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Climate change amplifies ongoing declines in sagebrush ecological integrity

Understanding how climate change will contribute to ongoing declines in sagebrush ecological integrity is critical for informing natural resource management, yet complicated by interactions with wildfire and biological invasions. Here, we assessed potential future changes in sagebrush ecological integrity under a range of scenarios using an individual plant-based simulation model, integrated with remotely sensed estimates of current sagebrush ecological integrity. The simulation model allowed us to estimate how climate change, wildfire, and invasive annuals interact to alter the potential abundance of key plant functional types that influence sagebrush ecological integrity: sagebrush, perennial grasses, and annual grasses. Our results suggest that climate driven reductions in sagebrush ecological integrity may occur over broader areas than increases in sagebrush ecological integrity. Declines in sagebrush ecological integrity were most likely in hot and dry regions while increases were more likely in cool and wet regions. Increases in wildfire probability, largely driven by increasing invasive annual grass abundance, resulted in projected declines in sagebrush abundance and sagebrush ecological integrity in some regions, particularly the Great Basin. The most common projected transitions in sagebrush habitat classification were declines from Core Sagebrush Area to Growth Opportunity Area and from Growth Opportunity Area to Other Rangeland Area. Responses varied considerably across projections from different global climate models, highlighting the importance of climate uncertainty. However, our projections tended to be robust in areas that currently have the highest sagebrush ecological integrity. Our results provide a long-term perspective on the vulnerability of sagebrush ecosystems to climate change and may inform geographic prioritization of conservation and restoration investments. These results suggest that ongoing threats, such as the continued invasion by annual grasses and increased wildfire frequency, are likely to be amplified by climate change, and imply that the current imbalance between capacity for conservation to address threats to sagebrush will grow as the climate warms.

Rangeland Ecology and Management↗

Methods for estimating peak-flow frequencies at ungaged sites in Montana based on data through water year 2011: Chapter F in Montana StreamStats

The U.S. Geological Survey (USGS), in cooperation with the Montana Department of Natural Resources and Conservation, completed a study to update methods for estimating peak-flow frequencies at ungaged sites in Montana based on peak-flow data at streamflow-gaging stations through water year 2011. The methods allow estimation of peak-flow frequencies (that is, peak-flow magnitudes, in cubic feet per second, associated with annual exceedance probabilities of 66.7, 50, 42.9, 20, 10, 4, 2, 1, 0.5, and 0.2 percent) at ungaged sites. The annual exceedance probabilities correspond to 1.5-, 2-, 2.33-, 5-, 10-, 25-, 50-, 100-, 200-, and 500-year recurrence intervals, respectively. Regional regression analysis is a primary focus of Chapter F of this Scientific Investigations Report, and regression equations for estimating peak-flow frequencies at ungaged sites in eight hydrologic regions in Montana are presented. The regression equations are based on analysis of peak-flow frequencies and basin characteristics at 537 streamflow-gaging stations in or near Montana and were developed using generalized least squares regression or weighted least squares regression. All of the data used in calculating basin characteristics that were included as explanatory variables in the regression equations were developed for and are available through the USGS StreamStats application (http://water.usgs.gov/osw/streamstats/) for Montana. StreamStats is a Web-based geographic information system application that was created by the USGS to provide users with access to an assortment of analytical tools that are useful for water-resource planning and management. The primary purpose of the Montana StreamStats application is to provide estimates of basin characteristics and streamflow characteristics for user-selected ungaged sites on Montana streams. The regional regression equations presented in this report chapter can be conveniently solved using the Montana StreamStats application. Selected results from this study were compared with results of previous studies. For most hydrologic regions, the regression equations reported for this study had lower mean standard errors of prediction (in percent) than the previously reported regression equations for Montana. The equations presented for this study are considered to be an improvement on the previously reported equations primarily because this study (1) included 13 more years of peak-flow data; (2) included 35 more streamflow-gaging stations than previous studies; (3) used a detailed geographic information system (GIS)-based definition of the regulation status of streamflow-gaging stations, which allowed better determination of the unregulated peak-flow records that are appropriate for use in the regional regression analysis; (4) included advancements in GIS and remote-sensing technologies, which allowed more convenient calculation of basin characteristics and investigation of many more candidate basin characteristics; and (5) included advancements in computational and analytical methods, which allowed more thorough and consistent data analysis. This report chapter also presents other methods for estimating peak-flow frequencies at ungaged sites. Two methods for estimating peak-flow frequencies at ungaged sites located on the same streams as streamflow-gaging stations are described. Additionally, envelope curves relating maximum recorded annual peak flows to contributing drainage area for each of the eight hydrologic regions in Montana are presented and compared to a national envelope curve. In addition to providing general information on characteristics of large peak flows, the regional envelope curves can be used to assess the reasonableness of peak-flow frequency estimates determined using the regression equations.

