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Sewage plume in a sand and gravel aquifer, Cape Cod, Massachusetts

Secondarily treated domestic sewage has been disposed of on surface sand beds at the sewage treatment facility at Otis Air Force Base, Massachusetts, since 1936. Infiltration of the sewage through the sand beds into the underlying unconfined sand and gravel aquifer has resulted in a plume of sewage-contaminated ground water that is 2,500 to 3,500 feet wide, 75 feet thick, and more than 11,000 feet long. The plume extends south and southwest of the sand beds in the same direction as the regional flow of ground water, and is overlain by 20 to 50 feet of ground water derived from precipitation that recharges the aquifer. The bottom of the plume generally coincides with the contact between the permeable sand and gravel and underlying finer grained sediments. The distributions in the aquifer of specific conductance, temperature, boron, chloride, sodium, phosphorus, nitrogen (total of all species), ammonia, nitrate, dissolved oxygen, and detergents are used to delineate the plume. In ground water outside the plume, the detergent concentration is less than 0.1 milligrams per liter as MBAS (methylene blue active substances), the ammonia-nitrogen concentration is less than 0.1 milligrams per liter, the boron concentration is less than 50 micrograms per liter, and specific conductance is less than 80 mircromhos per centimeter. In the center of the plume, detergent concentrations as high as 2.6 milligrams per liter as MBAS, ammonia-nitrogen concentrations as high as 20 milligrams per liter, boron concentrations as high as 400 micrograms per liter, and specific conductance as high as 405 micromhos per centimeter were measured. Chloride, sodium, and boron are transported by the southward-flowing ground water without significant retardation, and seem to be diluted only by hydrodynamic dispersion. The movement of phosphorus is greatly restricted by sorption. Phosphorus concentrations do not exceed 0.05 milligrams per liter farther than 2,500 feet from the sand beds. Detergent concentrations in the plume are highest between 3,000 and 10,000 feet from the sand beds and reflect the introduction of nonbiodegradable detergents in 1946 and the conversion to biodegradable detergents in 1964. The center of the plume as far as 5,000 feet from the sand beds contains nitrogen as ammonia, but no nitrate and no dissolved oxygen. Ammonia is gradually oxidized to nitrate between 5,000 and 8,000 feet from the sand beds, and at distances greater than 8,000 feet oxidation of ammonia is essentially complete. Ammonia also is oxidized to nitrate along the top and sides of the plume within 5,000 of the beds where the contaminated ground water mixes with uncontaminated ground water that contains up to 11 milligrams per liter dissolved oxygen.

Massachusetts↗

Controls on phosphorus mobility in the Potomac River near the Blue Plains wastewater treatment plant

The Blue Plains wastewater treatment plant is the largest point source of phosphorus in the Potomac River basin, discharging an average of 2 metric tons of phosphorus into the river each day in 1980. An intensive study of the water and sediments in the vicinity of the treatment plant was conducted in 1979-80 in order to characterize the major factors controlling the mobility of effluent-derived phosphorus in the area. The transport of phosphorus near the treatment plant was found to be affected by the circulation regime, by inorganic adsorption reactions with sediments, and by metabolic uptake and release by phytoplankton. The effect of river discharge on the convective transport of phosphorus near the outfall is significantly reduced by a mid-river shoal area, which confines the flow path of the effluent to an embayment on the eastern side of the river for a distance of 4 kilometers below the outfall. This embayment appears to serve as a sediment trap, where protection from bottom scour during high-flow events has permitted fine-grained sediments to accumulate. Measurements of mean residence time indicate that the effluent leaves the embayment area 21? days after being discharged from the outfall. Measurements of the linear decay constant for the removal of dissolved phosphorus from the water column reveal a diurnal cycle corresponding to the metabolic utilization of phosphorus by phytoplankton. This cyclic removal is superimposed on a constant and noncyclic adsorption of phosphorus by inorganic phases. Forty-eight hour average values of the linear decay constant for dissolved phosphorus in the area range from 0.4 to 1.1 per day. Analyses of bottom sediments indicate that approximately 13 percent of the phosphorus discharged between September 1977 and August 1980 has been retained in the embayment. The primary inorganic phase responsible for phosphorus adsorption is amorphous iron (ferric oxy-hydroxides); amorphous aluminum and clay minerals appear to play secondary roles. The accumulation of sorbed phosphorus in the embayment has been promoted by the deposition of fine-grained sediments enriched in ferric oxy-hydroxides. Conversely, the absence of ferric oxy-hydroxides in coarse-grained sediments near the outfall has facilitated the precipitation of the ferrous phosphate mineral vivianite.

