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At least 1,459 records · Page 81Linked to original sources

The 1992 Landers earthquake sequence; seismological observations

The ( M W 6.1, 7.3, 6.2) 1992 Landers earthquakes began on April 23 with the M W 6.1 1992 Joshua Tree preshock and form the most substantial earthquake sequence to occur in California in the last 40 years. This sequence ruptured almost 100 km of both surficial and concealed faults and caused aftershocks over an area 100 km wide by 180 km long. The faulting was predominantly strike slip and three main events in the sequence had unilateral rupture to the north away from the San Andreas fault. The M W 6.1 Joshua Tree preshock at 33°N58′ and 116°W19′ on 0451 UT April 23 was preceded by a tightly clustered foreshock sequence ( M ≤4.6) beginning 2 hours before the mainshock and followed by a large aftershock sequence with more than 6000 aftershocks. The aftershocks extended along a northerly trend from about 10 km north of the San Andreas fault, northwest of Indio, to the east-striking Pinto Mountain fault. The M w 7.3 Landers mainshock occurred at 34°N13′ and 116°W26′ at 1158 UT, June 28, 1992, and was preceded for 12 hours by 25 small M ≤3 earthquakes at the mainshock epicenter. The distribution of more than 20,000 aftershocks, analyzed in this study, and short-period focal mechanisms illuminate a complex sequence of faulting. The aftershocks extend 60 km to the north of the mainshock epicenter along a system of at least five different surficial faults, and 40 km to the south, crossing the Pinto Mountain fault through the Joshua Tree aftershock zone towards the San Andreas fault near Indio. The rupture initiated in the depth range of 3–6 km, similar to previous M ∼5 earthquakes in the region, although the maximum depth of aftershocks is about 15 km. The mainshock focal mechanism showed right-lateral strike-slip faulting with a strike of N10°W on an almost vertical fault. The rupture formed an arclike zone well defined by both surficial faulting and aftershocks, with more westerly faulting to the north. This change in strike is accomplished by jumping across dilational jogs connecting surficial faults with strikes rotated progressively to the west. A 20-km-long linear cluster of aftershocks occurred 10–20 km north of Barstow, or 30–40 km north of the end of the mainshock rupture. The most prominent off-fault aftershock cluster occurred 30 km to the west of the Landers mainshock. The largest aftershock was within this cluster, the M w 6.2 Big Bear aftershock occurring at 34°N10′ and 116°W49′ at 1505 UT June 28. It exhibited left-lateral strike-slip faulting on a northeast striking and steeply dipping plane. The Big Bear aftershocks form a linear trend extending 20 km to the northeast with a scattered distribution to the north. The Landers mainshock occurred near the southernmost extent of the Eastern California Shear Zone, an 80-km-wide, more than 400-km-long zone of deformation. This zone extends into the Death Valley region and accommodates about 10 to 20% of the plate motion between the Pacific and North American plates. The Joshua Tree preshock, its aftershocks, and Landers aftershocks form a previously missing link that connects the Eastern California Shear Zone to the southern San Andreas fault.

Journal of Geophysical Research B: Solid Earth↗

Factors affecting the density of Metabetaeus lohena (Decapoda: Alpheidae) at a high-density anchialine pool environment on the Kona Coast of the Island of Hawai‘i

Caridean shrimps (Caridea) are the dominant macroinvertebrates in most anchialine ecosystems. Hawaiian anchialine ecosystems, primarily composed of shallow surface pools connected to the ocean via hypogeal networks of cracks, tubes, and other voids, support 10 caridean shrimp species, including two federally listed as endangered. Little is known about most of these species. The objective of this study was to identify factors that affect the abundance and distribution of Metabetaeus lohena (Alpheidae), an uncommon species found across the Hawaiian Archipelago, at Kaloko-Honokōhau National Historical Park, Island of Hawai‘i. This park supports the highest concentration of anchialine pools in the State of Hawai‘i and is critical to protecting this threatened ecosystem. During 2017, we measured the density of M. lohena during nighttime surveys, as well as a variety of other biological, physical, and chemical parameters, in 130 pools. Metabetaeus lohena occupied 71.5% of the pools surveyed, with a mean density of 7.32 individuals/m 2 (95% CI = 5.14–9.49). Invasive fish and the endemic shrimp Halocaridina rubra (Atyidae) had the strongest effects on M. lohena density, with negative and positive relations, respectively. In the first estimate of M. lohena density at this scale, our data indicate that Kaloko-Honokōhau supports about 11,480 shrimp (95% CI = 8,054–14,906) in the pools surveyed. Furthermore, our models predict that this park could support an additional 1,695 individuals (95% CI = 955–3,008) for a population of about 13,175 shrimp if fish were removed from 19 pools in which M. lohena are absent.

Hawaii↗

Microclimate and nest-site selection in Micronesian Kingfishers

We studied the relationship between microclimate and nest-site selection in the Pohnpei Micronesian Kingfisher (Todiramphus cinnamominus reichenbachii) which excavates nest cavities from the mudlike nest structures of arboreal termites (Nasutitermes sp.) or termitaria. Mean daily high temperatures at termitaria were cooler and daily low temperatures were warmer than at random sites in the forest. Results also indicate that termitaria provided insulation from temperature extremes, and that temperatures inside termitaria were within the thermoneutral zone of Micronesian Kingfishers more often than those outside. No differences were identified in temperatures at sites where nest termitaria and nonnest termitaria occurred or among the insulation properties of used and unused termitaria. These results suggest that although termitaria provide insulation from thermal extremes and a metabolically less stressful microclimate, king-fishers did not select from among available termitaria based on their thermal properties. Our findings are relevant to conservation efforts for the critically endangered Guam Micronesian Kingfisher (T. c. cinnamominus) which is extinct in the wild and exists only as a captive population. Captive breeding facilities should provide aviaries with daily ambient temperatures ranging from 22.06 A?C to 28.05 A?C to reduce microclimate-associated metabolic stress and to replicate microclimates used by wild Micronesian Kingfishers.

Pacific Science↗

Compound flood model for the lower Nooksack River and delta, western Washington—Assessment of vulnerability and nature-based adaptation opportunities to mitigate higher sea level and stream flooding

