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Testing statistical self-similarity in the topology of river networks

Recent work has demonstrated that the topological properties of real river networks deviate significantly from predictions of Shreve's random model. At the same time the property of mean self-similarity postulated by Tokunaga's model is well supported by data. Recently, a new class of network model called random self-similar networks (RSN) that combines self-similarity and randomness has been introduced to replicate important topological features observed in real river networks. We investigate if the hypothesis of statistical self-similarity in the RSN model is supported by data on a set of 30 basins located across the continental United States that encompass a wide range of hydroclimatic variability. We demonstrate that the generators of the RSN model obey a geometric distribution, and self-similarity holds in a statistical sense in 26 of these 30 basins. The parameters describing the distribution of interior and exterior generators are tested to be statistically different and the difference is shown to produce the well-known Hack's law. The inter-basin variability of RSN parameters is found to be statistically significant. We also test generator dependence on two climatic indices, mean annual precipitation and radiative index of dryness. Some indication of climatic influence on the generators is detected, but this influence is not statistically significant with the sample size available. Finally, two key applications of the RSN model to hydrology and geomorphology are briefly discussed.

Journal of Geophysical Research F: Earth Surface↗

Decadal-scale hotspot methane ebullition within lakes following abrupt permafrost thaw

Thermokarst lakes accelerate deep permafrost thaw and the mobilization of previously frozen soil organic carbon. This leads to microbial decomposition and large releases of carbon dioxide (CO 2 ) and methane (CH 4 ) that enhance climate warming. However, the time scale of permafrost-carbon emissions following thaw is not well known but is important for understanding how abrupt permafrost thaw impacts climate feedback. We combined field measurements and radiocarbon dating of CH 4 ebullition with (a) an assessment of lake area changes delineated from high-resolution (1–2.5 m) optical imagery and (b) geophysical measurements of thaw bulbs (taliks) to determine the spatiotemporal dynamics of hotspot-seep CH 4 ebullition in interior Alaska thermokarst lakes. Hotspot seeps are characterized as point-sources of high ebullition that release 14 C-depleted CH 4 from deep (up to tens of meters) within lake thaw bulbs year-round. Thermokarst lakes, initiated by a variety of factors, doubled in number and increased 37.5% in area from 1949 to 2009 as climate warmed. Approximately 80% of contemporary CH 4 hotspot seeps were associated with this recent thermokarst activity, occurring where 60 years of abrupt thaw took place as a result of new and expanded lake areas. Hotspot occurrence diminished with distance from thermokarst lake margins. We attribute older 14 C ages of CH 4 released from hotspot seeps in older, expanding thermokarst lakes ( 14 C CH4 20 079 ± 1227 years BP, mean ± standard error (s.e.m.) years) to deeper taliks (thaw bulbs) compared to younger 14 C CH4 in new lakes ( 14 C CH4 8526 ± 741 years BP) with shallower taliks. We find that smaller, non-hotspot ebullition seeps have younger 14 C ages (expanding lakes 7473 ± 1762 years; new lakes 4742 ± 803 years) and that their emissions span a larger historic range. These observations provide a first-order constraint on the magnitude and decadal-scale duration of CH 4 -hotspot seep emissions following formation of thermokarst lakes as climate warms.

Alaska↗

As above, so below? A framework for integrating long-term water quantity trends reveals divergent patterns in groundwater and low streamflow across the United States

Climate, land-use, and disturbance drive long-term global trends in groundwater levels and streamflow. At large scales, these trends are typically considered separately, despite the well-established concept that groundwater and surface water comprise a single resource. Joint trend assessment at national scales is challenging because it requires pairing and aggregating data from spatially disparate streamflow and groundwater monitoring sites for which no established framework exists. Here, we evaluate alternative approaches for integrating groundwater and streamflow data to enable joint trend analysis—a critical step toward understanding how water-budget components respond concurrently and interactively to environmental drivers. Mann–Kendall trends were computed for individual groundwater (annual mean depth) and streamflow (annual low of 7 d averages) sites across the U.S over 21- (2000–2020), 31- (1990–2020), and 41-year (1980–2020) periods. Regional Kendall trends were calculated using five spatially contiguous and noncontiguous regional classifications for aggregation based on subsurface (e.g. aquifer, geology) and surface (e.g. watershed, landscape) characteristics. Site-level results revealed contrasting trends, with tendencies toward increasing low flows (wetting) and increasing groundwater depths (drying). Agreement between streamflow and groundwater trends increased with regional aggregation and longer timeframes, though persistent skew toward streamflow wetting and groundwater drying remained. Results varied by region and trend period, with notable consistencies: unified drying in the West/Southwest and wetting in the Upper Midwest. Directional mismatches in long-term trends were prominent in the High Plains and Mississippi Alluvial Plain, whereas near-term mismatches were most evident in the Northwest. Aggregation by hydrologic landscape regions (HLR) yielded the greatest agreement between groundwater and streamflow trends. These findings indicate that coupled responses may represent combined influences of climate, relief, and geology, as captured by HLR, more strongly than geography or geology alone. Integrated water availability assessments may benefit from a multi-characteristic classification framework to treat groundwater and surface water as a unified resource.