District of Columbia, Maryland, Virginia↗

Estimation of nonpoint source loadings of phosphorus for lakes in the Puget Sound region, Washington

Control of eutrophication of lakes in watersheds undergoing development is facilitated by estimates of the amounts of phosphorus (P) that reach the lakes from areas under various types of land use. Using a mass-balance model, the author calculated P loadings from present-day P concentrations measured in lake water and from other easily measured physical characteristics in a total of 28 lakes in drainage basins that contain only forest and residential land. The loadings from background sources (forest-land drainage and bulk precipitation) to each of the lakes were estimated by methods developed in a previous study. Differences between estimated present-day P loadings and loadings from background sources were attributed to changes in land use. The mean increase in annual P yield resulting from conversion of forest to residential land use was 7 kilograms per square kilometer, not including septic tank system contributions. Calculated loadings from septic systems were found to correlate best with the number of near-shore dwellings around each lake in 1940. The regression equation expressing this relationship explained 36 percent of the sample variance. There was no significant correlation between estimated septic tank system P loadings and number of dwellings present in 1960 or 1970. The evidence indicates that older systems might contribute more phosphorus to lakes than newer systems, and that there may be substantial time lags between septic system installation and significant impacts on lake-water P concentrations. For lakes in basins that contain agricultural land, the P loading attributable to agriculture can be calculated as the difference between the estimated total loading and the sum of estimated loadings from nonagricultural sources. A comprehensive system for evaluating errors in all loading estimates is presented. The empirical relationships developed allow preliminary approximations of the cumulative impact development has had on P loading and the amounts of P loading from generalized land-use categories for Puget Sound lowland lakes. In addition, the sensitivity of a lake to increased loading can be evaluated using the mass-balance model. The data required are presently available for most lakes. Estimates of P loading are useful in developing water-quality goals, setting priorities for lake studies, and designing studies of individual lakes. The suitability of a method for management of individual lakes will often be limited by relatively high levels of uncertainty, especially if the method is used to evaluate relatively small increases in P loading.

Water Supply Paper↗

Tidal-flow, circulation, and flushing changes caused by dredge and fill in Tampa Bay, Florida

Tampa Bay, Florida, underwent extensive physical changes between 1880 and 1972 because of construction of causeways, islands, channels, and shoreline fills. These changes resulted in a progressive reduction in the quantity of tidal water that enters and leaves the bay. Dredging and filling also changed the magnitude and direction of tidal flows in large parts of the bay. A two-dimensional, finite-difference, hydrodynamic model was used to simulate flood, ebb, and residual transport of both water and a dissolved constituent for the physical conditions that existed in Tampa Bay during 1880 and 1972 and for the conditions that are likely to exist in 1985. The calibrated and verified model was used to hindcast water- and constituent-transport changes caused by construction in the bay between 1880 and 1972. The model was used also to forecast changes that can be expected to occur as a result of a major Federal dredging project scheduled for completion in 1985. The model forecasted transport changes caused by the Federal dredging project to be much less areally extensive than the corresponding transport changes caused by construction in Tampa Bay between 1880 and 1972. Dredging-caused changes of more than 50 percent in flood and ebb transport were computed to occur over only 8 or 9 square miles of the bay's 390-square-mile surface area between 1972 and 1985. The model computed that construction between 1880 and 1972 caused changes of similar magnitude over 58 square miles of the bay. Dredging-caused changes of more than 50 percent in residual transport were computed to occur over 58 square miles of the bay between 1972 and 1985. According to the model simulation, construction between 1880 and 1972 caused changes of similar magnitude over 167 square miles. Computations reveal historical tide-induced circulation patterns. The patterns consist of a series of about 20 interconnected circulatory features that range in diameter from 1 to 6 miles. Dredging- and construction-caused changes in size, position, shape, and intensity of the circulatory features increase tide-induced circulation and flushing throughout most of the bay. As a result of past and projected physical changes, the bay can and will more rapidly transfer waterborne constituents that have landward sources to the Gulf of Mexico. Conversely, the bay can and will more rapidly transfer constituents that have their source in the Gulf into the upper parts of the bay. Model results show that the bay can be functionally subdivided into eight circulation zones. The zones near the entrances to Tampa Bay and the major bay subunits, Hillsborough Bay and Old Tampa Bay, have several times greater average circulation than do adjacent and more landward zones. Circulation generally decreases from the Gulf of Mexico to the head of Hillsborough and Old Tampa Bays, with a striking exception in zone 3 in mid-Tampa Bay. This 10-mile section of the bay has significantly lower average circulation than that of adjacent zones, particularly for conditions in 1880. The section is thought to be a circulation constriction that reduces the potential transport of dissolved and suspended constituents. Circulation in the constricted section was computed as having increased 6 percent because of dredge and fill construction between 1880 and 1972. An additional increase of 21 percent, due to the Federal dredging project, is calculated. With these increases, this zone acts as less of a constriction than it did in 1880. This and other circulation increases may have contributed to increased bay salinity and to more rapid flushing of constituents from the bay to the Gulf of Mexico.