Higher sea level and stream runoff associated with climate change is expected to lead to greater lowland flooding across the Pacific Northwest. Increases in stream runoff that range from 20 to 32 percent by the 2040s and from 52 to 72 percent by the 2080s is expected to steadily increase flood risk. Flood risk is also expected to increase in response to the landward shift in high tides and storm surge, which will retard downstream conveyance. The combination of higher stream runoff, which is expected to drive greater fluvial sediment delivery to the coast, and more frequent, higher coastal waters relative to present-day (2023) levels, which will retard streamflow, is projected to cause more sedimentation across coastal and estuarine systems, exacerbating the flood risk. In the Nooksack River delta of western Washington, as in many Puget Sound deltas, resilient adaptation planning to mitigate impacts to community assets and infrastructure, nationally essential agricultural areas, and valued habitats and restoration investments that support endangered and threatened salmon recovery are underway but are in need of more informed projections of compound flood hazards. A Delft3D Flexible Mesh hydrodynamic model was constructed and used to assess changes in the extent, frequency, and timing of flood exposure associated with higher sea level and stream runoff projected to occur in the 2040s and 2080s. The model was also used to evaluate the change in and potential mitigating effects to flood exposure associated with individual and cumulative salmon-habitat-restoration strategies. Model simulations also evaluated the sensitivity of sedimentation to the individual and cumulative effects of higher fluvial delivery, trapping by sea-level rise, and changes in hydrodynamics associated with the rerouting of flows by proposed restoration strategies. The model performed well, having mean absolute errors for water levels below 1 foot (0.3 meters) when tested during a 2-year period for two recent flood events of record, the February 2, 2020, “Super Bowl flood” and the January 8, 2009, stream flood, both of which caused substantial flooding and damage across the study area. Fluvial discharge was found to dominate flood hazard at higher elevations in the study area, whereas near the coast, sea-level rise is computed to turn a less extreme 2-year (50 percent annual exceedance probability [AEP]) bankfull streamflow, which, at present (2023), causes nuisance flooding, into a more extreme 5-year (20 percent AEP) and 10 percent AEP stream-flood event by the 2050s and 2100, respectively. The February 2020 Super Bowl flood was calculated to be a 10-year or 10 percent AEP peak-flow event, and the January 2009 flood was calculated to be a 25-year (4 percent AEP) peak-flow event. Extreme events such as the February 2020 Super Bowl flood and the January 2009 flood caused extensive damage across the Nooksack River floodplain, and model computations predict these magnitudes of events would have notably greater effect in the 2040s and 2080s in response to higher projected sea level and stream runoff. The modeled January 2009 flood is predicted to transform into a flood event, causing flood exposure that is comparable to the 100-year or 1 percent AEP flood by the 2040s. The modeled January 2009 flood is also predicted to exceed the flood exposure of the recent November 16, 2021, flood, which caused substantial damage in the lower Nooksack River floodplain and restricted access for emergency-management efforts on important arterial roadways in the area; the measured peak discharge during the November 16, 2021, flood exceeded that of the January 2009 flood. Two of several identified alternative strategies that reroute floodwaters to restore salmon habitat were projected to reduce exposure to the increasingly impactful 10 and 4 percent AEP stream-flood events through the 2080s. The effects of the suggested alternatives, however, were found to reduce flow velocities, promote additional sedimentation, and reduce flow conveyance in the main-stem Nooksack River, a concern to flood-management efforts, navigation, and fishing. The model also suggests that main-stem channel sedimentation is likely, given projected climate change. Higher stream runoff that increases fluvial-sediment delivery and higher sea levels that retard downstream flow are expected to lead to greater sedimentation. Lastly, the model was used to assess the sensitivity of flood exposure to the individual and cumulative effects of climate changes, alternative strategies, and sedimentation, including recently observed decadal-scale aggradation patterns. These results indicate that sediment is likely to continue to be a challenge to flood-management efforts and that nature-based alternatives that benefit ecosystem restoration may also mitigate flood exposure for several decades.

Washington↗

Paleoceanography of the Gulf of Alaska during the past 15,000 years: Results from diatoms, silicoflagellates, and geochemistry

High-resolution records of diatoms, silicoflagellates, and geochemistry covering the past 15,000 years were studied in three cores from the Gulf of Alaska (GOA). Core EW0408-85JC in an oceanic setting on the Kayak Slope displays a paleoceanographic record similar to that at several locations on the California margin during deglaciation. Biologic productivity as reconstructed using geochemical and microfossil proxies increased abruptly during the Bølling–Alleröd (Bø–Al) warm interval (14.7–12.9 cal ka), declined during the Younger Dryas (YD) cold interval (12.9 to 11.7 cal kyr BP), and rose again during the earliest Holocene. At this site, the record after ~ 11 cal kyr BP is dominated by oceanic diatoms and silicoflagellates, with geochemical proxies displaying more subtle variation. Cores EW0408-66JC in the Yakobi Sea Valley near Cross Sound and EW0408-11JC in the Gulf of Esquibel contain an expanded, composite record along the southeast Alaskan margin. Core 66JC contains a detailed record of the Bø–Al and YD. Diatoms and silicoflagellates indicate that coastal upwelling and biosiliceous productivity were strong during the Bø–Al but declined during the YD. Sea ice-related diatoms increased in abundance during the YD, indicating cooler, but less productive waters. The glacial to biogenic marine sediment transition in core 11JC occurs at 1280 cmbsf (centimeters below sea floor), probably representing rising sea level and deglaciation early in the Bø–Al. Freshwater and sea-ice related diatoms are common in the lower part of the core (Bø–Al and YD), but upwelling-related diatoms and silicoflagellates quickly increased in relative abundance up-core, dominating the record of the past 11,000 years. Low oxygen conditions in the bottom water as reconstructed using geochemical proxies (U and Mo concentration) were most intense between ~ 6.5 and 2.8 cal kyr BP, the beginning of which is coincident with increases in abundance of upwelling-related diatoms. The records from these three cores jointly thus made it possible to reconstruct paleoclimatic and paleoceanographic conditions at high northern Pacific latitudes during the last 15 kyr.

Alaska↗

Water-quality and algal conditions in the North Umpqua River Basin, Oregon, 1992-95, and implications for resource management

This report describes the results of a synoptic water-quality and algal investigation during July 1995 at 36 stream sites in a 1,350 square-mile area of the North Umpqua River Basin, Oregon. The study area includes a headwaters hydroelectric project area, a Wild and Scenic reach in the main stem immediately downstream, and the watersheds of several major tributaries. Additional data from previous investigations are reviewed, and impacts on water quality in the Wild and Scenic reach from resource management, including forestry and reservoir operations, are inferred where sufficient data exist. Water-quality standards were occasionally exceeded for dissolved oxygen and pH, and daily maximum stream temperatures in the Wild and Scenic reach were higher than both the 1996 standard for the State of Oregon and the optimal temperature ranges for many anadromous fish. Dissolved oxygen in the basin was controlled more by stream temperature and reaeration than by primary production. Arsenic concentrations in the river during low flow (1 µg/L [microgram per liter]) indicate a potential cancer risk of between 1:5,000 and 1:20,000 for people using the river as a source of drinking water and fish for consumption. Streambed-sediment concentrations of arsenic, chromium, copper, manganese, and nickel were approximately double the sediment-quality criteria values adopted by New York State and by the Ontario Ministry of the Environment. High concentrations of phosphorus in bed sediments indicated that much of the phosphorus observed in the water column throughout the basin (medians: 32, 9, and 50 µg/L in the main stem, tributaries, and hydroelectric project areas, respectively) could have been geologically derived. Inorganic and organic nitrogen concentrations in water were mostly below minimum reporting limits (5 and 200 µg/L, respectively), indicating severe nitrogen limitation at most locations. Benthic algal biomass, biovolume, and chlorophyll a concentrations were highest at the sites directly below impoundments and at one headwater tributary (medians: 46 grams per square meter, 821 million cubic micrometers per square centimeter, and 126 milligrams per square meter, respectively), and were also somewhat elevated downstream in the Wild and Scenic reach compared with those in similar streams in the Pacific Northwest. Classification of the algal taxa indicated that, among all sites sampled, alkaliphilic taxa, nitrogen fixing taxa, and eutrophic taxa were the most abundant on the basis of biovolume and density. Cold-water taxa, facultative nitrogen heterotrophs, and oligotrophic taxa constituted the remainder of the taxa. Multivariate analyses indicated that algal communities at the hydroelectric-project-affected sites were distinct from communities at sites on the main stem and Steamboat Creek. At many locations, the river’s algal community might be compensating for the low nitrogen concentrations by fixation of atmospheric nitrogen or through heterotrophic assimilation of organic nitrogen. Water quality in the Wild and Scenic reach is dominated by water released from the hydroelectric project area during summer. Effects of the hydroelectric project include seasonal control of streamflow, water temperature, and phosphorus concentrations, and the possible release of low but ecologically important concentrations of organic nitrogen. A review of available data and literature suggests that the reservoirs can increase the interception of sediments and large organic debris, and promote their conversion into fine-grained particulate and dissolved organic matter for downstream transport. These effects could be compounded by the effects of forestry in the basin, including alteration of hydrologic cycles, changes in sediment and nutrient runoff, reductions of the transport of large woody debris, and degradation of habitat quality. It is hypothesized that, in the North Umpqua River, these processes have induced a fundamental shift in the river’s food web, from a detritus-based system to a system with a 2 higher emphasis on algal production. Confirmation of these changes and their effects on higher trophic levels are needed to properly manage the aquatic resources for all designated beneficial uses in the basin.