Environmental Research: Water↗

Detecting sea-level hazards: Simple regression-based methods for calculating the acceleration of sea level

This report documents the development of statistical tools used to quantify the hazard presented by the response of sea-level elevation to natural or anthropogenic changes in climate and ocean circulation. A hazard is a physical process (or processes) that, when combined with vulnerability (or susceptibility to the hazard), results in risk. This study presents the development and comparison of new and existing sea-level analysis methods, exploration of the strengths and weaknesses of the methods using synthetic time series, and when appropriate, synthesis of the application of the method to observed sea-level time series. These reports are intended to enhance material presented in peer-reviewed journal articles where it is not always possible to provide the level of detail that might be necessary to fully support or recreate published results. The purpose of this report is to document and compare three simple methodologies that have previously been used to provide estimates with associated errors of the acceleration of sea-level elevation. These techniques have been used by coastal scientists and planners in assessing coastal risk over a wide range of spatial and temporal scales. Because relative sea-level (SL) elevation time series contain energetic fluctuations at many time scales, extracting what can be relatively small rate and acceleration signals (along with estimates of the error) from much larger “noise” has proven to be both difficult and controversial. Acceleration is a preferred measure of SL response to recent changes in the Earth’s climate because over time scales of 100 years or less slow vertical land motions (such as glacial isostatic adjustment) contribute only to the linear signal and not to acceleration, thus reducing the complexity of the analysis. Hence acceleration is useful if the goal of a study is to characterize and quantify the hazard associated with the changing relative elevation of water with respect to land on decadal time scales. Although in some cases it may be necessary to determine the cause of relative sea level rise, as a first step, it is important to accurately estimate the magnitude of the threat. Most researchers agree that global sea level (GSL) rose persistently through much of the 20th century at about 1.5–2.0 millimeters per year (mm/yr). There is far less agreement about whether the rate of sea-level rise (SLR) is increasing (that is, an acceleration in SL). Recent studies, and most of their predecessors, use tide gage data to quantify SL acceleration, A SL (t). In the current study, three techniques were used to calculate acceleration from tide gage data, and of those examined, it was determined that the two techniques based on sliding a regression window through the time series are more robust compared to the technique that fits a single quadratic form to the entire time series, particularly if there is temporal variation in the magnitude of the acceleration. The single-fit quadratic regression method has been the most commonly used technique in determining acceleration in tide gage data. The inability of the single-fit method to account for time-varying acceleration may explain some of the inconsistent findings between investigators. Properly quantifying A SL (t) from field measurements is of particular importance in evaluating numerical models of past, present, and future SLR resulting from anticipated climate change.

Open-File Report↗

Land-margin ecosystem hydrologic data for the coastal Everglades, Florida, water years 1996-2012