Montana↗

Between hot rocks and dry places: The status of the Dixie Valley toad

In Dixie Valley, Nevada, an isolated population of toads has been the subject of proactive conservation measures by the Nevada Department of Wildlife and the U.S. Fish and Wildlife Service since 2008 due to concerns about potential habitat degradation resulting from exploitation of nearby geothermal energy resources. These toads appear to belong within the Anaxyrus boreas species group but are commonly referred to as Dixie Valley toads (DVTs). The DVT is currently confined to an extremely narrow habitat range (370 ha) that is geographically isolated from any other A. boreas population. In this study, genetic variations in mitochondrial genes and 11 microsatellite loci were used to assess the affinities of DVTs in relation to members of the A. boreas species group. We compared results from DVTs with previously published data spanning much of the range of A. boreas in the United States and new data from a nearby toad population within Dixie Valley. Data from both mitochondrial DNA and microsatellites placed DVTs inside the A. boreas species group. In particular, DVTs fell into a cluster of A. boreas from Washington and California, along with other species from the A. boreas species group, namely A. nelsoni, A. canorus, and A. exsul. Genetic differentiation of DVTs was lowest between A. boreas populations in Washington and California. However, allele frequencies were significantly different between DVTs and all other populations, including a nearby locality within Dixie Valley. This genetic differentiation, along with the DVT's geographical isolation and restricted habitat, warrants recognition of the DVT as a distinct management unit.

Nevada↗

Seasonal variation in environmental and behavioural drivers of annual-cycle habitat selection in a nearshore seabird

Aim Conservation of highly mobile species often requires identifying locations or time periods of elevated vulnerability. Since both extrinsic habitat conditions and intrinsic behavioural and energetic requirements contribute to habitat use at the landscape scale, identifying spatial or temporal foci for conservation intervention requires understanding how habitat needs and distributions vary across the annual cycle. Nearshore marine birds inhabit highly dynamic systems and have widely varying habitat needs among breeding, moult and non-breeding seasons, making them a useful case study for testing the relative contributions of individual resource requirements and environmental conditions in driving annual variation in distribution patterns. Location Northern Gulf of Mexico (USA). Methods We tracked Brown Pelicans using bird-borne GPS transmitters and used a combination of Hidden Markov Models and multivariate selectivity analysis to compare the characteristics of preferred resident habitats used throughout the annual cycle. Results Habitat selection was driven by dynamic oceanographic variables during all stages of the annual cycle. Key habitat characteristics varied between seasons, with particularly strong selection on high productivity, low temperature and low salinity during the breeding and post-breeding moult periods. The post-breeding moult also corresponded to a time of limited availability of preferred habitats, resulting in extensive overlap between breeding populations from different administrative planning areas. Main conclusions By incorporating seasonal variation in individual behaviour and resource requirements into our habitat models, we were able to identify the post-breeding moult as a period of high selectivity and restricted availability of preferred habitats for Brown Pelicans. Locations meeting preferred habitat criteria during the post-breeding period, particularly estuarine habitats with high productivity and low salinity, would therefore be high-value targets for management and restoration. Our analysis demonstrates the importance of accounting for both intrinsic and extrinsic temporal variation in evaluating habitat selection.

Alabama, Florida, Louisiana, Mississippi, Texas↗

The influence of floral resources and microclimate on pollinator visitation in an agro-ecosystem