Water Supply Paper↗

Estimation of recharge rates to the sand and gravel aquifer using environmental tritium, Nantucket Island, Massachusetts

Estimation of the average annual rate of ground-water recharge to sand and gravel aquifers using elevated tritium concentrations in ground water is an alternative to traditional steady-state and water-balance recharge-rate methods. The concept of the tritium tracer method is that the average annual rate of ground-water recharge over a period of time can be calculated from the depth of the peak tritium concentration in the aquifer. Assuming that ground-water flow is vertically downward and that aquifer properties are reasonably homogeneous, and knowing the date of maximum tritium concentration in precipitation and the current depth to the tritium peak from the water table, the average recharge rate can be calculated. The method, which is a direct-measurement technique, was applied at two sites on Nantucket Island, Massachusetts. At site 1, the average annual recharge rate between 1964 and 1983 was 26.1 inches per year, or 68 percent of the average annual precipitation, and the estimated uncertainty is ?15 percent. At site 2, the multilevel water samplers were not constructed deep enough to determine the peak concentration of tritium in ground water. The tritium profile at site 2 resembles the upper part of the tritium profile at site 1 and indicates that the average recharge rate was at least 16 .7 inches per year, or at least 44 percent of the average annual precipitation. The Nantucket tritium recharge rates clearly are higher than rates determined elsewhere in southeastern Massachusetts using the tritium, water-table-fluctuation, and water-balance (Thornthwaite) methods, regardless of the method or the area. Because the recharge potential on Nantucket is so high (runoff is only 2 percent of the total water balance), the tritium recharge rates probably represent the effective upper limit for ground-water recharge in this region. The recharge-rate values used by Guswa and LeBlanc (1985) and LeBlanc (1984) in their ground-water-flow computer models of Cape Cod are 20 to 30 percent lower than this upper limit. The accuracy of the tritium method is dependent on two key factors: the accuracy of the effective-porosity data, and the sampling interval used at the site. For some sites, the need for recharge-rate data may require a determination as statistically accurate as that which can be provided by the tritium method. However, the tritium method is more costly and more time consuming than the other methods because numerous wells must be drilled and installed and because many water samples must be analyzed for tritium, to a very small level of analytical detection. For many sites, a less accurate, less expensive, and faster method of recharge-rate determination might be more satisfactory. The factor that most seriously limits the usefulness of the tritium tracer method is the current depth of the tritium peak. Water with peak concentrations of tritium entered the ground more than 20 years ago, and, according to the Nantucket data, that water now is more than 100 feet below the land surface. This suggests that the tracer method will work only in sand and gravel aquifers that are exceedingly thick by New England standards. Conversely, the results suggest that the method may work in areas where saturated thicknesses are less than 100 feet and the rate of vertical ground-water movement is relatively slow, such as in till and in silt- and clay-rich sand and gravel deposits.