Mangrove forests and salt marshes dominate the landscape of the coastal Everglades (Odum and McIvor, 1990). However, the ecological effects from potential sea-level rise and increased water flows from planned freshwater Everglades restoration on these coastal systems are poorly understood. The National Park Service (NPS) proposed the South Florida Global Climate Change Project (SOFL-GCC) in 1990 to evaluate climate change and the effect from rising sea levels on the coastal Everglades, particularly at the marsh/mangrove interface or ecotone (Soukup and others, 1990). A primary objective of SOFL-GCC project was to monitor and synthesize the hydrodynamics of the coastal Everglades from the upstream freshwater marsh to the downstream estuary mangrove. Two related hypotheses were set forward (Nuttle and Cosby, 1993): 1. There exists hydrologic conditions (tide, local rainfall, and upstream water deliveries), which characterize the location of the marsh/mangrove ecotone along the marine and terrestrial hydrologic gradient; and 2. The marsh/mangrove ecotone is sensitive to fluctuations in sea level and freshwater inflow from inland areas. Hydrologic monitoring of the SOFL-GCC network began in 1995 after startup delays from Hurricane Andrew (August 1992) and organizational transfers from the NPS to the National Biological Survey (October 1993) and the merger with the U.S. Geological Survey (USGS) Biological Research Division in 1996 (Smith, 2004). As the SOFL-GCC project progressed, concern by environmental scientists and land managers over how the diversion of water from Everglades National Park would affect the restoration of the greater Everglades ecosystem. Everglades restoration scenarios were based on hydrodynamic models, none of which included the coastal zone (Fennema and others, 1994). Modeling efforts were expanded to include the Everglades coastal zone (Schaffranek and others, 2001) with SOFL-GCC hydrologic data assisting the ecological modeling needs. In 2002, as a response for a more interdisciplinary science approach to understanding the coastal Everglades ecological system, the SOFL-GCC hydrology project was integrated into the “Dynamics of Land-Margin Ecosystems: Historical Change, Hydrology, Vegetation, Sediment, and Climate” study (Smith and others, 2002). Data from the ongoing study has been useful in providing an empirical hydrologic baseline for the greater Everglades ecosystem restoration science and management needs. The hydrology network consisted of 13 hydrologic gaging stations installed in the southwestern coastal region of Everglades National Park along three transects: Shark River (Shark or SH) transect, Lostmans River (Lostmans or LO) transect, and Chatham River (Chatham or CH) transect (fig. 1). There were five paired surface-water/groundwater gaging stations on the Shark transect (SH1, SH2, SH3, SH4, and SH5) and one stage gaging station (BSC) in the Big Sable Creek; four paired surface-water/groundwater gaging stations on the Lostmans transect (LO1, LO2, LO3, and LO4); and three paired surface-water/groundwater gaging stations on the Chatham transect (CH1, CH2, and CH3). Both surface-water and groundwater levels, salinities, and temperatures were monitored at the paired gaging stations. Rainfall was recorded at marsh and open canopy gaging stations. This report details the study introduction, method, and description of data collected, which are accessible through the final instantaneous hydrologic dataset stored in the USGS South Florida Information Access (SOFIA) South Florida Hydrology Database website, http://sofia.usgs.gov/exchange/sfl_hydro_data/location.html#brdlandmargin .

Florida↗

A recruitment niche framework for improving seed-based restoration

As larger tracts of land experience degradation, seed-based restoration (SBR) will be a primary tool to reestablish vegetation and ecosystem function. SBR has advanced in terms of technical and technological approaches, yet plant recruitment remains a major barrier in some systems, notably drylands. There is an unmet opportunity to test science-based approaches to seed mix design and application, based not only on diversity or local provenance, but on the unique recruitment strategies of species. We lay out a framework that uses a quantitative representation of species' recruitment niches to match them to targeted goals (e.g. drought or invasion resistance) and methods (e.g. precision tools and technologies) in SBR. We first describe how to quantify the recruitment niche with seed and seedling traits tied to observed recruitment responses to environmental factors. We then show how a quantified recruitment niche framework can serve as the foundation to address three major restoration challenges: (1) designing forward-looking seed mixes that increase resilience to future climate and disturbance, (2) accounting for natural recovery in SBR planning, and (3) applying precision seeding practices to maximize restoration success. Finally, we demonstrate these ideas with existing data and discuss key challenges to adoption in SBR practice. While the ideas in this framework are based in ecological theory, they will require substantial testing and refinement by scientists engaged in SBR efforts. If this framework is integrated into research agendas, we believe it has the potential to unify and advance diverse elements of seed-based restoration ecology and improve restoration outcomes.

Restoration Ecology↗

How grazing and soil quality affect native and exotic plant diversity in Rocky Mountain grasslands