As agriculture expands to meet the needs of a growing global population, natural ecosystems are threatened by deforestation and habitat fragmentation. Tropical agroforestry systems offer a sustainable alternative to traditional agriculture by providing food for production while also supporting biodiversity and ecosystem services. Previous studies have shown that these systems may even improve crop pollination, but the mechanisms of how these improvements occur are still poorly understood. Using coffee as a focal crop, we explored how microclimatic conditions affected nectar traits (sugar and caffeine concentration) important for pollinator visitation. We also studied how microclimate, floral traits, floral availability at the coffee plant level, availability of floral resources provided by other plant species in the agroecosystem (neighborhood floral availability), and the presence of other bees affected the amount of time bees spent foraging on coffee flowers and the proportion of coffee pollen carried on their bodies. We explored these factors using the two dominant coffee species farmed on Puerto Rico, Coffea canephora and C. arabica , under sun and shade management. We found that high nectar sugar concentration and temperature were important predictors of short floral visits (<15 seconds), while increased number of bees and open coffee flowers were important predictors of longer floral visits (16-180 seconds). High nectar caffeine concentration was an important predictor of longer visits on C. arabica flowers while the opposite was observed for C. canephora flowers. For both species, high coffee floral availability was the main predicting factor for the proportion of coffee pollen on the bees bodies. Surprisingly, neither neighborhood floral availability nor the type of coffee plantation (agroforest/shade or sun) were important predictors of bee visitation. These results suggest non-coffee flowering plants in coffee plantations were neither competitors nor facilitators of coffee plantes for pollinators. Additionally, most of the bees surveyed were carrying 80% pollen from one species ( C. arabica or C. canephora ), likely resulting in little heterospecific pollen deposition between Coffea and non-Coffea flowers. Shade trees in coffee plantations do not detract from pollinator visitation to coffee flowers, suggesting that the provision of multiple ecological and wildlife conservation benefits by shade trees is not in conflict with a growers ability to maximize the benefits of insect pollination on fruit production.

Adjuntas Lares,Las Marias, Maricao, Puerto Rico Ut↗

Impacts of mesquite distribution on seasonal space use of lesser prairie-chickens

Loss of native grasslands by anthropogenic disturbances has reduced availability and connectivity of habitat for many grassland species. A primary threat to contiguous grasslands is the encroachment of woody vegetation, which is spurred by disturbances that take on many forms from energy development, fire suppression, and grazing. These disturbances are exacerbated by natural- and human-driven cycles of changes in climate punctuated by drought and desertification conditions. Encroachment of honey mesquite (Prosopis glandulosa) into the prairies of southeastern New Mexico has potentially limited habitat for numerous grassland species, including lesser prairie-chickens (Tympanuchus pallidicinctus) . To determine the magnitude of impacts of distribution of mesquite and how lesser prairie-chickens respond to mesquite presence on the landscape in southeastern New Mexico, we evaluated seasonal space use of lesser prairie-chickens in the breeding and nonbreeding seasons. We derived several remotely sensed spatial metrics to characterize the distribution of mesquite. We then used these data to create population-level resource utilization functions and predict intensity of use of lesser prairie-chickens across our study area. Home ranges were smaller in the breeding season compared with the nonbreeding season; however, habitat use was similar across seasons. During both seasons, lesser prairie-chickens used areas closer to leks and largely avoided areas with mesquite. Relative to the breeding season, during the nonbreeding season habitat use suggested a marginal increase in mesquite within areas of low intensity of use, yet aversion to mesquite was strong in areas of medium to high intensity of use. To our knowledge, our study is the first to demonstrate a negative behavioral response by lesser prairie-chickens to woody encroachment in native grasslands. To mitigate one of the possible limiting factors for lesser prairie-chickens, we suggest future conservation strategies be employed by land managersto reduce mesquite abundance in the southern portion of their current range.

New Mexico↗

The impact of runoff generation mechanisms on the location of critical source areas

Identifying phosphorus (P) source areas and transport pathways is a key step in decreasing P loading to natural water systems. This study compared the effects of two modeled runoff generation processes - saturation excess and infiltration excess - on total phosphorus (TP) and soluble reactive phosphorus (SRP) concentrations in 10 catchment streams of a Catskill mountain watershed in southeastern New York. The spatial distribution of runoff from forested land and agricultural land was generated for both runoff processes; results of both distributions were consistent with Soil Conservation Service-Curve Number (SCS-CN) theory. These spatial runoff distributions were then used to simulate stream concentrations of TP and SRP through a simple equation derived from an observed relation between P concentration and land use; empirical results indicate that TP and SRP concentrations increased with increasing percentage of agricultural land. Simulated TP and SRP stream concentrations predicted for the 10 catchments were strongly affected by the assumed runoff mechanism. The modeled TP and SRP concentrations produced by saturation excess distribution averaged 31 percent higher and 42 percent higher, respectively, than those produced by the infiltration excess distribution. Misrepresenting the primary runoff mechanism could not only produce erroneous concentrations, it could fail to correctly locate critical source areas for implementation of best management practices. Thus, identification of the primary runoff mechanism is critical in selection of appropriate models in the mitigation of nonpoint source pollution. Correct representation of runoff processes is also critical in the future development of biogeochemical transport models, especially those that address nutrient fluxes.

