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Long-term watershed research and monitoring to understand ecosystem change in parks and equivalent reserves

Integrated watershed ecosystem studies in National Parks or equivalent reserves suggest that effects of external processes on 'protected' resources are subtle, chronic, and long-term. Ten years of data from National Park watersheds suggests that temperature and precipitation changes are linked to nitrogen levels in lakes and streams. We envision measurable biotic effects in these remote watersheds, if expected climate trends continue. The condition of natural resources within areas set aside for preservation are difficult to ascertain, but gaining this knowledge is the key to understanding ecosystem change and of processes operating among biotic and abiotic ecosystem components. There is increasing evidence that understanding the magnitude of variation within and between such processes can provide an early indication of environmental change and trends attributable to human-induced stress. The following four papers are case studies of how this concept has been implemented. These long-term studies have expanded our knowledge of ecosystem response to natural and human-induced stress. The existence of these sites with a commitment to gathering 'long-term' ecosystem-level data permits research activities aimed at testing more important hypotheses on ecosystem processes and structure.

Journal of the American Water Resources Associatio↗

Perceptions of strengths and deficiencies: Disconnects between graduate students and prospective employers

The US Botanical Capacity Assessment Project (BCAP) was initiated as a first step to gauge the nation's collective ability to meet the environmental challenges of the 21st century. The project, in which the authors of this article are involved, specifically aimed to identify multisector contributions to and gaps in botanical capacity in order to develop growth opportunities to address research and management problems. One of the primary gaps revealed by the BCAP surveys was that the skills graduate students identified as their greatest strengths closely matched the areas future employers (government and private sectors) identified as needing greatest improvement. Although our survey focused on only one discipline (botany), we suspect that the results are applicable throughout the science, technology, engineering, and mathematics disciplines. We suggest that it is critical for university faculty and administrators to team with professionals from government, nonprofit, and for-profit organizations to identify critical and desired knowledge and skill sets and implement the necessary curriculum changes to provide graduates with the tools they need.

BioScience↗

Moderate-resolution sea surface temperature data for the nearshore North Pacific

Coastal sea surface temperature (SST) is an important environmental characteristic in determining the suitability of habitat for nearshore marine and estuarine organisms. This publication describes and provides access to an easy-to-use coastal SST dataset for ecologists, biogeographers, oceanographers, and other scientists conducting research on nearshore marine habitats or processes. The data cover the Temperate Northern Pacific Ocean as defined by the 'Marine Ecosystems of the World' (MEOW) biogeographic schema developed by The Nature Conservancy. The spatial resolution of the SST data is 4-km grid cells within 20 km of the shore. The data span a 29-year period - from September 1981 to December 2009. These SST data were derived from Advanced Very High Resolution Radiometer (AVHRR) instrument measurements compiled into monthly means as part of the Pathfinder versions 5.0 and 5.1 (PFSST V50 and V51) Project. The processing methods used to transform the data from their native Hierarchical Data Format Scientific Data Set (HDF SDS) to georeferenced, spatial datasets capable of being read into geographic information systems (GIS) software are explained. In addition, links are provided to examples of scripts involved in the data processing steps. The scripts were written in the Python programming language, which is supported by ESRI's ArcGIS version 9 or later. The processed data files are also provided in text (.csv) and Access 2003 Database (.mdb) formats. All data except the raster files include attributes identifying realm, province, and ecoregion as defined by the MEOW classification schema.

Open-File Report↗

Conceptual modeling framework to support development of site-specific selenium criteria for Lake Koocanusa, Montana, U.S.A., and British Columbia, Canada

The U.S. Geological Survey, working with the Montana Department of Environmental Quality and the British Columbia Ministry of the Environment and Climate Change Strategy, has developed a conceptual modeling framework that can be used to provide structured and scientifically based input to the Lake Koocanusa Monitoring and Research Working Group as they consider potential site-specific selenium criteria for Lake Koocanusa, a transboundary reservoir located in Montana and British Columbia. This report describes that modeling framework, provides an example of how it can be applied, and outlines possible next steps for implementing the framework.