We used multiscale plots to sample vascular plant diversity and soil characteristics in and adjacent to 26 long-term grazing exclosure sites in Colorado, Wyoming, Montana, and South Dakota, USA. The exclosures were 7–60 yr old (31.2 ± 2.5 yr, mean ± 1 se ). Plots were also randomly placed in the broader landscape in open rangeland in the same vegetation type at each site to assess spatial variation in grazed landscapes. Consistent sampling in the nine National Parks, Wildlife Refuges, and other management units yielded data from 78 1000-m 2 plots and 780 1-m 2 subplots. We hypothesized that native species richness would be lower in the exclosures than in grazed sites, due to competitive exclusion in the absence of grazing. We also hypothesized that grazed sites would have higher native and exotic species richness compared to ungrazed areas, due to disturbance (i.e., the intermediate-disturbance hypothesis) and the conventional wisdom that grazing may accelerate weed invasion. Both hypotheses were soundly rejected. Although native species richness in 1-m 2 subplots was significantly higher ( P < 0.05) in grazed sites, we found nearly identical native or exotic species richness in 1000-m 2 plots in exclosures (31.5 ± 2.5 native and 3.1 ± 0.5 exotic species), adjacent grazed plots (32.6 ± 2.8 native and 3.2 ± 0.6 exotic species), and randomly selected grazed plots (31.6 ± 2.9 native and 3.2 ± 0.6 exotic species). We found no significant differences in species diversity (Hill’s diversity indices, N 1 and N 2), evenness (Hill’s ratio of evenness, E 5), cover of various life-forms (grasses, forbs, and shrubs), soil texture, or soil percentage of N and C between grazed and ungrazed sites at the 1000-m 2 plot scale. The species lists of the long-ungrazed and adjacent grazed plots overlapped just 57.9 ± 2.8%. This difference in species composition is commonly attributed solely to the difference in grazing regimes. However, the species lists between pairs of grazed plots (adjacent and distant 1000-m 2 plots) in the same vegetation type overlapped just 48.6 ± 3.6%, and the ungrazed plots and distant grazed plots overlapped 49.4 ± 3.6%. Differences in vegetation and soils between grazed and ungrazed sites were minimal in most cases, but soil characteristics and elevation were strongly correlated with native and exotic plant diversity in the study region. For the 78 1000-m 2 plots, 59.4% of the variance in total species richness was explained by percentage of silt (coefficient = 0.647, t = 5.107, P < 0.001), elevation (coefficient = 0.012, t = 5.084, P < 0.001), and total foliar cover (coefficient = 0.110, t = 2.104, P < 0.039). Only 12.8% of the variance in exotic species cover (log 10 cover) was explained by percentage of clay (coefficient = −0.011, t = −2.878, P < 0.005), native species richness (coefficient = −0.011, t = −2.156, P < 0.034), and log 10 N (coefficient = 2.827, t = 1.860, P < 0.067). Native species cover and exotic species richness and frequency were also significantly positively correlated with percentage of soil N at the 1000-m 2 plot scale. Our research led to five broad generalizations about current levels of grazing in these Rocky Mountain grasslands: (1) grazing probably has little effect on native species richness at landscape scales; (2) grazing probably has little effect on the accelerated spread of most exotic plant species at landscape scales; (3) grazing affects local plant species and life-form composition and cover, but spatial variation is considerable; (4) soil characteristics, climate, anddisturbances may have a greater effect on plant species diversity than do current levels of grazing; and (5) few plant species show consistent, directional responses to grazing or cessation of grazing.