Journal of the American Water Resources Associatio↗

U.S. Geological Survey science for the Wyoming Landscape Conservation Initiative—2018 annual report

The Wyoming Landscape Conservation Initiative (WLCI) was established in 2007 as a collaborative interagency partnership to develop and implement science-based conservation actions. During the past 11 years, partners from U.S. Geological Survey (USGS), State and Federal land management agencies, universities, and the public have collaborated to implement a long-term (more than 10 years) science-based program that assesses and enhances the quality and quantity of wildlife habitats in the southwest Wyoming region while facilitating responsible development. The USGS WLCI Science Team completes scientific research and develops tools that inform and support WLCI partner planning, decision making, and on-the-ground management actions. In fiscal year 2018, the USGS initiated 3 new projects and continued efforts on 21 ongoing science and web-development projects. The first new project was initiated to support Secretarial Order 3362 which calls on the USGS to assist Western States in mapping big-game migration corridors and developing new mapping tools. During 2018, the USGS hosted a workshop in Laramie, Wyoming, which included more than 70 State and Federal wildlife experts from Colorado, New Mexico, Texas, and Wyoming. Most of the mapping and migration tool curricula used in the workshop were derived from prior WLCI studies and mapping efforts of big-game migration movement in habitats undergoing large-scale energy development. The second new project was in response for WLCI partners to better understand sedimentation and hydrogeomorphic processes in a cold-desert headwater and the third new project was designed to improve our approach for people to access, manage, and analyze WLCI data and WLCI resource information. The USGS published 18 products (including peer-reviewed journal articles, USGS series publications, and data releases) and provided more than a dozen professional oral and poster presentations at scientific meetings and numerous informal presentations to WLCI partners at meetings and workshops. This report summarizes the objectives and status of each project and highlights the USGS 2018 accomplishments and products.

Wyoming↗

Species distribution modeling in regions of high need and limited data: waterfowl of China

Background A number of conservation and societal issues require understanding how species are distributed on the landscape, yet ecologists are often faced with a lack of data to develop models at the resolution and extent desired, resulting in inefficient use of conservation resources. Such a situation presented itself in our attempt to develop waterfowl distribution models as part of a multi-disciplinary team targeting the control of the highly pathogenic H5N1 avian influenza virus in China. Methods Faced with limited data, we built species distribution models using a habitat suitability approach for China’s breeding and non-breeding (hereafter, wintering) waterfowl. An extensive review of the literature was used to determine model parameters for habitat modeling. Habitat relationships were implemented in GIS using land cover covariates. Wintering models were validated using waterfowl census data, while breeding models, though developed for many species, were only validated for the one species with sufficient telemetry data available. Results We developed suitability models for 42 waterfowl species (30 breeding and 39 wintering) at 1 km resolution for the extent of China, along with cumulative and genus level species richness maps. Breeding season models showed highest waterfowl suitability in wetlands of the high-elevation west-central plateau and northeastern China. Wintering waterfowl suitability was highest in the lowland regions of southeastern China. Validation measures indicated strong performance in predicting species presence. Comparing our model outputs to China’s protected areas indicated that breeding habitat was generally better covered than wintering habitat, and identified locations for which additional research and protection should be prioritized. Conclusions These suitability models are the first available for many of China’s waterfowl species, and have direct utility to conservation and habitat planning and prioritizing management of critically important areas, providing an example of how this approach may aid others faced with the challenge of addressing conservation issues with little data to inform decision making.