British Columbia, Montana↗

Using satellite images to monitor glacial-lake outburst floods: Lago Cachet Dos drainage, Chile

The U.S. Geological Survey (USGS) is monitoring and analyzing glacial-lake outburst floods (GLOFs) in the Colonia valley in the Patagonia region of southern Chile. A GLOF is a type of flood that occurs when water impounded by a glacier or a glacial moraine is released catastrophically. In the Colonia valley, GLOFs originating from Lago Cachet Dos, which is dammed by the Colonia Glacier, have recurred periodically since 2008. The water discharged during these GLOFs flows under or through the Colonia Glacier, into Lago Colonia and then the Río Colonia, and finally into the Río Baker—Chile's largest river in terms of volume of water. This report presents a GeoEye-1 image collected December 1, 2011 and a WorldView-2 image collected September 27, 2013. The 2011 image shows Lago Cachet Dos when the water level was near its maximum extent. The 2013 image shows the drained lake four days after a GLOF event. The images were used to delineate the differences in water surface area prior to, and immediately following, a GLOF event. The imagery shown here highlights the dramatic changes that typically occur during GLOFs from Lago Cachet Dos. The lake area decreased from 4.84 km 2 in 2011 (pre-GLOF) to only 0.30 km 2 in September 2013 (post-GLOF). The water surface lowered approximately 90 m between the pre- and post-GLOF satellite images, yielding a change in volume of approximately 217,000,000 m 3 ; this value is similar to previous estimates (about 200 million m 3 ) of the volume of flood water that flowed down the Río Colonia during some previous GLOFs. During 2008–2013, 14 GLOFs were released from Lago Cachet Dos and created environmental and safety concerns for downstream residents and to infrastructure. If GLOFs and the consequent headward erosion continue, the moraine that creates Lago Cachet Uno could be destabilized and breached, and the two lakes could merge. If the two lakes become connected, the volume of future GLOFs likely would be greater and thus cause longer and (or) more extensive flooding downstream. Additional GLOFs from Lago Cachet Dos are expected in the future, and continued environmental monitoring could provide an early warning system as well as scientific information that could increase our understanding of GLOFs and their consequences. GLOFs occur in glaciated areas around the world and remote sensing technologies can allow researchers to better understand—and potentially predict—future GLOF events.

Colonia valley, Lago Cachet Dos, Patagonia↗

Assessment of conservation practices in the Fort Cobb Reservoir watershed, southwestern Oklahoma

The Fort Cobb Reservoir watershed encompasses about 813 square kilometers of rural farm land in Caddo, Custer, and Washita Counties in southwestern Oklahoma. The Fort Cobb Reservoir and six stream segments were identified on the Oklahoma 1998 303(d) list as not supporting designated beneficial uses because of impairment by nutrients, suspended solids, sedimentation, pesticides, and unknown toxicity. As a result, State and Federal agencies, in collaboration with conservation districts and landowners, started conservation efforts in 2001 to decrease erosion and transport of sediments and nutrients to the reservoir and improve water quality in tributaries. The U.S. Department of Agriculture selected the Fort Cobb Reservoir watershed in 2003 as 1 of 14 benchmark watersheds under the Conservation Effectiveness Assessment Project with the objective of quantifying the environmental benefits derived from agricultural conservation programs in reducing inflows of sediments and phosphorus to the reservoir. In November 2004, the Biologic, Geographic, Geologic, and Water Disciplines of the U.S. Geological Survey, in collaboration with the Agricultural Research Service, Grazinglands Research Laboratory in El Reno, Oklahoma, began an interdisciplinary investigation to produce an integrated publication to complement this program. This publication is a compilation of 10 report chapters describing land uses, soils, geology, climate, and water quality in streams and the reservoir through results of field and remote sensing investigations from 2004 to 2007. The investigations indicated that targeting best-management practices to small intermittent streams draining to the reservoir and to the Cobb Creek subwatershed may effectively augment efforts to improve eutrophic to hypereutrophic conditions that continue to affect the reservoir. The three major streams flowing into the reservoir contribute nutrients causing eutrophication, but minor streams draining cultivated fields near the reservoir appeared to be disproportionate contributors of nutrients. Increasing conservation practices on small streams may have a greater effect in mitigating eutrophication in the reservoir than additional installation of such measures on the larger creeks.

