life, property age, and loss of profit to mining companies. Bumps occur when shear stress built up in the coal exceeds the shear Strength of the coal. Differential overburden pressure, faulting and tectonic activity, and lithology and structure of roof rocks are factors which influence bumps. Petroleum and natural gas (methane), which occur locally in pockets in the roof rocks above coal beds, may be diagenetic products of organic-rich sediments.

Open-File Report↗

Paleoecological interpretation of a middle Pennsylvanian coal bed in the central Appalachian basin, U.S.A.

At least 180 small spore species assignable to 62 miospore genera have been identified from the Middle Pennsylvanian Hernshaw coal bed in southern West Virginia, and its stratigraphic equivalent, the Fire Clay coal bed, in eastern Kentucky. The established natural affinities of a majority of these miospore taxa indicate that the Hernshaw-Fire Clay peat swamp supported a diverse flora consisting of arborescent and “herbaceous” lycopods, ferns (tree-like and small varities), calamities and cordaites. Four floral groupings are recognized in the Hernshaw-Fire Clay coal bed. The inferred paleoecology and vertical stratification of each of these four floral groupings is similar in structure to the “phasic” floral communities found in modern domed peat systems, suggesting that the ancient Hernshaw-Fire Clay peat swamp was a domed deposit. Compositional characteristics (petrographic make up, ash yield and sulfur content) associated with the four groupings are consistent with, and support this interpretation. Where uninterrupted by inorganic partings, the Hernshaw-Fire Clay coal bed commonly contains basal coal layers dominated by Lycospora -bearing arborescent lycopods, with successive increments showing a progression to a more fern- and “herbaceous”-lycopod-dominant flora in younger layers. These observations are corroborated by petrographic analyses, which show the bed to be compositionally stratified. Increments dominated by Lycospora have high vitrinite contents, in contrast to increments containing increased percentages of fern- and “herbaceous”-lycopod-affiliated taxa that are enriched in inertinite macerals. The volcanic ash fall, preserved as the flint-clay parting in the Hernshaw-Fire Clay coal bed, had a considerable effect on the development of the ancient Hernshaw-Fire Clay peat swamp. Besides interrupting peat formation, the presence of an inorganic substrate represent a major change in edaphic conditions within the swamp. This disruption is demonstrated by a change in palynflora and by the establishment and proliferation of some plant groups, notably cordaites and calamites, that may have been better adapted to growth on mineral soils.

International Journal of Coal Geology↗

Fuelling conditions at staging sites can mitigate Arctic warming effects in a migratory bird

Under climate warming, migratory birds should align reproduction dates with advancing plant and arthropod phenology. To arrive on the breeding grounds earlier, migrants may speed up spring migration by curtailing the time spent en route , possibly at the cost of decreased survival rates. Based on a decades-long series of observations along an entire flyway, we show that when refuelling time is limited, variation in food abundance in the spring staging area affects fitness. Bar-tailed godwits migrating from West Africa to the Siberian Arctic reduce refuelling time at their European staging site and thus maintain a close match between breeding and tundra phenology. Annual survival probability decreases with shorter refuelling times, but correlates positively with refuelling rate, which in turn is correlated with food abundance in the staging area. This chain of effects implies that conditions in the temperate zone determine the ability of godwits to cope with climate-related changes in the Arctic.

Nature Communications↗

Fish and Aquatic Invertebrate Communities in Waterways, and Contaminants in Fish, at the Barataria Preserve of Jean Lafitte National Historical Park and Preserve, Louisiana, 1999-2000

Fish and aquatic invertebrate communities in waterways of the Barataria Preserve of Jean Lafitte National Historical Park and Preserve, Louisiana, were surveyed from 1999 to 2000. An inventory of fish in the Barataria Preserve was established, and concentrations of selected organochlorine pesticides, polychlorinated biphenyls, and trace elements; iron; and manganese in fish tissue for selected species were determined. The fish and aquatic invertebrate sampling completed for this study indicated that abundant and diverse communities are present in the Barataria Preserve. Thirty-two species of fish were identified in the Barataria Preserve during this survey. The total number of species identified in a single sampling ranged from 20 to 26. Most of the fish sampled are designated as intermediate in their tolerance to poor water quality. Three species of fish designated as tolerant (common carp, Cyprinus carpio; golden shiner, Notemigonus crysoleucas; and yellow bullhead, Ameiurus natalis), and one as intolerant (lake chubsucker, Erymizon sucetta), were identified. In November 1999, the average total weight of all fish collected by boat-mounted electroshocker from a single site was about 35,000 grams; in May and July 1999, the average total weight was between 9,000 and 10,000 grams. The contribution of spotted gar (Lepisosteus oculatus) to the total weight of the fish averaged between 38 and 41 percent among the three sample periods. Members of the sunfish family (Centrarchidae) contributed between 18 and 28 percent of the total weight. For each sampling period, 60 to 83 percent of the total weight from the sunfish family was contributed by bluegill (Lepomis macrochirus) and largemouth bass (Micropterus salmoides). Aquatic invertebrates were sampled at three sites. Most aquatic invertebrates identified were freshwater species, but some were brackish-water and marine species. About 234,000 organisms were identified and enumerated from the richest-targeted habitat (RTH, floating rafts of aquatic plants). Individuals from 84 genera belonging to 51 families were identified. Diptera (true flies) was the most diverse group. Malacostraca (crustaceans), especially Amphipoda (scuds and sideswimmers), were the most abundant (36 percent). Total abundance and taxa richness of aquatic invertebrates were comparable during the March and July sampling in 1999, but were lower in samples collected from the same habitat at all three sites in April 2000. About 106 individuals were identified and enumerated from the depositional-targeted habitat (DTH, bottom material). Individuals from 7 genera belonging to 9 families were identified. Diptera was the most diverse group, and Annelida, especially tubificid worms, were the most abundant organisms identified (52 percent). Total abundance and composition of aquatic invertebrate communities differed between RTH and DTH at all three sites in April 2000. Organic compounds in whole fish, and trace elements, iron, and manganese in fillets, were analyzed in bowfin (Amia calva), bluegill (Lepomis macrochirus), largemouth bass (Micropterus salmoides), and common carp (Cyprinus carpio). Organic compounds were not detected. Mercury was detected in fillets of all four species. Highest concentrations of mercury were detected in fillets from bowfin and largemouth bass. Mercury concentrations increased with increasing weight in the three predatory fish species (bowfin, bluegill, and largemouth bass), but were much lower, relative to weight, in the omnivore, common carp. Chromium concentrations were detected in tissue of the two larger fish, bowfin and common carp. Cadmium and lead were not detected in any samples. Mercury concentrations for larger predatory fish caught in Preserve waterways may be a concern if the fish are frequently consumed by humans. The process of mercury accumulation appears to be natural, and not related to a local source problem. Mercury concentrations in comparable fish tissue at