Massachusetts↗

Membrane-micelle model for humus in soils and sediments and its relation to humification

Humification, the process whereby biomass consisting of dead plant and animal remains is converted into soil organic matter (humus), is one of the basic processes of the carbon cycle. The organic compounds that make up plant and animal tissue are thermodynamically unstable in the oxidizing atmosphere at the surface of the Earth. After the organisms in which they are incorporated die, the compounds are converted back to carbon dioxide and water by degradation reactions catalyzed by enzymes secreted by micro-organisms. However, not all the organic compounds in the dead biomass are immediately converted; some of the material is only partially oxidized. The residue left after partial oxidative degradation of the dead biomass is the source of the organic compounds that accumulate in soils and sediments as humus. Previously, humification was thought to involve a conversion of degradation products by a series of polymerization reactions into new types of polymeric species that are different from the precursor molecular species in the original biomass. However, it is proposed here that the depolymerization and oxidation reactions that take place during the enzymatic degradation of biopolymers produce amphiphiles--molecules that have a polar (hydrophilic) part and a nonpolar (hydrophobic) part. These amphiphiles that result from the partial oxidative degradation of dead biomass assemble spontaneously into ordered aggregates in which the hydrophobic parts of the molecules form the interiors and the hydrophilic parts of the molecules make up the exterior surfaces of the aggregates. These ordered aggregates constitute the humus in soils and sediments. Humus ordered aggregates most likely exist as bilayer membranes coating mineral grains and as micelles in solution.

Water Supply Paper↗

Major winter and nonwinter floods in selected basins in New York and Pennsylvania

The scientific design of flood-control works is based on an evaluation of the hydrologic factors basic to flood events, particularly how rainfall and snow runoff, soil conditions, and channel influences can combine to produce greater or lesser floods. For this purpose an analysis of the pertinent hydrologic data is needed. The methods of analysis adopted should conform as closely as possible to those already in use and must be adapted to the quality of the available information. Maximum floods in 8 basins in New York and Pennsylvania during the winter and nonwinter months were studied, a total of 21 floods. The most outstanding winter flood of record in the North Atlantic region was that of March 1936. Rainfall plus snow melt in the basins studied ranged between 3.04 and 6.87 inches, and associated volumes of direct runoff from 1.88 to 5.63 inches. Winter floods have a common characteristic in their relation to freezing temperature. The antecedent periods, representing a period of snow accumulation and frost penetration, are below freezing, and the flood itself is contemporaneous with a period of above-freezing temperatures, usually associated with rain, during which the previously accumulated snow is melted. A second common characteristic of major winter floods is their tendency to be associated with widespread causal meteorologic conditions. There was a more complete conversion of rainfall and snow melt into runoff during the winter storms studied than during the wettest nonwinter flood. Snow melt during winter floods ranged from 0.04 to 0.07 inch per degree-day above 32° F. The depth of mean areal rainfall produced by the nonwinter storms studied ranged from 3.05 to 4.96 inches. The maximum 24-hour quantity at single stations was 14 inches, which was measured during the storm of July 1935 in New York. The volume of direct runoff ranged between 1.39 and 3.41 inches. The portion of rainfall that was converted into runoff varied in accordance with the rate of antecedent base flow, expressed in second-feet per square mile, and emphasized the influence of antecedent conditions. The average volume of direct runoff during winter floods was 4.24 inches, and the average during nonwinter floods was 2.44 inches. The latter, however, were more concentrated as to time, tending to compensate for large volume of runoff in winter, so that the crest rates of direct runoff averaged 0.056 inches per hour during the winter and 0.051 inches during the nonwinter period.

New York, Pennsylvania↗

An examination of techniques for reformatting digital cartographic data. Part 2: The vector-to raster process.