Avian Research↗

Identification of management thresholds of urban development in support of aquatic biodiversity conservation

Urbanization degrades stream ecosystems and causes loss of bodiversity. Using benthic macroinvertebrates as a surragate for overall aquatic diversity, we conducted a series of analytical approaches to derive management thresholds of urban development designed to link ecological responses to the primary management goal of protecting aquatic diversity in streams within the Delaware Water Gap National Recreation Area (USA). We were particularly interested in identifying urban thresholds that represent the early phases of biological impact to support cost-effect management and mitigation interventions. We used taxa-specific modeling approaches within a spatially-explicit framework to develop sensitive thresholds that anticipate and demark the onset of taxa loss and provide a foundation for investigating alternative mechanisms driving biological change. We identified an early-warning threshold of 1.5% urban development in the contributing watershed where 15% of the 107 taxa evaluated exhibited significant declines in abundance but prior to any evidence of extirpation, and an extirpation threshold of 6% urban development where nearly 3% of taxa are likely to be lost locally. These thresholds of urban development are substantially lower than response thresholds typically reported based upon traditional modeling approaches that rely on spatially-implicit summaries of land cover and univariate metrics or composite indices. An analysis of ecological and functional trait composition of taxa determined to be sensitive suggests that reduced storage of benthic organic matter caused by flashier hydrographs may be the primary mechanism driving biological changes observed at relatively low levels of urbanization. Although the extent to which stream communities respond to stressor gradients in a non-linear fashion continues to be debated, we show that threshold approaches can be applied in support of aquatic resource management irrespective of whether or not stress-response functions are non-linear.

New Jersey, Pennsylvania↗

Assessing climate-change risks to cultural and natural resources in the Yakima River Basin, Washington, USA

We provide an overview of an interdisciplinary special issue that examines the influence of climate change on people and fish in the Yakima River Basin, USA. Jenni et al. (2013) addresses stakeholder-relevant climate change issues, such as water availability and uncertainty, with decision analysis tools. Montag et al. (2014) explores Yakama Tribal cultural values and well-being and their incorporation into the decision-making process. Graves and Maule (2012) simulates effects of climate change on stream temperatures under baseline conditions (1981–2005) and two future climate scenarios (increased air temperature of 1 °C and 2 °C). Hardiman and Mesa (2013) looks at the effects of increased stream temperatures on juvenile steelhead growth with a bioenergetics model. Finally, Hatten et al. (2013) examines how changes in stream flow will affect salmonids with a rule-based fish habitat model. Our simulations indicate that future summer will be a very challenging season for salmonids when low flows and high water temperatures can restrict movement, inhibit or alter growth, and decrease habitat. While some of our simulations indicate salmonids may benefit from warmer water temperatures and increased winter flows, the majority of simulations produced less habitat. The floodplain and tributary habitats we sampled are representative of the larger landscape, so it is likely that climate change will reduce salmonid habitat potential throughout particular areas of the basin. Management strategies are needed to minimize potential salmonid habitat bottlenecks that may result from climate change, such as keeping streams cool through riparian protection, stream restoration, and the reduction of water diversions. An investment in decision analysis and support technologies can help managers understand tradeoffs under different climate scenarios and possibly improve water and fish conservation over the next century.

Washington↗

Managing harvest and habitat as integrated components

In 2007, several important initiatives in the North American waterfowl management community called for an integrated approach to habitat and harvest management. The essence of the call for integration is that harvest and habitat management affect the same resources, yet exist as separate endeavours with very different regulatory contexts. A common modelling framework could help these management streams to better understand their mutual effects. Particularly, how does successful habitat management increase harvest potential? Also, how do regional habitat programmes and large-scale harvest strategies affect continental population sizes (a metric used to express habitat goals)? In the ensuing five years, several projects took on different aspects of these challenges. While all of these projects are still on-going, and are not yet sufficiently developed to produce guidance for management decisions, they have been influential in expanding the dialogue and producing some important emerging lessons. The first lesson has been that one of the more difficult aspects of integration is not the integration across decision contexts, but the integration across spatial and temporal scales. Habitat management occurs at local and regional scales. Harvest management decisions are made at a continental scale. How do these actions, taken at different scales, combine to influence waterfowl population dynamics at all scales? The second lesson has been that consideration of the interface of habitat and harvest management can generate important insights into the objectives underlying the decision context. Often the objectives are very complex and trade-off against one another. The third lesson follows from the second &ndash; if an understanding of the fundamental objectives is paramount, there is no escaping the need for a better understanding of human dimensions, specifically the desires of hunters and nonhunters and the role they play in conservation. In the end, the compelling question is how to better understand, guide and justify decisions about conservation investments in waterfowl management. Future efforts to integrate harvest and habitat management will include completion of the species-specific case-studies, initiation of policy discussions around how to integrate the decision contexts and governing institutions, and possible consideration of a new level of integration &ndash; integration of harvest and habitats management decisions across waterfowl stocks.