Oregon↗

Report on the reptiles of Upland Savai’i

The reptile team conducted a 21 kilometre transect from the coast east of Asau to the uplands ending near Mauga Silisili at over 1720 m elevation. This transect covered the main habitats on Savai’i and allowed the team to determine where various reptile species and invasive species occurred across this elevational gradient. No previous reptile research had taken place on Savai’i above the elevation of A’opo Village. Limited sampling was also done around the Forestry Station in Asau. The team detected 11 species of lizards during these surveys, which is the majority of species known from Samoa. Noticeably absent was the Pacific black skink (Emoia nigra), which is a dominant element of the Samoan lizard fauna. Also no individuals of the Pacific boa (Candoia bibroni) were detected despite the concentrated effort spent looking for them. One boa was detected by the avifauna team at their Site 1, by the TV tower on a log in a marsh. The invasive house gecko (Hemidactylus frenatus) was also not detected along the main transect, but was the most abundant gecko on buildings in Asau. No reptiles were found above 1320 m elevation and most species were found significantly below there. Snakeeyed skinks (Cryptoblepharus poecilopleurus) were detected on Savai’i for the first time at Asau Getaway Resort then above the sawmill on the way to A’opo. Since western Savai’i is so poorly known for reptiles, this is the first time many of these species were recorded from this part of the island. Surveys for invasive species detected mammalian species (cats, rats, and pigs) and invertebrate species (Yellow Crazy ants and Big-headed ants). The mammals were found at various sites along the transect, including high elevations. The ants were found at lower elevations along the transect, but the Yellow Crazy ants appear to be irrupting currently on Savai’i and were swamping our traps from sea level to 500 m elevation. The low elevation lizard occurrences from sea level to 500 m appeared impaired by the invasive ants. Although habitat looked good in many places along the transect, certain species were rare or absent when the invasive ants were present, e.g. the Samoan skink (Emoia samoensis) which only occurred at elevations higher than the ants, whereas elsewhere in its range it occurs down to sea level. Currently the uplands over 500 m are free of invasive ants. We know from Hawai’i that invasive ants occur to over 2,000 m elevation and are ecologically very destructive to native flora and fauna. There is an immediate need to try to stop this upward ant invasion to protect this at-risk ecosystem, and to study the intact system now prior to an invasion.

Report↗

Research, monitoring, and evaluation of emerging issues and measures to recover the Snake River Fall Chinook Salmon ESU: January 2019 - December 2019

The portion of the Snake River fall Chinook salmon Oncorhynchus tshawytscha evolutionary significant unit (ESU) that spawns upstream of Lower Granite Dam transitioned from low to high abundance during 19922019 in association with U.S. Endangered Species Act recovery efforts and other federally mandated actions. This annual report focuses on (1) numeric and habitat use responses by natural- and hatchery-origin spawners, (2) phenotypic and numeric responses by natural-origin juveniles, and (3) use of a small unmanned aerial system (sUAS) to search for fall Chinook salmon redds and carcasses. Spawners have located and used most of the available spawning habitat and that habitat is gradually approaching redd capacity. Timing of spawning and fry emergence have been relatively stable, but effects of density dependence are evident in juvenile life stages. Apparent abundance of juvenile fall Chinook salmon has increased and we noted the following responses: parr dispersal from riverine rearing habitat into Lower Granite Reservoir has become earlier; growth rate (g/d) and dispersal size of parr declined; and passage timing of smolts from the two Snake River reaches has become earlier and downstream movement rate faster. These findings coupled with stock-recruitment analyses presented in this report provide evidence for density-dependence in the Snake River reaches and in Lower Granite Reservoir that was influenced by the expansion of the recovery program. The long-term goal is to use this information in a comprehensive modeling effort to conduct action-effectiveness and uncertainty research and to inform Fish Population, Hydrosystem, Harvest, Hatchery, and Predation and Invasive Species Management Research, Monitoring, and Evaluation (RM&E) progams. In 2019, the U.S. Geological Survey (USGS) shifted survey efforts in the Snake River toward deepwater redd searches and fish collection for parentage-based tagging (PBT) analyses because all unmanned aerial system (UAS) activities were suspended by the Department of the Interior two weeks into the spawning season. We counted 81 deepwater redds at 17 of the 29 sites surveyed. Redd depths averaged 3.6 m. We collected a total of 123 live fall Chinook salmon from 16 unique geographic locations that spanned 55 river kilometers. Forty-six fish were recovered at Eureka Bar (rkm 307.1) and Kirby Creek (rkm 352.0), which accounted for 37% of all collected fish in 2019. Most (73 fish) post-spawned salmon were collected from early to mid-November just after peak spawning. A summary of 2019 PBT results can be found in Appendix A.1. In 2019, we PIT tagged subyearling fall Chinook salmon in both the Snake and Clearwater rivers. In the Snake River, we tagged 410 fish with 8-mm tags, 666 fish with 9-mm tags, and 1,082 fish 12-mm tags. During seining, our recapture rate of previously tagged fish was slightly higher in the lower reach at 11.4% than in the upper reach at 10.6%. In an effort to represent more of the population through tagging, we tagged fish as small as 45 mm with 8-mm tags at one site in the upper reach. This allowed us to increase the number of fish tagged in that reach by 17.7%. An additional 10.6% of collected fish could have been tagged in the lower reach had we used 8-mm tags in that reach. In the Clearwater River, we tagged 2,451 subyearlings and recaptured 260 (10.6%) fish in the river and 66 fish (48 tagged by USGS, 18 tagged by the Nez Perce Tribe) at Lower Granite Dam during October to provide information for growth estimation. Within riverine habitats, growth in both length and mass were higher for fish tagged with 8-mm tags than with 9- and 12-mm tags. Estimated growth in length and mass of subyearlings was higher in Lower Granite Reservoir than in riverine habitats. We adapted existing statistical models used to estimate abundance of steelhead and spring/summer Chinook salmon for fall Chinook salmon passing Lower Granite Dam. Run reconstruction efforts to date at Lower Granite Dam for Snake River fall Chinook salmon have provided estimates of the number of returning adults but with no measure of uncertainty about the estimates. The objective of this study was to estimate the abundance, with uncertainty, of marked (coded-wire tagged CWT or adipose clipped) and unmarked fall Chinook salmon past Lower Granite Dam for return years 20032018. Estimating uncertainty is important for informing the state-space life cycle model (Chapter 5), which incorporates both observation and process uncertainty into parameter estimates. The coefficient of variation (CV) for log- abundance was 1.0% or less in all years, whereas the CV for abundance averaged 4.2% and ranged from 1.4% to 10.4% among years. Over the past five years, we have been developing a two-stage state-space life-cycle model for naturally produced fall Chinook salmon in the Snake River basin. Initial efforts focused on generating juvenile and adult abundance estimates, with estimates of uncertainty, for informing the life-cycle model. In this report we 1) describe the statistical life-cycle model and improvements made since our last report to the Independent Scientific Advisory Board (ISAB), 2) estimate the effects of covariates on key demographic parameters, and 3) use the fitted life- cycle model to simulate population trajectories under hydrosystem actions proposed for the NOAA 2020 Biological Opinion (hereafter, the Proposed Action). Major recent advancements to the model include revised juvenile abundance estimates, the ability to estimate smolt-to-adult return rates (SAR) separately for subyearling and yearling juvenile fall Chinook salmon, and improvements in the observation model for estimating age, sex, and outmigration structure in adult returns. We examined the effect of numerous environmental, hydrosystem, and ocean covariates on key demographic parameters but only a few covariates were significant. For the adult-to-juvenile transition, we found the maximum weekly river flows during the winter egg- incubation period had a significant negative effect on the juvenile outmigrant abundance from that brood year. For subyearling outmigrants, percent spill during the summer had a significant positive effect on SAR and the mean winter PDO (Pacific Decadal Oscillation) had a significant negative effect on SAR. For yearling outmigrants, NPGO (North Pacific Gyre Oscillation) had a significant positive effect on SAR. We used the fitted model to simulate population trajectories under the Proposed Action, and the median 10-year geometric mean abundance was 8,222 female spawners (interquartile range: 2,592 26,714). Overall, the probability of quasi- extinction (probability of falling below 50 female spawners for 4 consecutive years) was low, with only 1.6% of all simulations having a quasi-extinction probability >0.95. Although quasi-extinction probability was low, we did not assess the additional effect of climate change, which would be expected to increase quasi-extinction probability.