Current graphic devices suitable for high-speed computer input and output of cartographic data are tending more and more to be raster-oriented, such as the rotating drum scanner and the color raster display. However, the majority of commonly used manipulative techniques in computer-assisted cartography and automated spatial data handling continue to require that the data be in vector format. The current article is the second part of a two-part paper that examines the state of the art in these conversion techniques. - from Author

Cartographica: The International Journal for Geogr↗

Late winter and early spring home range and habitat use of the endangered Carolina northern flying squirrel in western North Carolina

The Carolina northern flying squirrel Glaucomys sabrinus coloratus is an endangered subspecies that is restricted to high elevation forests in the southern Appalachian Mountains. Owing to rugged terrain and nocturnal habits, the subspecies’ natural history, home range characteristics and habitat preferences are poorly known. We radio-tracked 3 female and 2 male Carolina northern flying squirrels during late winter through spring 2012 in the Pisgah National Forest, North Carolina, USA. Tracked squirrels used 13 yellow birch Betula alleghaniensis and 9 red spruce Picea rubens as diurnal dens. Ten of the yellow birch dens were in cavities, whereas the remainders were dreys. Conversely, 8 of the red spruce dens were dreys and one was in a cavity. Mean (±SE) female 95 and 50% adaptive kernel home ranges were 6.50 ± 2.19 and 0.93 ± 0.33 ha, respectively, whereas the corresponding values for males were 12.6 ± 0.9 and 1.45 ± 0.1 ha, respectively. Squirrels used red spruce stands with canopies >20 m more than expected based on availability at the landscape and home range scales. Results should be interpreted cautiously because of small sample sizes and seasonal observations; however, they provide evidence that although northern hardwoods such as yellow birch are an important den habitat component, mature red spruce-dominated habitats with complex structure provide foraging habitats and are also den habitat. Our findings support efforts to improve the structural condition of extant red spruce forests and/or increase red spruce acreage to potentially benefit Carolina northern flying squirrels.

North Carolina↗

Characterizing residence patterns of North Atlantic right whales in the southeastern U.S. with a multistate open robust design model

Effective conservation of endangered North Atlantic right whales (Eubalaena glacialis) requires information about their spatio-temporal distribution. Understanding temporal distribution is particularly important, because a portion of the population migrates between high latitude summer feeding grounds off the northeastern U.S. and Canadian Maritimes coasts and lower latitude calving and wintering grounds off the southeastern U.S. coast (SEUS). Here, we modeled SEUS residence patterns using photo-identification data from coastal South Carolina, Georgia, and Florida from seven winter seasons (2004/2005 – 2010/2011). We used multistate open robust design models to evaluate effects of reproductive status, demographic group, and environmental conditions on SEUS residence. Model estimates accounted for temporal variation and imperfect detection and provided probabilities of entering the SEUS, staying in the SEUS, and being sighted. We also derived estimates for residence time and seasonal abundance. We observed staggered arrival and departure patterns and demographic differences in residence patterns that are characteristic of a differential migration strategy. Calving females arrived earliest and, in most seasons, had mean residence periods more than twice as long as other demographic groups. Conversely, adult males arrived the latest, and had the shortest residence times. Within-season, biweekly detection was positively influenced by survey effort, and seasonal detection rate estimates ranged from 0.83 ± 0.08 for non-calving adult females to 0.98 ± 0.02 for calving females. Results provide insights into right whale behavior, biology, and temporal distribution in the SEUS and can be used to evaluate spatially- and temporally- dynamic management measures.

South Carolina, Georgia, Florida↗

Key seabird areas in southern New England identified using a community occupancy model

Seabirds are of conservation concern, and as new potential risks to seabirds are arising, the need to provide unbiased estimates of species’ distributions is growing. We applied community occupancy models to detection/non-detection data collected from repeated aerial strip-transect surveys conducted in 2 large study plots off southern New England, USA; one off the coast of Rhode Island and the other in Nantucket Sound. A total of 17 seabird species were observed at least once in each study plot. We found that detection varied by survey date and effort for most species and the average detection probability across species was less than 0.4. We estimated the influence of water depth, sea surface temperature, and sea surface chl a concentration on species-specific occupancy. Diving species showed large differences between the 2 study plots in their predicted winter distributions, which were largely explained by water depth acting as a stronger predictor of occupancy in Rhode Island than in Nantucket Sound. Conversely, similarities between the 2 study plots in predicted winter distributions of surface-feeding species were explained by sea surface temperature or chlorophyll a concentration acting as predictors of these species’ occupancy in both study plots. We predicted the number of species at each site using the observed data in order to detect ‘hot-spots’ of seabird diversity and use in the 2 study plots. These results provide new information on detection of species, areas of use, and relationships with environmental variables that will be valuable for biologists and planners interested in seabird conservation in the region.