Wildfowl↗

Spatial and temporal variation in marine birds in the north Gulf of Alaska: The value of marine bird monitoring within Gulf Watch Alaska

Birds offer useful insights into marine ecosystems. Marine birds are responsive to spatial and temporal variation in the environment, that often originates with fluctuations in oceanographic and climatic drivers and permeates up through food webs to conspicuous top predators such as seabirds (Coyle and Pinchuk 2005, Speckman et al. 2005, Gonzales-Solis et al. 2009, Cushing et al., this report). In that way, marine birds are excellent assimilators, samplers, and indicators of the status of marine environments (Montevecchi 1993, Piatt et al. 2007b, Zador et al. 2013). Marine bird responses to dynamic marine ecosystems can be detected in a variety of metrics, including abundance, distribution, and productivity. For example, in the northern Gulf of Alaska (GOA), decadal-scale variation in oceanographic conditions has been associated with dramatic shifts in prey composition and abundance (Anderson and Piatt 1999). In turn, these shifts were more closely correlated with changes in abundance of fish-eating birds of Prince William Sound (PWS), such as pigeon guillemots (Golet et al. 2002) and marbled and Kittlitz’s murrelets (Kuletz et al. 2011a, 2011b), than in the abundance of species that primarily consume plankton or benthic prey (Agler et al. 1999, Cushing et al., this report). Birds also are responsive to anthropogenic influences in marine environments, including commercial fishing, contamination, introduction of non-native species, coastal development, offshore resource extraction, and vessel traffic. A major anthropogenic perturbation in the northern GOA was the 1989 Exxon Valdez oil spill, in which marine birds suffered high immediate mortality (Piatt and Ford 1996). Additionally, several species showed long-term evidence of declines in the oiled areas of PWS (Lance et al. 2001), as well as impacts to reproductive success years later (Golet et al. 2002). However, the degree of direct impact and vulnerability to chronic injury, which was related to exposure to lingering oil, varied widely among species (see Esler et al., this report). Research and monitoring directed at documenting the timelines and mechanisms of wildlife recovery following the Exxon Valdez oil spill led to an unprecedented understanding of oil spill effects on marine birds, as well as previously unknown information about marine bird ecology in the northern GOA. Quantifying effects of anthropogenic influences requires an understanding of variation in marine bird abundance, distribution, and productivity, in relation to naturally occurring dynamics in marine environments continued marine bird work as part of Gulf Watch Alaska will facilitate this. In addition to their value as indicators of marine conditions and anthropogenic influences, marine birds are protected under the Migratory Bird Treaty Act and are managed by the U.S. Fish and Wildlife Service (USFWS). Marine birds have high societal value from a wide variety of interests (e.g., tourism, bird watching, hunting, mythology), and are an important source of subsistence foods in Alaska (Naves and Braem 2014). Because of the conservation interest in marine birds, as well as their value for indicating the status of marine ecosystems, monitoring of marine birds is an important component of many ocean monitoring programs, including Gulf Watch Alaska.

Alaska↗

Conjunctive-use optimization model and sustainable-yield estimation for the Sparta aquifer of southeastern Arkansas and north-central Louisiana