Idaho, Oregon, Washington↗

Dilution and propagation of provenance trends in sand and mud: Geochemistry and detrital zircon geochronology of modern sediment from central California (U.S.A.)

Integrated, multi-method provenance studies of siliciclastic sedimentary deposits are increasingly used to reconstruct the history of source-to-sink transport, paleogeography, and tectonics. Invariably, analysis of large-scale depositional systems must confront issues regarding how to best sample the system and adequately cope with the details of sediment mixing. Potential biases including variations in grain size, sediment flux, and zircon concentration may cause provenance tracking tools to misrepresent the contributions of source-areas that contribute to large drainage networks. We have acquired U-Pb detrital zircon data from modern sand and whole rock geochemistry from mud sampled from the Sacramento-San Joaquin drainage of central California to elucidate conditions that can skew provenance trends along the course of a major river system. This drainage network is fed by headwaters that tap the Mesozoic pluton-dominated southern Sierra Nevada, the Paleozoic-Mesozoic wallrock and volcanic-dominated northern Sierra Nevada, the ultramafic-dominated eastern Klamath Mountains, and the intermediate to mafic Cascades volcanic arc. Analysis of the results indicates that detrital zircon provenance trends effectively record source variations for the southern, granite-dominated portion of the drainage network where contrasts in lithology and inferred zircon fertility are relatively minor. In these circumstances, mixture modeling of U-Pb detrital zircon data calibrated with a measure of zircon fertility approximates relative sediment flux contributed by individual drainages. Alternatively, in the northern parts of the system, source regions underlain by ultramafic and /or volcanic rocks are poorly represented, or entirely missing, in down-stream detrital zircon records. In some cases, mud geochemistry data more faithfully represents sediment provenance trends. Sampling performed at the confluence of the Sacramento, American, Mokolumne, and San Joaquin rivers within the Sacramento Delta region yields a detrital zircon age distribution that is indistinguishable from that of an independently established database of Sierra Nevada batholith crystallization ages. However, when the combined river flows along a recently established passage to the Pacific through the San Francisco Bay region, dredged sediment is found to be significantly contaminated by locally eroded material from the Franciscan Complex and other rocks that crop out within the Coast Ranges. Large variation of Zr concentrations measured throughout the Bay area document that significant hydrodynamic fractionation impacts sediment delivery through this segment of the system. The more Sierra Nevada-like detrital zircon age distribution yielded by a piston-core sample from the continental slope may be explained by either early-stage unroofing of the Coast Ranges or more efficient sand delivery from the delta to the Pacific by a free flowing river driven by a low stand in sea level.

California↗

Evidence for liquefaction identified in peeled slices of Holocene deposits along the Lower Columbia River, Washington

Peels made from 10 geoslices beneath a riverbank at Washington's Hunting Island, 45 km inland from the Pacific coast, aid in identifying sand that liquefied during prehistoric earthquakes of estimated magnitude 8-9 at the Cascadia subduction zone. Each slice was obtained by driving sheetpile and a shutter plate to depths of 6-8 m. The resulting sample, as long as 8 m, had a trapezoidal cross section 42-55 cm by 8 cm. The slicing created few artifacts other than bending and smearing at slice edges. Each slice is dominated by well-stratified sand and mud deposited by the tidal Columbia River. Nearly 90% of the sand is distinctly laminated. The sand contains mud beds as thick as 0.5 m and at least 20 m long, and it is capped by a mud bed that contains a buried soil that marks the 1700 Cascadia earthquake of estimated magnitude 9. Every slice intersected sills and dikes of fluidized sand, and many slices show folds and faults as well. Sills, which outnumber dikes, mostly follow and locally invade the undersides of mud beds. The mud beds probably impeded diffuse upward flow of water expelled from liquefied sand. Trapped beneath mud beds, this water flowed laterally, destroyed bedding by entraining (fluidizing) sand, and locally scoured the overlying mud. Horizontal zones of folded sand extend at least 10 or 20 m, and some contain low-angle faults. Many of the folds probably formed while sand was weakened by liquefaction. The low-angle faults may mark the soles of river-bottom slumps or lateral spreads. As many as four great Cascadia earthquakes in the past 2000 yr contributed to the intrusions, folds, and faults. This subsurface evidence for fluid escape and deformation casts doubt on maximum accelerations that were previously inferred from local absence of liquefaction features at the ground surface along the Columbia River. The geosliced evidence for liquefaction abounds not only beneath banks riddled with dikes but also beneath banks in which dikes are absent. Such dike-free banks of the Columbia River, if interpreted without study of postdepositional structures in deposits beneath them, provide insufficient basis for setting upper bounds on the strength of shaking from great Cascadia earthquakes.