Oklahoma↗

Spatial variability of sedimentary interbed properties near the Idaho Nuclear Technology and Engineering Center at the Idaho National Engineering and Environmental Laboratory, Idaho

The subsurface at the Idaho National Engineering and Environmental Laboratory (INEEL) is complex, comprised primarily of thick, fractured basalt flows interbedded with thinner sedimentary intervals. The unsaturated zone can be as thick as 200 m in the southwestern part of the INEEL. The Vadose Zone Research Park (VZRP), located approximately 10 km southwest of the Idaho Nuclear Technology and Engineering Center (INTEC), was established in 2001 to study the subsurface of a relatively undisturbed part of the INEEL. Waste percolation ponds for the INTEC were relocated to the VZRP due to concerns that perched water within the vadose zone under the original infiltration ponds (located immediately south of the INTEC) could contribute to migration of contaminants to the Snake River Plain aquifer. Knowledge of the spatial distribution of texture and hydraulic properties is important for developing a better understanding of subsurface flow processes within the interbeds, for example, by identifying low permeability layers that could lead to the formation of perched ground-water zones. Because particle-size distributions are easier to measure than hydraulic properties, particle size serves as an analog for determining how the unsaturated hydraulic properties vary both vertically within particular interbeds and laterally within the VZRP. As part of the characterization program for the subsurface at the VZRP, unsaturated and saturated hydraulic properties were measured on 10 core samples from six boreholes. Bulk properties, including particle size, bulk density, particle density, and specific surface area, were determined on material from the same depth intervals as the core samples, with an additional 66 particle- size distributions measured on bulk samples from the same boreholes. From lithologic logs of the 32 boreholes at the VZRP, three relatively thick interbeds (in places up to 10 m thick) were identified at depths of 35, 45, and 55 m below land surface. The 35-m interbed extends laterally over a distance of at least 900 m from the Big Lost River to the new percolation pond area of the VZRP. Most wells within the VZRP were drilled to depths less than 50 m, making it difficult to infer the lateral extent of the 45-m and 55-m interbeds. The 35-m interbed is uniform in texture both vertically and laterally; the 45-m interbed coarsens upward; and the 55-m interbed contains alternating coarse and fine layers. Seventy-one out of 90 samples were silt loams and 9 out of 90 samples were classified as either sandy loams, loamy sands, or sands. The coarsest samples were located within the 45-m and 55-m interbeds of borehole ICPP-SCI-V-215, located near the southeast corner of the new percolation pond area. At the tops of some interbeds, baked-zone intervals were identified by their oxidized color (yellowish red to red) compared to the color of the underlying non-baked material (pale yellow to brown). The average geometric mean particle diameter of baked-zone intervals was only slightly coarser, in some cases, than the underlying non-baked sediment. This is likely due to both depositional differences between the top and bottom of the interbeds and the presence of small basalt clasts in the sediment. Core sample hydraulic properties from baked zones within the different interbeds did not show effects from alteration caused during basalt deposition, but differed mainly by texture. Saturated hydraulic conductivities (Ksat) for the 10 core samples ranged from 10-7 to 10-4 cm/s. Low permeability layers, with Ksat values less than 10-7 cm/s, within the 35-m and 45-m interbeds may cause perched ground-water zones to form beneath the new percolation pond area, leading to the possible lateral movement of water away from the VZRP.

Idaho↗

Turning setbacks into stepping-stones for growth in conservation paleobiology

Conservation paleobiology is a cross-disciplinary field that utilizes the geohistorical record of past life on Earth to inform present-day decisions in conservation and restoration and assist in planning for future natural resource management. However, information on how past ecosystems and species responded to environmental change over decadal to millennial timescales is rarely incorporated into conservation and restoration decision-making. To heighten awareness among conservation and restoration practitioners of the relevance of geohistorical data and to bridge the gap between research and implementation in conservation paleobiology, we proposed a Research Topic titled “ Integrating Conservation Biology and Paleobiology to Manage Biodiversity and Ecosystems in a Changing World ”. The 21 articles subsequently published demonstrate the diversity and breadth of geohistorical information available to resource management and the challenges of translating these results into conservation practice and policy. Here we discuss the lessons we learned from editing the Research Topic and suggest a pathway forward for conservation paleobiologists who aspire to generate actionable research results to solve current problems in biodiversity conservation and ecological restoration.