Scientific Investigations Report↗

Improvement of trout streams in Wisconsin by augmenting low flows with ground water

Approximately 2 cubic feet per second of ground water were introduced into the Little Plover River in 1968 when natural streamflow ranged from 3 to 4 cubic feet per second. These augmentation flows were retained undiminished through the 2-mile reach of stream monitored. Maximum stream temperatures were reduced as much as 5?F (3?C) at the augmentation site during the test period, although changes became insignificant more than 1 mile downstream. Maximum temperatures might be reduced as much as 10?F (6?C) during critical periods, based on estimates using a stream temperature model developed as part of the study. During critical periods significant temperature improvement may extend 2 miles or more downstream. Changes in minimum DO (dissolved oxygen) levels were slight, primarily because of the high natural DO levels occurring during the test period. Criteria for considering other streams for flow augmentation are developed on the basis of the observed hydrologic responses in the Little Plover River. Augmentation flows of nearly 2? cubic feet per second of ground water were introduced into the headwater reach of Black Earth Creek from the end of June through mid-October 1969. Streamflow ranged from 1 to 2 cubic feet per second at the augmentation site, and the average flow at the gaging station at Black Earth, approximately 8 miles downstream, ranged from 25 to 50 cubic feet per second. Augmentation flows were retained through the 8-mile reach of stream. Temperature of the augmentation flow as it entered the stream ranged from 60? to 70?F (about 16? to 21?C) during the test period, and minimum stream temperatures were raised 5?F (3?C) or more at the augmentation site, with changes extending from 2 to 3 miles downstream. Augmentation during critical periods could maintain stream temperatures between 40? and 70?F (4? and 21?C) through most of the study reach. DO levels were increased by as much as 2 milligrams per liter or more below the augmentation site, although the improvement diminished to approximately 1 milligram per liter downstream in the problem reach. During critical periods DO improvement in the problem reach would be somewhat greater. Flow augmentation would not be necessary during normal conditions in either of the streams studied. Critical DO and temperature levels are not known to occur in the Little Plover River. Since the construction of secondary treatment facilities at the Cross Plains sewage-treatment plant, critical DO levels are no longer expected to be a problem in Black Earth Creek. However, results from this study may be used to estimate the effectiveness of flow augmentation in other streams in similar areas in which critical DO or temperature levels may occur.

Wisconsin↗

One Health collaboration is more effective than single-sector actions at mitigating SARS-CoV-2 in deer

One Health aims to achieve optimal health outcomes for people, animals, plants, and shared environments. We describe a multisector effort to understand and mitigate SARS-CoV-2 transmission risk to humans via the spread among and between captive and wild white-tailed deer. We first framed a One Health problem with three governance sectors that manage captive deer, wild deer populations, and public health. The problem framing included identifying fundamental objectives, causal chains for transmission, and management actions. We then developed a dynamic model that linked deer herds and simulated SARS-CoV-2. Next, we evaluated management alternatives for their ability to reduce SARS-CoV-2 spread in white-tailed deer. We found that single-sector alternatives reduced transmission, but that the best-performing alternative required collaborative actions among wildlife management, agricultural management, and public health agencies. Here, we show quantitative support that One Health actions outperform single-sector responses, but may depend on coordination to track changes in this evolving system.

Nature Communications↗

Assessing hazards along our Nation's coasts

Coastal areas are essential to the economic, cultural, and environmental health of the Nation, yet by nature coastal areas are constantly changing due to a variety of events and processes. Extreme storms can cause dramatic changes to our shorelines in a matter of hours, while sea-level rise can profoundly alter coastal environments over decades. These changes can have a devastating impact on coastal communities, such as the loss of homes built on retreating sea cliffs or protective dunes eroded by storm waves. Sometimes, however, the changes can be positive, such as new habitat created by storm deposits. The U.S. Geological Survey (USGS) is meeting the need for scientific understanding of how our coasts respond to different hazards with continued assessments of current and future changes along U.S. coastlines. Through the National Assessment of Coastal Change Hazards (NACCH), the USGS carries out the unique task of quantifying coastal change hazards along open-ocean coasts in the United States and its territories. Residents of coastal communities, emergency managers, and other stakeholders can use science-based data, tools, models, and other products to improve planning and enhance resilience.

Fact Sheet↗