Washington↗

Insights and strategic opportunities from the USGS 2024 Per- and Polyfluoroalkyl Substances (PFAS) Interagency Workshop

Introduction In 2021, the U.S. Geological Survey (USGS) published Circular 1490 titled, “Integrated Science for the Study of Perfluoroalkyl and Polyfluoroalkyl Substances (PFAS) in the Environment: A Strategic Science Vision for the U.S. Geological Survey” (Tokranov and others, 2021). Circular 1490 was created to be a resource for USGS scientists prioritizing and planning research related to per- and polyfluoroalkyl substances (PFAS) and to be a guide for developing partnerships with other scientists, State and Federal agencies, and stakeholders engaged in PFAS research and management and mitigation of the environmental and human-health effects of PFAS. This USGS PFAS Strategic Science Vision document was intended to be the foundation for a “living strategic vision,” periodically providing updates on the state of USGS PFAS research, emerging PFAS data gaps and needs, and progress on interagency and stakeholder PFAS partnerships and priorities. To meet this objective, the USGS planned to host an Interagency and Stakeholder PFAS Workshop every 2–3 years. During September 10–12, 2024, the USGS hosted the first Interagency and Stakeholder PFAS Workshop in Reston, Virginia. The Workshop brought together experts from other Federal agencies (U.S. Environmental Protection Agency, National Institute of Environmental Health Sciences, Food and Drug Administration, Department of Defense [Air Force, Army]), State agencies (Washington Fish and Wildlife, Virginia Department of Transportation), and academia (Harvard University, University of Maryland) to address key challenges relating to the measurement and modeling of PFAS and the implications for environmental health. Participants engaged in in-depth discussions centered around six pivotal topics related to PFAS: (1) sampling protocols, methods and interpretation; (2) environmental sources, source apportionment, and occurrence; (3) environmental fate and transport; (4) human and wildlife exposure routes and risk; (5) bioconcentration, bioaccumulation, and biomagnification; and (6) ecotoxicology and effects. Each topic had three breakout sessions. A recurrent theme of workshop discussions was how data on a nationwide scale for PFAS occurrence in various environmental matrices, including air, water, food crops, biota, soil, and streambed sediment could help to advance scientific understanding. Participants noted significant geospatial data gaps, particularly in the midwestern and southern United States and the Pacific Northwest. PFAS data collection tends to be more robust along the eastern seaboard and in California. Participants stressed how enhancing the integration of large and small datasets across various agencies could help to support national scale understanding of PFAS. To address these gaps, attendees suggested leveraging datasets from Federal entities like the USGS and the U.S. Department of Defense, State agencies, and municipal utility services to develop predictive contaminant detection and transport models. Improved coordination between water quality programs and USGS research could help to facilitate access to valuable data, leading to comprehensive databases that inform PFAS point (wastewater treatment plants and landfills) and nonpoint (runoff from land, atmospheric deposition, food packaging) sources, environmental transport mechanisms, environmental detection and concentrations, potential exposure routes, and health effects on different biota, including humans. A specific request was made to develop a map demarking the depth of modern (1953 or later) groundwater, which is susceptible to surface-derived anthropogenic (that is, human-made) contamination, based on tritium-age dating. Emphasis was placed on incorporation of hydrology, groundwater flow paths, groundwater–surface water interactions, and landscape factors in predictive statistical models as a step to improve contaminant source identification and tracking. Molecular fingerprinting approaches garnered attention as techniques to link specific PFAS mixtures detected in a sample to environmental sources and levels in biota (Dávila-Santiago and others, 2022). Integrating data from abiotic (that is, water, soil, and air) and biotic (that is, living organisms) systems identified as a research opportunity. For example, understanding the composition of soils and sediments, which include a mixture of mineral, plant, and animal components, could advance understanding of exposure pathways. The discussions highlighted opportunities to explore and understand the potential redistribution and biotic exposures of PFAS from biosolid and wastewater treatment plant effluent land application practices, in addition to atmospheric releases and discharges from landfill and wastewater treatment plants. Participants identified research gaps surrounding how these sources may contribute to contamination and may affect surrounding ecosystems, including a better definition of anthropogenic background concentrations. Moving forward, the collection of co-occurrence data was noted as a means to improve understanding of complex mixtures and to leverage companion modeling efforts focused on areas with high and low contamination levels to identify areas of concern and unaffected resources. Participants emphasized how centralized USGS databases and the establishment of sample-metadata archives can help to ensure that samples are preserved and accessible for future research. In conclusion, the workshop participants identified opportunities to bridge data gaps and improve measurement techniques, modeling frameworks, databases, and communication, to enhance the understanding of PFAS and their effects on environmental and human health. Upon completion of the workshop, participants indicated an interest in developing strategic data collection, modeling, and analytical approaches to address these challenges.

Open-File Report↗

Genomics of Arctic cod

The Arctic cod (Boreogadus saida) is an abundant marine fish that plays a vital role in the marine food web. To better understand the population genetic structure and the role of natural selection acting on the maternally-inherited mitochondrial genome (mitogenome), a molecule often associated with adaptations to temperature, we analyzed genetic data collected from 11 biparentally-inherited nuclear microsatellite DNA loci and nucleotide sequence data from from the mitochondrial DNA (mtDNA) cytochrome b (cytb) gene and, for a subset of individuals, the entire mitogenome. In addition, due to potential of species misidentification with morphologically similar Polar cod (Arctogadus glacialis), we used ddRAD-Seq data to determine the level of divergence between species and identify species-specific markers. Based on the findings presented here, Arctic cod across the Pacific Arctic (Bering, Chukchi, and Beaufort Seas) comprise a single panmictic population with high genetic diversity compared to other gadids. High genetic diversity was indicated across all 13 protein-coding genes in the mitogenome. In addition, we found moderate levels of genetic diversity in the nuclear microsatellite loci, with highest diversity found in the Chukchi Sea. Our analyses of markers from both marker classes (nuclear microsatellite fragment data and mtDNA cytb sequence data) failed to uncover a signal of microgeographic genetic structure within Arctic cod across the three regions, within the Alaskan Beaufort Sea, or between near-shore or offshore habitats. Further, data from a subset of mitogenomes revealed no genetic differentiation between Bering, Chukchi, and Beaufort seas populations for Arctic cod, Saffron cod (Eleginus gracilis), or Walleye pollock (Gadus chalcogrammus). However, we uncovered significant differences in the distribution of microsatellite alleles between the southern Chukchi and central and eastern Beaufort Sea samples of Arctic cod. Finally, using ddRAD-Seq data, we identified species-specific markers and in conjunction with mitogenome data, identified an Arctic cod x Polar cod hybrid in western Canadian Beaufort Sea. Overall, the lack of genetic structure among Arctic cod within the Bering, Chukchi and Beaufort seas of Alaska is concordant with the absence of geographic barriers to dispersal and typical among marine fishes. Arctic cod may exhibit a genetic pattern of isolation-by-distance, whereby populations in closer geographic proximity are more genetically similar than more distant populations. As this signal is only found between our two fartherest localities, data from populations elsewhere in the species’ global range are needed to determine if this is a general characteristic. Further, tests for selection suggested a limited role for natural selection acting on the mitochondrial genome of Arctic cod, but do not exclude the possibility of selection on genes involved in nuclear-mitogenome interactions. Unlike previous genetic assessment of Arctic cod sampled from the Chukchi Sea, the high levels of genetic diversity found in Arctic cod assayed in this study, across regions, suggests that the species in the Beaufort and Chukchi seas does not suffer from low levels of genetic variation, at least at neutral genetic markers. The large census size of Arctic cod may allow this species to retain high levels of genetic diversity. In addition, we discovered the presence of hybridization between Arctic and Polar cod (although low in frequency). Hybridization is expected to occur when environmental changes modify species distributions that result in contact between species that were previously separated. In such cases, hybridization may be an evolutionary mechanism that promotes an increase in genetic diversity that may provide species occupying changing environments with locally-adapted genotypes and, therefore, phenotypes. Natural selection can only act on the standing genetic variation present within a population. Therefore, given its higher levels of genetic diversity in combination with a large population size, Arctic cod may be resilient to current and future environmental change, as high genetic diversity is expected to increase opportunities for positive selection to act on genetic variants beneficial in different environments, regardless of the source of that genetic variation.