Frontiers in Ecology and Evolution↗

Reference intervals and physiologic alterations in hematologic and biochemical values of free-ranging desert tortoises in the Mojave Desert

Desert tortoise ( Gopherus agassizii ) populations have experienced precipitous declines resulting from the cumulative impact of habitat loss, and human and disease-related mortality. Evaluation of hematologic and biochemical responses of desert tortoises to physiologic and environmental factors can facilitate the assessment of stress and disease in tortoises and contribute to management decisions and population recovery. The goal of this study was to obtain and analyze clinical laboratory data from free-ranging desert tortoises at three sites in the Mojave Desert (California, USA) between October 1990 and October 1995, to establish reference intervals, and to develop guidelines for the interpretation of laboratory data under a variety of environmental and physiologic conditions. Body weight, carapace length, and venous blood samples for a complete blood count and clinical chemistry profile were obtained from 98 clinically healthy adult desert tortoises of both sexes at the Desert Tortoise Research Natural area (western Mojave), Goffs (eastern Mojave) and Ivanpah Valley (northeastern Mojave). Samples were obtained four times per year, in winter (February/March), spring (May/June), summer (July/August), and fall (October). Years of near-, above- and below-average rainfall were represented in the 5 yr period. Minimum, maximum and median values, and central 95 percentiles were used as reference intervals and measures of central tendency for tortoises at each site and/or season. Data were analyzed using repeated measures analysis of variance for significant ( P < 0.01) variation on the basis of sex, site, season, and interactions between these variables. Significant sex differences were observed for packed cell volume, hemoglobin concentration, aspartate transaminase activity, and cholesterol, triglyceride, calcium, and phosphorus concentrations. Marked seasonal variation was observed in most parameters in conjunction with reproductive cycle, hibernation, or seasonal rainfall. Year-to-year differences and long-term alterations primarily reflected winter rainfall amounts. Site differences were minimal, and largely reflected geographic differences in precipitation patterns, such that results from these studies can be applied to other tortoise populations in environments with known rainfall and forage availability patterns.

Journal of Wildlife Diseases↗

Environmental Contaminants and Terrestrial Vertebrates: Effects on Populations, Communities, and Ecosystems

The desire of resource managers, risk assessors, and the general public to better understand the consequences of environmental contamination has produced a strong and growing need for information on the effects of contaminants on populations and groups of species, and over moderate to large areas of land or water. However, the problems associated with research involving populations and groups of species or large and complex geographic areas, especially in terrestrial environments, are well known within the scientific community. With the previous thoughts in mind, an interactive symposium was held at the University of Maryland in October 1998. The purpose of the symposium was to review and critically evaluate our understanding of the effects of contaminants on terrestrial vertebrates at levels of organization above that of the individual. Invited background and technical presentations provided a common baseline of information for symposium participants. Discussion groups were then asked to critically evaluate the topics of two technical sessions. Several presentations of recent or ongoing research provided participants with examples of current approaches to assessments of the effects of contaminants on terrestrial vertebrates at the population or higher level of organization. The book consists of 10 chapters written by presenters at the symposium and three chapters conveying the reports of discussion group.