Ecological Applications↗

Grassland birds wintering at U.S. Navy facilities in southern Texas

Grassland birds have undergone widespread decline throughout North America during the past several decades. Causes of this decline include habitat loss and fragmentation because of conversion of grasslands to cropland, afforestation in the East, brush and shrub invasion in the Southwest and western United States, and planting of exotic grass species to enhance forage production. A large number of exotic plant species, including grasses, have been introduced in North America, but most research on the effects of these invasions on birds has been limited to breeding birds, primarily those in northern latitudes. Research on the effects of exotic grasses on birds in winter has been extremely limited. This is the first study in southern Texas to examine and compare winter bird responses to native and exotic grasslands. This study was conducted during a period of six years (2003–2009) on United States Navy facilities in southern Texas including Naval Air Station–Corpus Christi, Naval Air Station–Kingsville, Naval Auxiliary Landing Field Waldron, Naval Auxiliary Landing Field Orange Grove, and Escondido Ranch, all of which contained examples of native grasslands, exotic grasslands, or both. Data from native and exotic grasslands were collected and compared for bird abundance and diversity; ground cover, vegetation density, and floristic diversity; bird and vegetation relationships; diversity of insects and arachnids; and seed abundance and diversity. Effects of management treatments in exotic grasslands were evaluated by comparing numbers and diversity of birds and small mammals in mowed, burned, and control areas. To determine bird abundance and bird species richness, birds were surveyed monthly (December–February) during the winters of 2003–2008 in transects (100 meter × 20 meter) located in native and exotic grasslands distributed at all five U.S. Navy facilities. To compare vegetation in native and exotic grasslands, vegetation characteristics were measured during 2003–2008 in the same transects used for bird surveys and included five measures of ground cover, plus estimates of plant species richness, vegetation density (visual obstruction) at two different heights, and shrub numbers. These data, plus seasonal rainfall, were then used to evaluate components of variation in native and exotic grasslands. Relations between total bird numbers and bird species richness with environmental variation in native and exotic grasslands were compared. To compare diversity of arthropods in native and exotic grasslands, insects and arachnids were collected using three different methodologies (standardized sweep-net, random sweep-net, and pitfall traps) during four seasons, (2005–2006), at Naval Air Station–Corpus Christi, Naval Auxiliary Landing Field Waldron, and Naval Air Station–Kingsville. To compare seed abundance and diversity between native and exotic grasslands, seeds were collected for two winters (2004–2006) at Naval Air Station–Corpus Christi and Naval Air Station–Kingsville. To evaluate effects of management on grassland vertebrates, abundance and diversity of birds and small mammals were estimated and compared in exotic grasses subjected to mowing, burning, or no active management (control) for one full year (2008–2009). Observations were made of 1,044 birds of 30 species in grassland transects during five winters. The Savannah Sparrow ( Passerculus sandwichensis ) was the most common bird, which, with 644 detections, accounted for 63 percent of all individuals identified to species. Meadowlarks ( Sturnella spp. ) and Le Conte’s Sparrows ( Ammodramus leconteii ) were the second (10 percent) and third (7 percent) most abundant bird species, respectively. Six of the seven most abundant species detected in grasslands were grassland species, and their numbers accounted for 87 percent of all birds, but 20 of the 30 species (67 percent) that used grasslands were not grassland species. Seven species observed in grassland transects during the study were Species of Conservation Concern: Le Conte’s Sparrow, Sedge Wren ( Cistothorus platensis ), Grasshopper Sparrow ( Ammodramus savannarum ), Long-billed Curlew ( Numenius americanus ), Sprague’s Pipit ( Anthus spragueii ), Cassin’s Sparrow ( Aimophila cassinii ), and Loggerhead Shrike ( Lanius ludovicianus ). Native grasslands consistently supported greater bird species richness than exotic grasslands. In one winter, exotic grasslands supported more birds than native grasslands. Native grasslands were determined to have more forb cover, more bare ground, and greater plant species richness than exotic grasslands, whereas exotic grasslands were characterized by more grass cover and relatively greater vegetation density during dry years. Not only did these individual measures differ between native and exotic grasslands, but components of variation also differed. In native grasslands, grass density and cover contributed more to variation, whereas in exotic grasslands, non-grass vegetation was a greater component of variation. Total bird numbers and bird species richness in native grasslands were related to the principal component that contained a measure of litter cover. Total bird numbers and bird species richness in exotic grasslands indicated no significant relationships with any of the principal components of variation. The two most common insect orders in native grasslands were Hymenoptera and Coleoptera, which accounted for 42 percent of all insects. The two most common insect orders in exotic grasslands were Hemiptera and Homoptera, which accounted for about 80 percent of all insects. Insect family richness was greater in exotic grasslands than in native grasslands in two of four seasons. Proportions of arachnid families were similar in native and exotic grasslands, but arachnid family richness was greater in exotic grasslands than in native grasslands. Abundance of seeds was greater in exotic than in native grasslands. However, seed diversity was greater in native grasslands than in exotic grasslands. Among the three types of management (mowed, burned, and control) applied to exotic grasses, birds were most abundant in the mowed area. Sedge Wrens, however, were never encountered in mowed sites. Meadowlarks were similarly abundant in all treatments, but Le Conte’s Sparrows were detected only in the control (unmanaged) area. Hispid cotton rats ( Sigmodon hispidus ) accounted for 93 percent of all rodent captures, with the number of captures peaking December through February. Hispid cotton rat numbers and total rodent numbers were greatest in control and pre-burn areas, and lowest in the mowed area. Mammal diversity, however, was greatest in the mowed habitat. Native and exotic grasslands differed essentially in all categories (bird numbers and diversity, vegetation characteristics, components of variation, diversity of insects and arachnids, and seed abundance and diversity) used to measure and compare them. This indicates that fundamental ecosystem processes have been altered after native grasslands have undergone invasion and ultimate domination by exotic grass species. Future research in Texas grassland ecosystems is essential because: 1) Texas sustains more area in grasslands than any other state or province in the Central Flyway; 2) Texas serves as the winter destination or migration pathway for hundreds of species of birds, including winter residents and Neotropical migrants; 3) ecology, distribution, and numbers of grassland birds wintering in southern latitudes of the United States remains poorly understood; and 4) climate change threatens to further accelerate advances of invading grass species.