Massachusetts, Rhode Island↗

An emerging crisis across northern prairie refuges: Prevalence of invasive plants and a plan for adaptive management

In the northern Great Plains, native prairies managed by the U.S. Fish and Wildlife Service (Service) can be pivotal in conservation of North America's biological diversity. From 2002 to 2006, we surveyed 7,338 belt transects to assess the general composition of mixed-grass and tallgrass prairie vegetation across five "complexes" (i.e., administrative groupings) of national wildlife refuges managed by the Service in North Dakota and South Dakota. Native grasses and forbs were common (mean frequency of occurrence 47%-54%) on two complexes but uncommon (4%-13%) on two others. Conversely, an introduced species of grass, smooth brome (Bromus inermis), accounted for 45% to 49% of vegetation on two complexes and another species, Kentucky bluegrass (Poa pratensis) accounted for 27% to 36% of the vegetation on three of the complexes. Our data confirm prior suspicions of widespread invasion by introduced species of plants on Service-owned tracts of native prairie, changes that likely stem in part from a common management history of little or no disturbance (e.g., defoliation by grazing or fire). However, variability in the degree and type of invasion among prairie tracts suggests that knowledge of underlying causes (e.g., edaphic or climatic factors, management histories) could help managers more effectively restore prairies. We describe an adaptive management approach to acquire such knowledge while progressing with restoration. More specifically, we propose to use data from inventories of plant communities on Service-owned prairies to design and implement, as experiments, optimal restoration strategies. We will then monitor these experiments and use the results to refine future strategies. This comprehensive, process-oriented approach should yield reliable and robust recommendations for restoration and maintenance of native prairies in the northern Great Plains. 2009 by the Board of Regents of the University of Wisconsin System.

Ecological Restoration↗

Terrestrial fauna are agents and endpoints in ecosystem restoration following dam removal

Dam removal is an effective and increasingly applied river restoration strategy. This has led to heightened calls for research and monitoring aimed at understanding physical and ecological outcomes following dam removal. While such research programs have increased, roles of terrestrial fauna in the restoration process remain poorly understood, although wildlife and invertebrate fauna are key components of restored ecosystems. Wildlife play reciprocal roles in restoration: they benefit from restored habitats and their activities affect restoration trajectories. Dam removal exposes substrates on former reservoirs and reconnects river corridors, providing new habitat and food resources for terrestrial fauna. Conversely, many wildlife may influence the river restoration process, with both short-term and long-term consequences for community composition, nutrient transfer, and ecosystem function. We assert that considering terrestrial fauna more directly in river restoration research and planning can enhance restoration outcomes. We illustrate these concepts by describing short-term patterns and potential future processes expected from the recent removal of two large dams on the Elwha River in Washington State, the largest dam removal effort ever undertaken. We conclude that an ecosystem-level understanding of restoration following dam removal is critical to fully assessing the impacts and benefits of restoration. This includes measuring the roles and responses of terrestrial fauna to these ecologically and culturally significant restoration projects.

Ecological Restoration↗

Prioritizing bottomland hardwood forest sites for protection and augmentation

Bottomland hardwood forest has been greatly diminished by conversion to agriculture. Less than 25% of the pre-Columbian bottomland hardwood forests remain in the southeastern United States. Because of the valuable ecological and hydrological functions performed by these forests, their conservation and restoration has been a high priority. Part of these restoration efforts has focused on developing tools that can be used for both assessments at the landscape level and policy implementation at the local level. The distribution of bottomland hardwood forests in the Cache and White River watersheds in eastern Arkansas were examined using existing GIS databases. Criteria were developed to select areas that should be conserved or augmented for wildlife habitat. Over 67% of the study area was classified as agriculture, with bottomland hardwood forest the next largest habitat class. The thickness of a forest fragment was defined as the radius of the largest circle that can be inscribed in a fragment. Thickness was used in three ways. First, individual forest fragments were identified and selected based on ecological function using criteria we established. Second, individual fragments that were too small to support interior species, but large enough that if moderately augmented they could recover that function, were identified and selected. These augmentable fragments were further prioritized by adjacency to habitat that might be suitable for reforestation, namely agriculture. Third, watersheds were prioritized for conservation and augmentation based on the size and distributions of forest fragment thickness and area within each watershed.