SETAC Special Publications Series.↗

Wetland modeling and information needs at Stillwater National Wildlife Refuge

The marshes in and around Stillwater National Wildlife Refuge (the Refuge) are extremely dynamic; expanding and contracting in size both seasonally, due to runoff and subsequent evapotranspiration, and over longer periods, due to climatic variation. The dynamic nature of these marshes results in a diversity of wetland habitats, which support a variety of migratory birds. To maintain this wetland diversity and control the loss of migratory bird habitat in the Lahontan Valley, the Refuge was established and currently manages a complex of marsh units. However, changes in the hydrology, and changes that will occur as a result of the Fallon Paiute-Shoshone and Truckee-Carson-Pyramid Lake Water Rights Settlement Act (Public Law 101-618, 104 Stat. 3389), greatly affect the Refuge's wetland management capability. In light of these changes, and the legal requirements associated with environmental impact assessments, the Refuge convened a workshop to discuss several aspects of wetland management in the Lahontan Valley. The workshop, described in this report, had three primary objectives: 1. discuss the types and relative proportions of primary wetland habitats that should be provided as described in the settlement act; 2. discuss wetland management models that might be developed to help manage these marshes under hydrologic regimes likely in the future; and 3. discuss future information and monitoring needs, including proposals for valley-wide biodiversity surveys, which would be helpful when considering withdrawn Bureau of Reclamation (BR) lands for possible incorporation into the Refuge. Several presentations at the beginning of the workshop provided a common basis for discussing these objectives. Refuge staff provided background on the history and past management. The Nature Conservatory discussed their role in the settlement act, proposals for valley-wide biodiversity surveys, and results of a literature review for Stillwater Marsh and the Lahontan Valley (Nachlinger 1993). Kay Fowler provided an historical context of changes in vegetation and waterbird use of the marshes based on her ethnography of the local Paiute Indians (Fowler 1993). Finally, Bob Elston discussed a model that predicts archaeological sites based on environmental variables (Raven and Elston 1989). The workshop was organized by staff from the Refuge and facilitated by the authors of this report. Participants included Ron Anglin, Bill Henry, Anne Janik, Cliff Creger, Fred Paveglio, and Mary Jo Elpers of the U.S. Fish and Wildlife Service (the Service); Jeff Baumgartner, Jan Nachlinger, Hope Humphries, and Graham Chisholm of The Nature Conservancy; David Yardas of the Environmental Defense Fund; David Robertson of Robertson Software, Inc.; Norm Saake, Terry Retterer, and Larry Neel of the Nevada Department of Wildlife; Lew Oring and Kay Fowler of the University of Nevada; and Robert Elston of Intermountain Research.

Report↗

Integrating count and detection–nondetection data to model population dynamics

There is increasing need for methods that integrate multiple data types into a single analytical framework as the spatial and temporal scale of ecological research expands. Current work on this topic primarily focuses on combining capture–recapture data from marked individuals with other data types into integrated population models. Yet, studies of species distributions and trends often rely on data from unmarked individuals across broad scales where local abundance and environmental variables may vary. We present a modeling framework for integrating detection–nondetection and count data into a single analysis to estimate population dynamics, abundance, and individual detection probabilities during sampling. Our dynamic population model assumes that site-specific abundance can change over time according to survival of individuals and gains through reproduction and immigration. The observation process for each data type is modeled by assuming that every individual present at a site has an equal probability of being detected during sampling processes. We examine our modeling approach through a series of simulations illustrating the relative value of count vs. detection–nondetection data under a variety of parameter values and survey configurations. We also provide an empirical example of the model by combining long-term detection–nondetection data (1995–2014) with newly collected count data (2015–2016) from a growing population of Barred Owl ( Strix varia ) in the Pacific Northwest to examine the factors influencing population abundance over time. Our model provides a foundation for incorporating unmarked data within a single framework, even in cases where sampling processes yield different detection probabilities. This approach will be useful for survey design and to researchers interested in incorporating historical or citizen science data into analyses focused on understanding how demographic rates drive population abundance.

Ecology↗

What is the (real) rate of soil health practice adoption? Making sense of three data sources