Open-File Report↗

A preliminary report of ongoing research of the ecology of Black-capped Petrel (Pterodroma hasitata) in Sierra de Bahoruco, Dominican Republic – I: GPS tracking of breeding adults

The Black-capped Petrel (also known regionally as Diablotin) is a gadfly petrel endemic to the Caribbean. Population estimates based on at-sea observations range from 2,000 to 4,000 individuals, with a fragmented breeding population estimated at 500 to 1,000 pairs. At sea, the expansive marine range of the species exposes it to many conservation threats including fisheries activity, offshore energy development, marine pollution including mercury bio-accumulation, and climate change. Such disturbances at sea have been under-studied although they are likely to impact the survival of the species.

Sierra de Bahoruco↗

Continuously amplified warming in the Alaskan Arctic: Implications for estimating global warming hiatus

Historically, in situ measurements have been notoriously sparse over the Arctic. As a consequence, the existing gridded data of surface air temperature (SAT) may have large biases in estimating the warming trend in this region. Using data from an expanded monitoring network with 31 stations in the Alaskan Arctic, we demonstrate that the SAT has increased by 2.19°C in this region, or at a rate of 0.23°C/decade during 1921–2015. Meanwhile, we found that the SAT warmed at 0.71°C/decade over 1998–2015, which is 2 to 3 times faster than the rate established from the gridded data sets. Focusing on the “hiatus” period 1998–2012 as identified by the Intergovernmental Panel on Climate Change (IPCC) report, the SAT has increased at 0.45°C/decade, which captures more than 90% of the regional trend for 1951–2012. We suggest that sparse in situ measurements are responsible for underestimation of the SAT change in the gridded data sets. It is likely that enhanced climate warming may also have happened in the other regions of the Arctic since the late 1990s but left undetected because of incomplete observational coverage.

Alaska↗

Using imaging spectroscopy and elevation in machine learning to estimate soil salinity in intermittently tidal wetlands

Coastal soil salinization patterns are changing due to drought, sea level rise (SLR), and changing freshwater inflow. These changes are expected to impact coastal wetland plant health and ecosystem function, such as changes to biomass and productivity. These impacts have led to greater interest in how we monitor soil salinization across spatial and temporal scales. Remote sensing is a promising tool for estimating soil salinity at the spatial scales required for decision making by land managers. However, the development of a remote sensing estimation approach for wetland soil salinity must account for two factors: (1) the high spatial and temporal heterogeneity of coastal wetlands and (2) the fact that soil salinity is the result of multiple historical land use, hydrological, and geomorphic processes. In spring 2022, a combined airborne-field campaign, known as SHIFT, collected a weekly time series of airborne visible to shortwave infrared (VSWIR) image spectroscopy data. This dataset provides a unique opportunity to assess the application of fine spatial (5 m) and temporal (weekly) resolution VSWIR data to estimate root zone soil salinity; when combined with environmental variables such as elevation, these data can account for some of these factors. In this study, we utilized VSWIR and elevation datasets in a random forest regression to predict and map soil salinity in an intermittently tidal estuary, Devereux Slough, located in Santa Barbara County, California. The final model combined spectral indices with elevation to better capture soil salinity dynamics despite lower correlation ( r = 0.85) than solely using elevation ( r = 0.92). This research demonstrates the utility of remote sensing datasets, namely, elevation and the modified Anthocyanin Reflectance Index (mARI), for predicting root zone soil salinity in intermittently tidal coastal wetlands. These findings are an important step in advancing coastal remote sensing by creating a gridded salinity dataset that can be used for salinity monitoring and other coastal applications, such as modeling change in vegetation communities or ecosystems facing the impacts of climatic variability and change.

California↗

Estimating occupancy probability of moose using hunter survey data

Monitoring rare species can be difficult, especially across large spatial extents, making conventional methods of population monitoring costly and logistically challenging. Citizen science has the potential to produce observational data across large areas that can be used to monitor wildlife distributions using occupancy models. We used citizen science (i.e., hunter surveys) to facilitate monitoring of moose ( Alces alces ) populations, an especially important endeavor because of their recent apparent declines in the northeastern and upper midwestern regions of the United States. To better understand patterns of occurrence of moose in New York, we used data collected through an annual survey of approximately 11,000 hunters between 2012 and 2014 that recorded detection–non-detection data of moose and other species. We estimated patterns of occurrence of moose in relation to land cover characteristics, climate effects, and interspecific interactions using occupancy models to analyze spatially referenced moose observations. Coniferous and deciduous forest with low prevalence of white-tailed deer ( Odocoileus virginianus ) had the highest probability of moose occurrence. This study highlights the potential of data collected using citizen science for understanding the spatial distribution of low-density species across large spatial extents and providing key information regarding where and when future research and management activities should be focused.