OCS Study↗

Development of new information to inform fish passage decisions at the Yale and Merwin hydro projects on the Lewis River, Washington—Final report, 2018

The reintroduction of extirpated salmonids to historically occupied areas is becoming increasingly common as a conservation and recovery strategy. Often, reintroductions are implemented after the factors that originally led to species extirpation have been reduced, eliminated, or mitigated. For anadromous Oncorhynchus spp. (Pacific salmon) and O. mykiss (steelhead), addressing barriers to migration, which have been a primary factor in the decline and extirpation of many populations, has been an integral component of recovery efforts. Mitigation has included barrier removal, developing fish passage opportunities, and (or) actively trapping and hauling juvenile and adult anadromous salmonids around barriers. With any reintroduction, there are a number of concerns regarding the ecological impact of the reintroduction efforts. Three of the main tenets to consider when assessing reintroductions are (1) the potential benefits if reintroduction is successful, (2) the biological risk through interactions of reintroduced strains with existing populations, and (3) the factors potentially limiting a successful reintroduction. This report focuses on information and data to address the second and third factors as they apply to the upper Lewis River in Washington. The upper Lewis River historically contained wild populations of O. tshawytscha (Chinook salmon), O. kisutch (coho salmon), and steelhead. These populations were extirpated after completion of hydropower facilities on Lake Merwin in 1932, Yale Lake in 1953, and Swift Reservoir in 1958, which prevented fish from migrating to and from ocean environments. However, recent licenses issued by the Federal Energy Regulatory Commission require the installation and operation of an upstream fish passage facility at Lake Merwin and a downstream fish passage facility at Swift Reservoir. The licenses were developed in consultation with the National Marine Fisheries Service and the U.S. Fish and Wildlife Service. The overarching goal of this fish reintroduction project is to establish viable, self-sustaining, naturally reproducing, harvestable populations of spring Chinook salmon, winter steelhead, and coho salmon at levels higher than minimum viable populations. This report uses a combination of field data and existing information to address six key objectives related to the reintroduction in order to inform decisions about passage at the Yale Lake and Lake Merwin hydropower projects. The objectives are (1) a review of information relevant to anadromous fish reintroduction and full fish passage; (2) a habitat assessment of tributaries to Swift Reservoir, Yale Lake, and Lake Merwin; (3) a field study to assess adult potential for spawning success; (4) an assessment of juvenile production and outmigration success; (5) a Lake Merwin predator impact study; and (6) a set of studies assessing interactions between anadromous and resident fish.

Washington↗

Attribution of monotonic trends and change points in peak streamflow across the conterminous United States using a multiple working hypotheses framework, 1941–2015 and 1966–2015

The U.S. Geological Survey has a long history of leading flood-frequency analysis studies. These studies play a critical role in the assessment of risk, protection of lives, and planning and design of flood protection infrastructure. Standard flood-frequency analysis is based on the assumption of stationarity—that is, that the distribution of floods at a given site varies around a particular mean within a particular envelope of variance (and skew) and that these parameters of the underlying statistical distribution representative of the floods do not vary over time. Gradual or abrupt changes in one or more of the distributional parameters are called nonstationarities and violate the underlying assumptions of current U.S. Federal Government guidelines for flood-frequency analysis. Uncertainty exists as to what degree of violations calls for the use of a modified method for flood-frequency analysis and what the modified method(s) should be. When deciding whether to perform nonstationary flood-frequency analysis and choosing a method for such analysis, it is important to understand the causes of the nonstationarity. Gradual or abrupt changes in distributional properties of floods may be the result of numerous factors, such as regulation, diversion, land-use change, or climate change. In the interest of developing a cohesive national approach for better understanding the causes of nonstationarities and incorporating potential or observed changes into flood-frequency estimates, subject-matter experts from the U.S. Geological Survey and cooperators worked together to develop a multiple working hypotheses framework for making attributions and a common vocabulary for making provisions of confidence. Seven regional teams of these experts used ancillary datasets and institutional knowledge to evaluate plausible causes for monotonic trends and change points in annual peak-streamflow data for the conterminous United States that had been identified in an earlier phase of the project. The first chapter of this professional paper describes the development of a list of the potential attributions, presents a literature review of the potential attributions, describes the regional approach, summarizes insights obtained from the attribution process, and suggests future research. The other chapters provide the methods used for attribution in the seven regions—Pacific Northwest, Upper Plains, Midwest, Northeast, Southwest, South-Central, and Southeast—and summarize the regional patterns of nonstationarities.

Conterminous United States↗

Monitoring and modeling dispersal of a submerged nearshore berm at the mouth of the Columbia River, USA

A submerged, low-relief nearshore berm was constructed in the Pacific Ocean near the mouth of the Columbia River, USA, using 216,000 m 3 of sediment dredged from the adjacent navigation channel. The material dredged from the navigation channel was placed on the northern flank of the ebb-tidal delta in water depths between 12 and 15 m and created a distinct feature that could be tracked over time. Field measurements and numerical modeling were used to evaluate the transport pathways, time scales, and physical processes responsible for dispersal of the berm and evaluate the suitability of the location for operational placement of dredged material to enhance the sediment supply to eroding beaches onshore of the placement site. Repeated multibeam bathymetric surveys characterized the initial berm morphology and dispersion of the berm between September 22, 2020, and March 10, 2021. During this time, the volume of sediment within the berm decreased by about 40%to 127,000 m 3 , the maximum height decreased by almost 60%, and the center of the deposit shifted onshore over 200 m. Observations of berm morphology were compared with predictions from a three-dimensional hydrodynamic and sediment transport model application to refine poorly constrained model input parameters including sediment transport coefficients, bed schematization, and grain size. The calibrated sediment transport model was used to predict the amount, timing, and direction of transport outside of the observed survey area. Model simulations predicted that tidal currents were weak in the vicinity of the berm and wave processes including enhanced bottom stresses and asymmetric bottom orbital velocities resulted in dominant onshore movement of sediment from the berm toward the coastline. Roughly 50% of the berm volume was predicted to disperse away from the initial placement site during the 169 day hindcast. Between 9 and 17% of the initial volume of the berm was predicted to accumulate along the shoreface of a shoreline reach experiencing chronic erosion directly onshore of the placement site. Scenarios exploring alternate placement locations suggested that the berm was relatively effective in enhancing the sediment supply along the eroding coastline north of the inlet. The transferable monitoring and modeling framework developed in this study can be used to inform implementation of strategic nearshore placements and regional sediment management in complex, high-energy coastal environments elsewhere.