Conservation stakeholders looking to quantify the impact of their investments to increase soil health practice adoption over time often face challenges in interpreting practice adoption data due to discrepancies in language and results among data sources. Similarly, efforts to estimate environmental outcomes of practice adoption, such as water quality and greenhouse gas emissions, can vary depending on different practice adoption input data. To help make sense of different adoption data sources, we compared county-level adoption data for winter cover crops (WCC), no-till (NT), and reduced tillage (RT) in three areas of the United States with contrasting climates and production systems: central Illinois (CIL), southern Illinois (SIL), and western New York (WNY). We analyzed data available during 2015 through 2022 from the Operational Tillage Information System (OpTIS, remote sensing), US Census of Agriculture (AgCensus, a farmer survey), and, specifically in Illinois, the Illinois Soil Conservation Transect Survey (Transect, a roadside survey). The magnitude of differences between the datasets depended on the practice and geographic location. For example, OpTIS and AgCensus tillage data were much more similar in Illinois (average difference of less than 4 percentage points) compared to New York (average differences of 20 percentage points). Similarly, there was less variability and smaller differences between OpTIS and AgCensus WCC data in Illinois compared to WNY. AgCensus tended to report lower WCC adoption for Illinois and greater adoption in WNY compared to OpTIS. All data sources agreed that the rate of change in tillage practices is slow (mainly –1% to 1%) and that adoption of WCC is low (assuming linear growth, it could take nearly a century to reach 50% WCC adoption in CIL). Differences among the datasets were attributed to definitional inconsistencies for RT and NT and how WCC data were acquired. For example, the AgCensus asks if a WCC was planted, whereas OpTIS and Transect evaluate the presence of a standing WCC. Data sources also reflect different time periods (calendar years or crop years) and types of cropland assessed (corn [ Zea mays L.], soybean [ Glycine max {L.} Merr.], or all cropland). We propose two recommendations to improve interpretation and consistency: (1) a working group to harmonize definitions and protocols and develop educational materials for data users, and (2) a research effort that integrates different adoption data types and produces publicly available adoption data at HUC-10 and county scales. Such activities could help improve data access and utility for evidence-based conservation decision-making and enhance the accuracy of environmental models that rely on adoption data as input.

Journal of Soil and Water Conservation↗

Wildlife specimen collection, preservation, and shipment

Specimens are used to provide supporting information leading to the determination of the cause of disease or death in wildlife and for disease monitoring or surveillance. Commonly used specimens for wildlife disease investigations include intact carcasses, tissues from carcasses, euthanized or moribund animals, parasites, ingested food, feces, or environmental samples. Samples from live animals or the environment (e.g., contaminated feed) in the same vicinity as a mortality event also may be helpful. The type of specimen collected is determined by availability of samples and biological objectives. Multiple fresh, intact carcasses from affected species are the most useful in establishing a cause for a mortality event. Submission of entire carcasses allows observation of gross lesions and abnormalities, as well as disease testing of multiple tissues. Samples from live animals may be more appropriate when sick animals cannot be euthanized (e.g., threatened or endangered species) or for research and monitoring projects examining disease or agents circulating in apparently healthy animals or those not exhibiting clinical signs. Samples from live animals may include collections of blood, hair, feathers, feces, or ectoparasites, or samples obtained by swabbing lesions or orifices. Photographs and videos are useful additions for recording field and clinical signs and conveying conditions at the site. Collection of environmental samples (e.g., feces, water, feed, or soil) may be appropriate when animals cannot be captured for sampling or the disease agent may persist in the environment. If lethal collection is considered necessary, biologists should refer to the policies, procedures, and permit requirements of their institution/facility and the agency responsible for species management (U.S. Fish and Wildlife Service or State natural resource agency) prior to use in the field. If threatened or endangered species are found dead, or there is evidence of illegal take, field personal should contact local wildlife law enforcement authorities immediately and prior to handling the carcass. Prior to collecting samples, it is important to determine the capabilities and submission criteria of the laboratory receiving the samples. Some laboratories may specialize in a limited number of tests, be equipped to accept only certain types of tissues (instead of entire carcasses), or specialize in particular species or group of animals (e.g., reptiles, birds, mammals). Diagnostic laboratories have specific requirements regarding preparation, labeling, and shipping of samples. Adherence to these requirements helps ensure the usefulness of any submitted specimens. Although laboratories may vary in the cost and turnaround times for diagnostic tests, some laboratories may be able to prioritize samples and accommodate accelerated time frames if communicated at the time of submission. Keeping a prepacked kit with basic carcass-collection supplies, including a paper copy of the specimen history form (available for download from the Web sites of most diagnostic laboratories), in the office or vehicle will decrease the chances of forgetting an essential item and decrease response time for arriving at an event.