Arkansas↗

Efficacy of increased visual and olfactory cues for luring and trapping invasive tegu lizards

Controlling invasive wildlife species relies on the ability to efficiently remove individuals from the invaded environment. Thus, maximizing capture potential is of high interest, particularly for species that are difficult to capture. For invasive species such as the Argentine black and white tegu lizard ( Salvator merianae ), increasing attraction to traps could increase the probability of removal. While it has been established that S. merianae can be lured with a single chicken egg, the efficacy of increasing olfactory or visual cues to increase tegu captures has not been rigorously tested. To test this, we leveraged an ongoing National Park Service trapping effort near Everglades National Park. In 2023 and 2024, we randomly assigned traps to a control treatment (single real egg), increased olfactory and visual treatment (three real eggs), an increased visual plus standard olfactory treatment (one real egg and one decoy egg, or one real egg and two decoy eggs), or visual treatment only (three decoy eggs). We fitted Bayesian binomial models for tegu lizards and non-target species to the trapping data to assess how bait treatment, trap style, and trap location affected the daily probability of capture at a trap. Additionally, we fitted Bayesian linear models to test the effect of bait treatment on the size of tegus captured. We found that increasing the olfactory cue to three real eggs increased the probability of tegu capture, but not the probability of non-target species capture. Conversely, traps with one real egg and two decoy eggs increased the probability of non-target captures while reducing the probability of tegu captures. Trap style and trap location also had statistically significant effects. Bait treatment did not significantly influence the size of tegus captured; however, there was a weak effect suggesting juvenile and male tegus captured in traps with three real eggs were larger compared to traps with a single egg and two decoy eggs. Our results highlight potential improvements in tegu control methods that balance effective capture with minimizing non-target bycatch.

Florida↗

Linear and landscape disturbances alter Mojave desert tortoise movement behavior

Introduction: Animal movements are influenced by landscape features; disturbances to the landscape can alter movements, dispersal, and ultimately connectivity among populations. Faster or longer movements adjacent to a localized disturbance or within disturbed areas could indicate reduced habitat quality whereas slower or shorter movements and reduced movements may indicate greater availability of resources. The Mojave desert tortoise ( Gopherus agassizii ) is a threatened species that is challenged by anthropogenic disturbances. Methods: We studied tortoise movements using Global Positioning System (GPS) loggers at multiple sites in the Mojave Desert of Nevada and California. Tortoises at our sites encountered localized, linear human infrastructure, including paved roads, dirt roads, and fences, as well as landscape-scale disturbances [wildfire, off highway vehicle use (OHV), livestock grazing area]. We fit two-state (moving and encamped) Hidden Markov models to GPS logger data to infer how tortoise movement behavior relates to anthropogenic and natural features. Results: We found that temporal covariates, individual-level random effects (intercepts), and sex best explained state transition probability in all sites. We compared relationships between tortoise movement and linear disturbances, which varied depending on site and context. Tortoises made longer movements within the OHV recreation area, near most dirt roads, and near a low-traffic paved road, indicating that tortoises avoid these habitat disturbances. Conversely, tortoises made shorter movements in areas of higher slope and near highways, suggesting that these features may restrict movement or provide resources that result in prolonged use (e.g., forage or drinking locations). Tortoises that encountered fences around utility-scale solar installations were more active and made longer movements near fences, indicative of pacing behavior. Discussion: These results provide insight into how different disturbances alter tortoise movement behavior and modify tortoise habitat use, providing information that can be used to manage tortoise habitat.