New York↗

Climate change and Arctic ecosystems: 2. Modeling, paleodata-model comparisons, and future projections

Large variations in the composition, structure, and function of Arctic ecosystems are determined by climatic gradients, especially of growing-season warmth, soil moisture, and snow cover. A unified circumpolar classification recognizing five types of tundra was developed. The geographic distributions of vegetation types north of 55°N, including the position of the forest limit and the distributions of the tundra types, could be predicted from climatology using a small set of plant functional types embedded in the biogeochemistry-biogeography model BIOME4. Several palaeoclimate simulations for the last glacial maximum (LGM) and mid-Holocene were used to explore the possibility of simulating past vegetation patterns, which are independently known based on pollen data. The broad outlines of observed changes in vegetation were captured. LGM simulations showed the major reduction of forest, the great extension of graminoid and forb tundra, and the restriction of low- and high-shrub tundra (although not all models produced sufficiently dry conditions to mimic the full observed change). Mid-Holocene simulations reproduced the contrast between northward forest extension in western and central Siberia and stability of the forest limit in Beringia. Projection of the effect of a continued exponential increase in atmospheric CO 2 concentration, based on a transient ocean-atmosphere simulation including sulfate aerosol effects, suggests a potential for larger changes in Arctic ecosystems during the 21st century than have occurred between mid-Holocene and present. Simulated physiological effects of the CO 2 increase (to >700 ppm) at high latitudes were slight compared with the effects of the change in climate.

Journal of Geophysical Research D: Atmospheres↗

Synthetic aperture radar interferometry coherence analysis over Katmai volcano group, Alaska

The feasibility of measuring volcanic deformation or monitoring deformation of active volcanoes using space-borne synthetic aperture radar (SAR) interferometry depends on the ability to maintain phase coherence over appropriate time intervals. Using ERS 1 C band (λ=5.66 cm) SAR imagery, we studied the seasonal and temporal changes of the interferometric SAR coherence for fresh lava, weathered lava, tephra with weak water reworking, tephra with strong water reworking, and fluvial deposits representing the range of typical volcanic surface materials in the Katmai volcano group, Alaska. For interferograms based on two passes with 35 days separation taken during the same summer season, we found that coherence increases after early June, reaches a peak between the middle of July and the middle of September, and finally decreases until the middle of November when coherence is completely lost for all five sites. Fresh lava has the highest coherence, followed by either weathered lava or fluvial deposits. These surfaces maintain relatively high levels of coherence for periods up to the length of the summer season. Coherence degrades more rapidly with time for surfaces covered with tephra. For images taken in different summers, only the lavas maintained coherence well enough to provide useful interferometric images, but we found only a small reduction in coherence after the first year for surfaces with lava. Measurement of volcanic deformation is possible using summer images spaced a few years apart, as long as the surface is dominated by lavas. Our studies suggest that in order to make volcanic monitoring feasible along the Aleutian arc or other regions with similar climatic conditions, observation intervals of the satellite with C band SAR should be at least every month from July through September, every week during the late spring/early summer or late fall, and every 2–3 days during the winter.

Journal of Geophysical Research B: Solid Earth↗

Responses of stable bay-margin and barrier-island systems to Holocene sea-level highstands, western Gulf of Mexico

The microtidal, wave-dominated coast of the western Gulf of Mexico displays a variety of Holocene geomorphic features indicating higher-than-present water levels that were previously attributed to storm processes while geoidal sea level was at its present position. Field and aerial-photograph examinations of bay margins, barrier islands, and beach-ridge plains following major hurricanes show that the elevated features are inundated periodically by high storm surge. Despite their inundation, these highstand features are not modified by modern storm processes. Instead, storm-related erosion and deposition are always seaward of and lower than the highstand features and are always limited to the extant shorezone, where elevations typically are less than 1.5 m above present sea level. Bay-margin and lagoonal highstand indicators include raised marshes and subtidal flats, wave-cut benches, abandoned wave-cut scarps with fringing marshes and/or beach ridges, and accretionary islands and recurved spits. Other emergent marine features include abandoned compound flood-tidal delta and washover fan complexes attached to barrier islands and anomalously high beach ridges within both the barrier-island complexes and beach-ridge plains. The highest beach ridges, raised marshes and flats, and erosional scarps and benches are manifestations of one or more rising phases and highstands in sea level, whereas the lower marshes and accretionary topography are mainly products of the falling phases and shoreface adjustment to present sea level. Different elevations of beach-ridge sets, discordant truncation of beach ridges, and elevated marine- and brackish-water faunal assemblages preserved in beach ridges, raised marshes and flats, and natural levees are compelling evidence of sea-level fluctuations of ±1 to 1.5 m from about 5500 to 1200 cal yr BP. Independent evidence from studies of geodynamic, climatic, and glacio-eustatic processes can explain the mid-Holocene highstands and late Holocene lowering of sea level that is observed in tectonically stable coastal regions far from former centers of glaciation.