Techniques and Methods↗

Ecological effects of pinyon-juniper removal in the Western United States—A synthesis of scientific research, January 2014–March 2021

Executive Summary Increasing density of pinyon ( Pinus spp. ) and juniper ( Juniperus spp. ) woodlands (hereinafter “pinyon-juniper”), as well as expansion of these woodlands into adjacent shrublands and grasslands, has altered ecosystem function and wildlife habitat across large areas of the interior western United States. Although there are many natural and human-caused drivers of woodland infilling and expansion, restoration of sagebrush ( Artemisia spp. ) habitat through removal of pinyon-juniper is considered an urgent management objective in many locations, particularly in support of sagebrush-dependent wildlife species of conservation concern. In December 2020, the Bureau of Land Management (BLM) established the Pinyon-Juniper Management Categorical Exclusion (PJCX) to expedite the regulatory process for pinyon-juniper removal projects on public lands, largely intended to benefit mule deer ( Odocoileus hemionus ) and greater sage-grouse ( Centrocercus urophasianus ) habitats. During final preparation of this report, the BLM discontinued use of the PJCX (as of November, 2022), but the pinyon-juniper tree removal techniques assessed in this report are commonly used and understanding their effects remains relevant to land use planning. To address areas of uncertainty relative to potential ecological effects of the PJCX, we conducted a review of the peer-reviewed science literature to better understand the likely responses of vegetation, environmental (for example, soils), and wildlife variables to specific tree removal techniques permitted by the PJCX. In brief, the PJCX permitted removal of trees by either manual cutting, mechanical cutting, or mastication; allowed certain methods to redistribute or remove resulting tree biomass after treatment; and prohibited broadcast burning, roadbuilding, removal of old-growth, and seeding of non-native species. Specifically, we conducted our review to address the following questions: How will PJCX removal techniques affect plant communities, soils, and abiotic resources? How do these pinyon-juniper removal techniques affect wildlife communities, including both woodland- and sagebrush-dependent species? What are the potential ecological implications of different pinyon-juniper removal treatment types and implementation strategies (for example, treatment sizes) over time? What are the most important gaps in our scientific understanding of how treatments might affect targeted ecosystems over space and time (for example, potential effects of climate change)? To answer these questions, we considered studies related to pinyon-juniper ecosystems, focusing on research that occurred over a large portion of the interior western United States that is the primary focus of the PJCX. We also focused on papers published from 2014 onward, to avoid excessive overlap with other recent reviews on pinyon-juniper management effects. Using strict criteria, including only considering research that tested responses for statistical significance, we identified 48 papers that primarily examined treatment effects on vegetation and other environmental variables (1,709 responses), and 11 papers that addressed effects on wildlife (132 responses). Responses to the PJCX-permitted treatments were summarized as either positive (that is, a significant increase), negative (that is, a significant decrease), or non-significant (that is, no significant difference). Responses were assigned to categories (for example, Native Annual Grass/Forb Abundance) and hierarchical treatment levels. We found that there were large proportions of non-significant responses among all categories combined, with roughly half or more of all responses non-significant (48 percent for wildlife, 60 percent for vegetation-environmental), comparable to other recent systematic reviews of pinyon-juniper treatment effects. However, we also found that when there were significant responses, some important trends potentially emerged. Important undesirable outcomes included far more positive than negative responses of exotic grass and forb abundance among nearly all treatment types. Cutting treatments were also more likely to decrease biocrust cover and microbial activity. Potentially beneficial outcomes included mostly positive responses among sagebrush obligate species, including more positive than negative responses for mule deer and sage-grouse. Some treatment types (for example, mastication) also resulted in more positive than negative responses for native grasses and forbs (although, non-significant responses were the majority). We also highlighted many limitations of this review, including how responses often come from few studies, and how some response-treatment category combinations lack adequate response data. Moreover, the existing research is often insufficient to address many key questions about treatment effects, largely owing to short time-scales and limited spatial extents of observations, which do not match the size of treatments being implemented by land managers, nor capture long-term, post-treatment ecological dynamics. We also identify a lack of research that addresses key interactions that could undermine restoration objectives, including potential effects of climate change and grazing on post-treatment environments. Thus, we emphasize the importance of integrating these factors into future pinyon-juniper treatment research, and we stress the need for use of monitoring programs and research studies that partake in data collection and analysis over long durations and broad spatial scales.