Conjunctive-use optimization modeling was done to assist water managers and planners by estimating the maximum amount of ground water that hypothetically could be withdrawn from wells within the Sparta aquifer indefinitely without violating hydraulic-head or stream-discharge constraints. The Sparta aquifer is largely a confined aquifer of regional importance that comprises a sequence of unconsolidated sand units that are contained within the Sparta Sand. In 2000, more than 35.4 million cubic feet per day (Mft3/d) of water were withdrawn from the aquifer by more than 900 wells, primarily for industry, municipal supply, and crop irrigation in Arkansas. Continued, heavy withdrawals from the aquifer have caused several large cones of depression, lowering hydraulic heads below the top of the Sparta Sand in parts of Union and Columbia Counties and several areas in north-central Louisiana. Problems related to overdraft in the Sparta aquifer can result in increased drilling and pumping costs, reduced well yields, and degraded water quality in areas of large drawdown. A finite-difference ground-water flow model was developed for the Sparta aquifer using MODFLOW, primarily in eastern and southeastern Arkansas and north-central Louisiana. Observed aquifer conditions in 1997 supported by numerical simulations of ground-water flow show that continued pumping at withdrawal rates representative of 1990 - 1997 rates cannot be sustained indefinitely without causing hydraulic heads to drop substantially below the top of the Sparta Sand in southern Arkansas and north-central Louisiana. Areas of ground-water levels below the top of the Sparta Sand have been designated as Critical Ground-Water Areas by the State of Arkansas. A steady-state conjunctive-use optimization model was developed to simulate optimized surface-water and ground-water withdrawals while maintaining hydraulic-head and streamflow constraints, thus determining the 'sustainable yield' for the aquifer. Initial attempts to estimate sustainable yield using simulated 1997 hydraulic heads as initial heads in Scenario 1 and 100 percent of the baseline 1990-1997 withdrawal rate as the lower specified limit in Scenario 2 led to infeasible results. Sustainable yield was estimated successfully for scenario 3 with three variations on the upper limit of withdrawal rates. Additionally, ground-water withdrawals in Union County were fixed at 35.6 percent of the baseline 1990-1997 withdrawal rate in Scenario 3. These fixed withdrawals are recognized by the Arkansas Soil and Water Conservation Commission to be sustainable as determined in a previous study. The optimized solutions maintained hydraulic heads at or above the top of the Sparta Sand (except in the outcrop areas where unconfined conditions occur) and streamflow within the outcrop areas was maintained at or above minimum levels. Scenario 3 used limits of 100, 150, and 200 percent of baseline 1990-1997 withdrawal rates for the upper specified limit on 1,119 withdrawal decision variables (managed wells) resulting in estimated sustainable yields ranging from 11.6 to 13.2 Mft3/d in Arkansas and 0.3 to 0.5 Mft3/d in Louisiana. Assuming the total 2 Conjunctive-Use Optimization Model and Sustainable-Yield Estimation for the Sparta Aquifer of Southeastern Arkansas and North-Central Louisiana water demand is equal to the baseline 1990-1997 withdrawal rates, the sustainable yields estimated from the three scenarios only provide 52 to 59 percent of the total ground-water demand for Arkansas; the remainder is defined as unmet demand that could be obtained from large, sustainable surface-water withdrawals.

Water-Resources Investigations Report↗

A multiscale perspective for improving conservation of Conchos pupfish

Desert spring systems of the American southwest hold high local fish endemism and are ranked among the most threatened ecosystems in the world. The prioritization of conservation resources to protect species living within these arid landscapes requires knowledge of species abundance and distribution. The plight of Conchos pupfish ( Cyprinodon eximius ) is representative of freshwater fishes the world over, including population extirpations caused by human poisoning of streams and reservoir construction, to the extent that the species was once considered extinct in the USA. We developed a distance-sampling framework to monitor Conchos pupfish abundance and coupled this approach with species distribution modeling to guide conservation actions. Our multiscale approach included surveying abundances within 5-m transects at three reaches of the Devils River, where the last known USA populations persist. We combined this fine-scale analysis with species distribution modeling for stream segments across the range of the species in Mexico and USA. Modeling revealed Conchos pupfish abundance among transects was negatively correlated with current velocity and detection was negatively correlated with water depth. Estimated abundance at a reach where the species was previously reintroduced was greater than other reaches combined in November 2019, lowest in March 2021 when reach water levels were very low, then equivalent with other reaches by October 2021 after water returned to the reach. Modeled Conchos pupfish distribution illustrated a high probability of occurrence on the periphery of the species' overall range within Texas, USA and broadly across Chihuahua, Mexico, where proposed protected areas might benefit the species. Our study provides conservation guidance by establishing (1) baseline and trajectory values for abundance, (2) transect locations where abundances might be managed within existing protected areas, (3) reaches where high abundances could be used for future repatriation, and (4) stream segments where future surveys might be conducted to assess conservation opportunities.

Animal Conservation↗

Forecasting the combined effects of anticipated climate change and agricultural conservation practices on fish recruitment dynamics in Lake Erie