Journal of Sedimentary Research↗

Spatial reconstructions and comparisons of historic snow avalanche frequency and extent using tree rings in Glacier National Park, Montana, U.S.A.

Natural snow avalanches have periodically damaged infrastructure and disrupted railroad and highway traffic at the southwestern corner of Glacier National Park, Montana. The 94-year history of these disruptions constitutes an uncommon record of natural avalanches spanning over nine decades and presents a unique opportunity to examine how natural avalanche frequency and minimum extent have varied over time due to climatic or biophysical changes. This study compared the historic record of natural avalanches in one avalanche path with tree-ring evidence of avalanches from 109 cross sections and increment cores collected in the same path. Results from combined historic and tree-ring records yielded 27 avalanche years in the 1910-2003 chronology, with the historic record alone underestimating avalanche years by half. Mean return period was 3.2 years. Interpolated maps allowed for more spatially precise estimates of return periods throughout the runout zone than previous studies. The maps show return periods increase rapidly downslope from 2.3 to 25 years. Avalanche years were associated with positive Snow Water Equivalent anomalies at a nearby snow course. Minimum avalanche extent was highly variable but not associated with snowpack anomalies. Most avalanche years coincided with years in which the mean January-February Pacific Decadal Oscillation (PDO) and El Nin??o-Southern Oscillation (ENSO) 3.4 indices were neutral. The findings suggest that changes in Pacific climate patterns that influence snowfall could also alter the frequency of natural snow avalanches and could thus change disturbance patterns in the montane forests of the canyon. ?? 2008 Regents of the University of Colorado.

Arctic, Antarctic, and Alpine Research↗

Paleoclimatic significance of chemical weathering in loess-derived paleosols of subarctic central Alaska

Chemical weathering in soils has not been studied extensively in high-latitude regions. Loess sequences with modern soils and paleosols are present in much of subarctic Alaska, and allow an assessment of present and past chemical weathering. Five sections were studied in detail in the Fairbanks, Alaska, area. Paleosols likely date to mid-Pleistocene interglacials, the last interglacial, and early-to-mid-Wisconsin interstadiale. Ratios of mobile (Na, Ca, Mg, Si) to immobile (Ti or Zr) elements indicate that modern soils and most interstadial and interglacial paleosols are characterized by significant chemical weathering. Na2O/TiO2 is lower in modern soils and most paleosols compared to parent loess, indicating depletion of plagioclase. In the clay fraction, smectite is present in Tanana and Yukon River source sediments, but is absent or poorly expressed in modern soils and paleosols, indicating depletion of this mineral also. Loss of both plagioclase and smectite is well expressed in soils and paleosols as lower SiO 2/TiO2. Carbonates are present in the river source sediments, but based on CaO/TiO2, they are depleted in soils and most paleosols (with one exception in the early-to-mid-Wisconsin period). Thus, most soil-forming intervals during past interglacial and interstadial periods in Alaska had climatic regimes that were at least as favorable to mineral weathering as today, and suggest boreal forest or acidic tundra vegetation. ?? 2008 Regents of the University of Colorado.

Arctic, Antarctic, and Alpine Research↗

HIMALA: climate impacts on glaciers, snow, and hydrology in the Himalayan region

Glaciers are the largest reservoir of freshwater on Earth, supporting one third of the world's population. The Himalaya possess one of the largest resources of snow and ice, which act as a freshwater reservoir for more than 1.3 billion people. This article describes a new project called HIMALA, which focuses on utilizing satellite-based products for better understanding of hydrological processes of the river basins of the region. With support from the US Agency for International Development (USAID), the International Centre for Integrated Mountain Development (ICIMOD), together with its partners and member countries, has been working on the application of satellite-based rainfall estimates for flood prediction. The US National Aeronautics and Space Administration (NASA) partners are working with ICIMOD to incorporate snowmelt and glacier melt into a widely used hydrological model. Thus, through improved modeling of the contribution of snow and ice meltwater to river flow in the region, the HIMALA project will improve the ability of ICIMOD and its partners to understand the impact of weather and climate on floods, droughts, and other water- and climate-induced natural hazards in the Himalayan region in Afghanistan, Bangladesh, Bhutan, China, India, Myanmar, Nepal, and Pakistan.

Himalayas↗