Open-File Report↗

U.S. Geological Survey toxic Waste-Groundwater Contamination Program, fiscal year 1985

In fiscal year 1982, the U S Geological Survey began an interdisciplinary research thrust entitled Toxic Waste-Groundwater Contamination Program The objective of the thrust was to provide earth sciences information necessary to evaluate and mitigate existing groundwater contamination problems resulting from the planned or inadvertant disposal of wastes and from certain land-use practices, and to improve future waste disposal and land-use practices The program supports process-oriented and interdisciplinary field research, and regional groundwater quality studies This article provides an overview of the current (Fiscal Year 1985) activities of the Toxic Waste Program

Environmental Geology and Water Sciences↗

Benthic assemblages of mega epifauna on the Oregon continental margin

Environmental assessment studies are usually required by a country's administration before issuing permits for any industrial activities. One of the goals of such environmental assessment studies is to highlight species assemblages and habitat composition that could make the targeted area unique. A section of the Oregon continental slope that had not been previously explored was targeted for the deployment of floating wind turbines. We carried out an underwater video survey, using a towed camera sled, to describe its benthic assemblages. Organisms were identified to the lowest taxonomic level possible and assemblages described related to the nature of the seafloor a nd the depth. We highlighted six invertebrate assemblages and three fish assemblages. For the invertebrates within flat soft sediments areas we defined three different assemblages based on primarily depth: a broad mid-depth (98–315 m) assemblage dominated by red octopus , sea pens and pink shrimps; a narrower mid-depth (250–270 m) assemblage dominated by box crabs and various other invertebrates; and a deeper (310–600 m) assemblage dominated by sea urchins, sea anemones, various snail s and zoroasterid sea stars. The invertebrates on mixed sediments also were divided into three different assemblages: a shallow (~100 m deep) assemblage dominated by plumose sea anemones, broad mid-depth (170–370 m) assemblage dominated by sea cucumbers and various other invertebrates; and, again, a narrower mid-depth (230–270 m) assemblage, dominated by crinoids and encr usting invertebrates. For the fish, we identified a rockfish assemblage on coarse mixed sediments at 170–370 m and another fish assemblage on smaller mixed sediments within that depth range (250–370 m) dominated by thornyheads, poachers and flatfishes; and we identified a wide depth-range (98–600 m) fish assemblage on flat soft sediments dominated by flatfishes, eelpouts and thornyheads. Three of these assemblages (the two broad fish assemblages and the deep flat soft sediments invertebrate assemblage) seem to represent deeper examples of assemblages already known on the Oregon continental shelf, especially on soft sediments, while the assemblages in the pockmarks habitat (the narrower depth ranges) might be unique to the area. This diversity of assemblages in a relatively small section of the Oregon continental upper slope and shelf shows the importance of environmental assessment studies in helping limit future impacts of industrial activities on benthic communities.

Continental Shelf Research↗

Integrating scientific knowledge into large-scale restoration programs: the CALFED Bay-Delta Program experience

Integrating science into resource management activities is a goal of the CALFED Bay-Delta Program, a multi-agency effort to address water supply reliability, ecological condition, drinking water quality, and levees in the Sacramento-San Joaquin Delta of northern California. Under CALFED, many different strategies were used to integrate science, including interaction between the research and management communities, public dialogues about scientific work, and peer review. This paper explores ways science was (and was not) integrated into CALFED's management actions and decision systems through three narratives describing different patterns of scientific integration and application in CALFED. Though a collaborative process and certain organizational conditions may be necessary for developing new understandings of the system of interest, we find that those factors are not sufficient for translating that knowledge into management actions and decision systems. We suggest that the application of knowledge may be facilitated or hindered by (1) differences in the objectives, approaches, and cultures of scientists operating in the research community and those operating in the management community and (2) other factors external to the collaborative process and organization.

Environmental Science and Policy↗