California, Nevada↗

Benthic macroinvertebrate response to estuarine emergent marsh restoration across a delta-wide environmental gradient

Benthic invertebrates play vital roles in estuarine ecosystems, but like other taxa they have been excluded from former marshlands by diking and land use conversion. Dike removal is one way of restoring marsh, but the response of benthic invertebrates has been little studied. Also understudied is variation in benthic invertebrate communities across entire deltas, particularly in the Pacific Northwest of North America where deltas receive high flows and sediment loads for their size. Our goals were to evaluate invertebrate response to large-scale dike removal on the Nisqually River Delta in Puget Sound, Washington, U.S.A., characterize delta-wide invertebrate community variation, and relate invertebrate response and spatial variation to environmental conditions. We sampled invertebrates annually from one year before to three years after dike removal in restoring marsh, previously restored marsh, undisturbed reference marsh, and adjacent tidal flats. Marine taxa immediately colonized the area recently restored to tidal inundation and population size grew exponentially thereafter for several of them. Community composition and diversity recovered completely, and density and biomass were approaching recovery three years later. Invertebrate communities converged between restoring and pre-existing marsh (previously restored and reference), suggesting an influence of reestablished connectivity. Just offshore from the dike line, invertebrates declined one year after dike removal but then rebounded indicating resilience to short-term disturbance. Dike removal effects were not detected farther offshore. Near the offshore edge of the delta, invertebrate biomass and body size were greater than elsewhere and a diverse assemblage of crustaceans, polychaetes, and bivalves was present. Farther inshore, tidal flats were dominated by a few species of small-bodied polychaetes and had higher density but lower biomass and diversity. Facultative detritivores, which can also filter feed, were the dominant feeding guild everywhere on the tidal flats. Density, biomass, diversity, and community composition on the marsh were more similar to the inner than outer tidal flats. Environmental variables most associated with invertebrate community variation were elevation, salinity, and sediment grain size and organic content. Our results are relevant to assessing performance and setting expectations for future restorations and have broad implications for the role of benthic invertebrates in estuarine ecosystems.

Washington↗

Integrating high-resolution coastal acidification monitoring data across seven United States estuaries

Beginning in 2015, the United States Environmental Protection Agency’s (EPA’s) National Estuary Program (NEP) started a collaboration with partners in seven estuaries along the East Coast (Barnegat Bay; Casco Bay), West Coast (Santa Monica Bay; San Francisco Bay; Tillamook Bay), and the Gulf of Mexico (GOM) Coast (Tampa Bay; Mission-Aransas Estuary) of the United States to expand the use of autonomous monitoring of partial pressure of carbon dioxide ( p CO 2 ) and pH. Analysis of high-frequency (hourly to sub-hourly) coastal acidification data including p CO 2 , pH, temperature, salinity, and dissolved oxygen (DO) indicate that the sensors effectively captured key parameter measurements under challenging environmental conditions, allowing for an initial characterization of daily to seasonal trends in carbonate chemistry across a range of estuarine settings. Multi-year monitoring showed that across all water bodies temperature and p CO 2 covaried, suggesting that p CO 2 variability was governed, in part, by seasonal temperature changes with average p CO 2 being lower in cooler, winter months and higher in warmer, summer months. Furthermore, the timing of seasonal shifts towards increasing (or decreasing) p CO 2 varied by location and appears to be related to regional climate conditions. Specifically, p CO 2 increases began earlier in the year in warmer water, lower latitude water bodies in the GOM (Tampa Bay; Mission-Aransas Estuary) as compared with cooler water, higher latitude water bodies in the northeast (Barnegat Bay; Casco Bay), and upwelling-influenced West Coast water bodies (Tillamook Bay; Santa Monica Bay; San Francisco Bay). Results suggest that both thermal and non-thermal influences are important drivers of p CO 2 in Tampa Bay and Mission-Aransas Estuary. Conversely, non-thermal processes, most notably the biogeochemical structure of coastal upwelling, appear to be largely responsible for the observed p CO 2 values in West Coast water bodies. The co-occurrence of high salinity, high p CO 2 , low DO, and low temperature water in Santa Monica Bay and San Francisco Bay characterize the coastal upwelling paradigm that is also evident in Tillamook Bay when upwelling dominates freshwater runoff and local processes. These data demonstrate that high-quality carbonate chemistry observations can be recorded from estuarine environments using autonomous sensors originally designed for open-ocean settings.

California, Florida, Maine, New Jersey, Oregon, Te↗