Oregon, Washington↗

Characterizing Manatee habitat use and seagrass grazing in Florida and Puerto Rico: Implications for conservation and management

The Indian River Lagoon on the Atlantic coast of Florida, USA, and the east coast of Puerto Rico provide contrasting environments in which the endangered West Indian Manatee Trichechus manatus experiences different thermal regimes and seagrass communities. We compare Manatee feeding behaviour in these two regions, examine the ecological effects of Manatee grazing on a seagrass community in the Indian River Lagoon, describe the utility of aerial surveys, radio tracking, and seagrass mapping to study Manatee feeding patterns, and develop hypotheses on sirenian feeding strategies in temperate and tropical seagrass communities. In both the Indian River Lagoon and Puerto Rico, Manatees were typically observed grazing in water depths = 2.0 m and more frequently on the most abundant seagrasses present in the community: Halodule wrightii in the Indian River Lagoon and Thalassia testudinum in eastern Puerto Rico. Where both H. wrightii and Syringodium filiforme were consumed in the Indian River Lagoon, Manatees tended to remove more S. filiforme than H. wrightii rhizome + root biomass. Even though 80 to 95% of the short-shoot biomass and 50 to 67% of the rhizome + root biomass were removed, grazed patches of H. wrightii and S. filiforme recovered significantly between February and August. H. wrightii may be both more resistant and resilient than S. filiforme to the impacts of Manatee grazing. Despite the significantly greater abundance of T. testudinum in Puerto Rico, Manatees exhibited selective feeding by returning to specific sites with abundant H. wrightii. They also appeared to feed selectively on T. testudinum shoots associated with clumps of the calcareous alga Halimeda opuntia. We hypothesize that Florida Manatees are less specialized seagrass grazers than Manatees in tropical regions like Puerto Rico. Continued research on Manatee grazing ecology in temperate to tropical seagrass communities will enable better protection and management of these vital and unique marine resources.

Florida↗

A summary of information on the rust Puccinia psidii Winter (guava rust) with emphasis on means to prevent introduction of additional strains to Hawaii

The neotropical rust fungus Puccinia psidii ( P. psidii ) was originally described from the host common guava in its native Brazil but has been found since on hosts throughout the myrtle family (Myrtaceae), including a dramatic host jump to nonnative Eucalyptus plantations. Most rust fungi are able to live only on a very narrow range of host species. P. psidii is unusual both for having a broad host range and for the intensity of its damage to susceptible young growth. This rust first got a foothold in the United States in Florida more than three decades ago. The U.S. Department of Agriculture (USDA) has since considered it a nonactionable, nonreportable pest. Hawaii and Florida are the only two states with native species in the myrtle family. Over a period of 30 years, this rust has done little damage to any of the scattered native Myrtaceae in Florida, although the host range of the rust has gradually grown to about 30 mostly nonnative species in the family, apparently because of increasing genetic variety of the rust by repeated introductions. However, Florida’s native Myrtaceae are among the roughly 1,100 neotropical species that are largely resistant to P. psidii . The 3,000 species of non-neotropical Myrtaceae of the Pacific, Australia, Asia, and Africa are expected to prove much more vulnerable to P. psidii . Little is known about the genetics or genetic strains of P. psidii , although existing literature shows that there are numerous strains that have differential ability to infect suites of host plants. The rust was first recorded in the state of Hawaii on Oahu in April 2005 and quickly spread throughout the Hawaiian Islands. The main concern in Hawaii became the potential threat to ohia, Metrosideros polymorpha (Myrtaceae), the endemic forest tree species overwhelmingly important in Hawaii’s nature and culture. The potential ecological consequences of a virulent strain of rust on ohia forests are immense, due to its role as a foundation tree species and the diversity of niches it fills in Hawaii. A single genetic strain of the rust is established in Hawaii, apparently composed of a single genotype lacking sexual reproduction. P. psidii has been found statewide in Hawaii attacking Myrtaceae from near sea level to about 1,200 m elevation in areas with rainfall ranging from 750–5,000 mm. Five of eight native Myrtaceae and at least 15 nonnative species have been observed as hosts of P. psidii in Hawaii. The federally endangered Eugenia koolauensis (nioi) and the nonendangered indigenous species Eugenia reinwardtiana are severely damaged. The introduced (an Asian species) and invasive rose apple, Syzygium jambos , is severely affected at a landscape scale, with widespread crown dieback and many instances of complete tree death. In spite of billions of wind-dispersed rust spores produced from rose apple infestations during 2006 to 2008, adjacent ohia have been little affected to date by the rust strain in Hawaii. Within the elevation range of the rust, P. psidii is found on less than 5 percent of the ohia trees in the wild; on those ohia trees on which the rust is found, it is normally found on less than 5 percent of the leaves. The strain in Hawaii has not attacked many of the species known to be infected by the rust elsewhere, including common guava. On the basis of the very substantial genetic diversity of the much-studied, crop-damaging species of the genus Puccinia , there is good reason to believe that there are at minimum dozens and likely hundreds or thousands of genotypes of P. psidii , likely concentrated in the core range in Brazil but with potential for dispersal by globalization. Multiple genotypes are believed already present in the United States and certain to spread freely in the absence of restrictions. The U.S. Forest Service has initiated a major collaborative project in Brazil to investigate the genetics of susceptibility of Hawaii’s ohia to P. psidii , but initial results will likely not be available for several years. If just one more strain reaches Hawaii, the consequences could be dire for ohia, with each new genotype arriving having an unknown likelihood of increasing damage to ohia; possibilities for mutation and (or) genetic mixing, even with asexual strains, are apparently substantial, based on what is known about other Puccinia species. Investigations are needed to clarify rust-nioi relationships. However, it is likely that keeping out new strains of P. psidii may be important for long-term survival of nioi as well as for the health of ohia forest. The source of Hawaii’s initial invasion by P. psidii is uncertain but is strongly suspected to have been decorative foliage of species in the myrtle family from the mainland United States, most likely California, where there had been outbreaks of this rust on cultivated myrtle in 2005. In 2006–7, Maui’s Hawaii Department of Agriculture (HDOA) inspectors intercepted several P. psidii infected shipments of foliage myrtle, shipped from several California counties. Recognizing the huge threat of the rust to Hawaii’s one million acres of ohia forests, and consequently to Hawaii’s watersheds and biodiversity, Hawaii’s Board of Agriculture unanimously approved an interim rule in August 2007 banning importation of plants in the myrtle family from “infested areas,” specified as South America, Florida, and California. However, the interim rule has not been made permanent by HDOA, and the department has stated that it needs further information to formulate a long-term rule that imposes appropriate measures. Rust spores can survive for 2 to 3 months, and the pathogen can be transported to Hawaii on Myrtaceae from anywhere in the world through the United States mainland. There is much geographic reshuffling of flowers and foliage among the far-flung firms in the trade, especially for bouquet making. Because P. psidii is a nonactionable and nonreportable pest in the United States, foliage and flowers of the myrtle family can move freely into the country (usually but not necessarily always through the ports of Miami or Los Angeles), and from state to state. Currently, the State of Hawaii regulates incoming plant material in the family Myrtaceae by visual inspection. Inspection capacity and latent (asymptomatic) infections limit the ability to detect the rust. New molecular tests could improve detection efficiency, but the cost and the time required to process samples currently precludes their routine use in ports of entry. Interdiction, which has effectively kept coffee rust ( Hemileia vastatrix ) out of Hawaii for 120 years, offers the strongest protection for Hawaii’s native ecosystems from P. psidii . Interdiction of Myrtaceae from the continental United States could have the important supplementary benefit of preventing establishment in Hawaii of other very significant pests of multiple species of Myrtaceae that are already in the country, including: the Eugenia psyllid Trioza eugeniae (Hemiptera: Psyllidae); Chrysophtharta m-fuscum , the Eucalyptus tortoise beetle (Coleoptera: Chrysomelidae); Leptocybe invasa , the blue gum chalcid wasp (Hymenoptera: Chalcidae); and the fungal pathogens Mycosphaerella molleriana (Ascomycota: Mycosphaerelliaceae, crinkle leaf disease of Eucalyptus spp.) and Neofusicoccum parvum (Ascomycota: Botryosphaeriaceae), currently causing serious damage to Syzygium paniculatum in south Florida nurseries. Each of these pests would be likely to cause very significant damage to native and (or) cultivated Myrtaceae in Hawaii. Each of these pests is a prime candidate for transport by the foliage and (or) nursery stock pathways from Florida and California into Hawaii. Hawaii Department of Agriculture has a clear mandate to protect Hawaii’s natural environment, forestry and cultivated Myrtaceae. Principles of the World Trade Organization’s Treaty on Sanitary and Phytosanitary Measures and the International Plant Protection Convention are consistent with the right of Hawaii to take action. The current threat of P. psidii and the other five serious threats to Myrtaceae are primarily posed by the importation of infected plants from the continental United States; however, that may change in the future. If Hawaii were to decide to take a stand (through State regulation) to protect its native and introduced Myrtaceae, there is a possibility that USDA would consider Federal regulation of Myrtaceae from foreign countries.