Many aquatic ecosystems are experiencing multiple anthropogenic stressors that threaten their ability to support ecologically and economically important fish species. Two of the most ubiquitous stressors are climate change and non‐point source nutrient pollution. Agricultural conservation practices (ACPs, i.e. farming practices that reduce runoff, prevent erosion, and curb excessive nutrient loading) offer a potential means to mitigate the negative effects of non‐point source pollution on fish populations. However, our understanding of how ACP implementation amidst a changing climate will affect fish production in large ecosystems that receive substantial upstream sediment and nutrient inputs remains incomplete. Towards this end, we explored how anticipated climate change and the implementation of realistic ACPs might alter the recruitment dynamics of three fish populations (native walleye Sander vitreus and yellow perch Perca flavescens and invasive white perch Morone americana ) in the highly productive, dynamic west basin of Lake Erie. We projected future (2020–2065) recruitment under different combinations of anticipated climate change ( n = 2 levels) and ACP implementation ( n = 4 levels) in the western Lake Erie catchment using predictive biological models driven by forecasted winter severity, spring warming rate, and Maumee River total phosphorus loads that were generated from linked climate, catchment‐hydrology, and agricultural‐practice‐simulation models. In general, our models projected reduced walleye and yellow perch recruitment whereas invasive white perch recruitment was projected to remain stable or increase relative to the recent past. Our modelling also suggests the potential for trade‐offs, as ACP implementation was projected to reduce yellow perch recruitment with anticipated climate change. Overall, our study presents a useful modelling framework to forecast fish recruitment in Lake Erie and elsewhere, as well as offering projections and new avenues of research that could help resource management agencies and policy‐makers develop adaptive and resilient management strategies in the face of anticipated climate and land‐management change.

Michigan, Ohio, Indiana↗

Establishing the foundation for the global observing system for marine life

Maintaining healthy, productive ecosystems in the face of pervasive and accelerating human impacts including climate change requires globally coordinated and sustained observations of marine biodiversity. Global coordination is predicated on an understanding of the scope and capacity of existing monitoring programs, and the extent to which they use standardized, interoperable practices for data management. Global coordination also requires identification of gaps in spatial and ecosystem coverage, and how these gaps correspond to management priorities and information needs. We undertook such an assessment by conducting an audit and gap analysis from global databases and structured surveys of experts. Of 371 survey respondents, 203 active, long-term (>5 years) observing programs systematically sampled marine life. These programs spanned about 7% of the ocean surface area, mostly concentrated in coastal regions of the United States, Canada, Europe, and Australia. Seagrasses, mangroves, hard corals, and macroalgae were sampled in 6% of the entire global coastal zone. Two-thirds of all observing programs offered accessible data, but methods and conditions for access were highly variable. Our assessment indicates that the global observing system is largely uncoordinated which results in a failure to deliver critical information required for informed decision-making such as, status and trends, for the conservation and sustainability of marine ecosystems and provision of ecosystem services. Based on our study, we suggest four key steps that can increase the sustainability, connectivity and spatial coverage of biological Essential Ocean Variables in the global ocean: (1) sustaining existing observing programs and encouraging coordination among these; (2) continuing to strive for data strategies that follow FAIR principles (findable, accessible, interoperable, and reusable); (3) utilizing existing ocean observing platforms and enhancing support to expand observing along coasts of developing countries, in deep ocean basins, and near the poles; and (4) targeting capacity building efforts. Following these suggestions could help create a coordinated marine biodiversity observing system enabling ecological forecasting and better planning for a sustainable use of ocean resources.

Frontiers in Marine Science↗

Reducing nitrogen export from the corn belt to the Gulf of Mexico: agricultural strategies for remediating hypoxia

SPAtially Referenced Regression on Watershed models developed for the Upper Midwest were used to help evaluate the nitrogen-load reductions likely to be achieved by a variety of agricultural conservation practices in the Upper Mississippi-Ohio River Basin (UMORB) and to compare these reductions to the 45% nitrogen-load reduction proposed to remediate hypoxia in the Gulf of Mexico (GoM). Our results indicate that nitrogen-management practices (improved fertilizer management and cover crops) fall short of achieving this goal, even if adopted on all cropland in the region. The goal of a 45% decrease in loads to the GoM can only be achieved through the coupling of nitrogen-management practices with innovative nitrogen-removal practices such as tile-drainage treatment wetlands, drainage&ndash;ditch enhancements, stream-channel restoration, and floodplain reconnection. Combining nitrogen-management practices with nitrogen-removal practices can dramatically reduce nutrient export from agricultural landscapes while minimizing impacts to agricultural production. With this approach, it may be possible to meet the 45% nutrient reduction goal while converting less than 1% of cropland in the UMORB to nitrogen-removal practices. Conservationists, policy makers, and agricultural producers seeking a workable strategy to reduce nitrogen export from the Corn Belt will need to consider a combination of nitrogen-management practices at the field scale and diverse nitrogen-removal practices at the landscape scale.

Ohio River Basin, Upper Mississippi River Basin↗