Hawaii↗

Evaluation of natural and anthropogenic (human-made) hexavalent chromium

Hexavalent chromium, Cr(VI), was released between 1952 and 1964 from the Pacific Gas and Electric Company (PG&E) Hinkley compressor station, in the Mojave Desert about 80 miles northeast of Los Angeles, California. Geologic, geochemical, and hydrologic data from more than 100 wells collected between March 2015 and November 2017 were interpreted using a summative-scale analysis to define the extent of anthropogenic (human-made) Cr(VI) in groundwater. The summative scale consisted of eight questions requiring binary (yes or no) answers for each sampled well. The questions were intended to (1) provide a transparent framework for data interpretation in which all stakeholders participated; (2) provide unbiased interpretation of data traceable to numerical measurements; (3) provide a framework that enabled geologic, geochemical, and hydrologic data to be considered collectively; and (4) consolidate different types of data into a simple, easy-to-understand interpretation. When data from each well are scored using questions and metrics within the summative scale, all stakeholders would score each well the same way and would draw the same summative-scale Cr(VI) plume extent. The areal extent of the summative-scale Cr(VI) plume was 5.5 square miles (mi 2 ); this is larger than the 2.2-mi 2 extent of the October–December 2015 (Q4 2015) regulatory Cr(VI) plume but smaller than the 8.3-mi2 maximum mapped extent of Cr(VI) greater than the interim regulatory Cr(VI) background value of 3.1 micrograms per liter (μg/L). The summative-scale Cr(VI) plume is within the area covered by the PG&E monitoring well network and lies within “Mojave-type” deposits composed of low-chromium stream and near-shore lake deposits sourced from the Mojave River. The summative-scale Cr(VI) plume included all shallow wells within the footprint of the Q4 2015 regulatory Cr(VI) plume, but summative-scale scores indicate that anthropogenic Cr(VI) was not present in several wells within the footprint of the regulatory Cr(VI) plume that were screened within the deep zone of the upper aquifer. The summative-scale Cr(VI) plume extent was consistent with mineralogic and geochemical data collected as part of this study that were not used within the summative-scale analysis. Data from wells outside the summative-scale Cr(VI) plume collected for regulatory purposes from April 2017 through March 2018 were used to estimate Cr(VI) background concentrations as the upper 95-percent tolerance limit (UTL 95 ) in different parts of Hinkley and Water Valleys. The UTL 95 values were calculated using the computer program ProUCL 5.1 and are suitable for use by regulatory agencies in support of (1) updating the regulatory Cr(VI) plume extent and management of Cr(VI) near the plume margins, (2) establishing cleanup goals for Cr(VI) within the updated regulatory Cr(VI) plume, and (3) identifying unusual Cr(VI) concentrations outside the regulatory Cr(VI) plume. The nonparametric UTL 95 values for wells screened in Mojave-type deposits in the eastern, western, and northern subareas of Hinkley Valley were 3.7, 3.9, and 4.0 μg/L, respectively. The normal UTL 95 values for wells screened in undifferentiated, unconsolidated deposits in the eastern and western subareas and the northern subarea upgradient from the Mount General fault were 2.8, 3.8, and 4.8 μg/L, respectively. An overall normal UTL 95 value of 3.8 μg/L was calculated for undifferentiated, unconsolidated deposits in these areas. This value is similar to the overall nonparametric UTL 95 value of 3.9 μg/L calculated for Mojave-type deposits and similar to the maximum Cr(VI) concentration of older groundwater in contact with Mojave-type deposits of 3.6 μg/L. The provenance of most PG&E monitoring wells is not precisely known, and the UTL 95 values for wells screened in undifferentiated, unconsolidated deposits in the different subareas may be more widely applicable for regulatory purposes than the UTL 95 values for Mojave-type deposits. The UTL 95 value of 2.8 μg/L for wells screened in undifferentiated, unconsolidated deposits in the eastern subarea is important for plume management because most of the summative-scale Cr(VI) plume is within the eastern subarea. A UTL 95 value of 5.8 μg/L was calculated for older (pre-1952) groundwater associated with mudflat/playa deposits in the eastern subarea near Mount General. A UTL 95 value of 2.3 μg/L was calculated for Mojave-type deposits within the Cr(VI) plume downgradient from the Hinkley compressor station after regulatory updates. This lower value is consistent with neutral to slightly alkaline, younger (post-1952) groundwater within coarse-textured, low-chromium Mojave-type deposits in this area and may be a suitable metric for Cr(VI) cleanup goals. The UTL 95 value of 4.8 μg/L for wells screened in undifferentiated, unconsolidated deposits in the northern subarea upgradient from the Mount General fault provides for possible increases in Cr(VI) concentrations if water levels continue to decline. Downgradient from the Q4 2015 regulatory Cr(VI) plume and the summative-scale Cr(VI) plume, UTL 95 values of 9.0 and 6.4 μg/L were calculated for wells screened in undifferentiated, unconsolidated deposits in the northern subarea downgradient from the Mount General fault and for Water Valley, respectively, consistent with different geologic and geochemical conditions in these areas. The UTL 95 values calculated as part of this study provide scientifically defensible estimates of background Cr(VI) concentrations that differ with local geologic, geochemical, and hydrologic conditions in Hinkley and Water Valleys. The regulatory Cr(VI) plume extent can be updated on the basis of these values. The summative-scale Cr(VI) plume extent may contain wells having anthropogenic Cr(VI) concentrations less than the UTL 95 values for their respective subareas that may not require regulatory attention, and an updated regulatory Cr(VI) plume extent may be less than the summative-scale Cr(VI) plume extent. The UTL 95 values are not background Cr(VI) concentrations for regulatory purposes, and the authority to establish regulatory values resides solely with the Lahontan Regional Water Quality Control Board.

California↗