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Identifying stakeholder-relevant climate change impacts: a case study in the Yakima River Basin, Washington, USA

Designing climate-related research so that study results will be useful to natural resource managers is a unique challenge. While decision makers increasingly recognize the need to consider climate change in their resource management plans, and climate scientists recognize the importance of providing locally-relevant climate data and projections, there often remains a gap between management needs and the information that is available or is being collected. We used decision analysis concepts to bring decision-maker and stakeholder perspectives into the applied research planning process. In 2009 we initiated a series of studies on the impacts of climate change in the Yakima River Basin (YRB) with a four-day stakeholder workshop, bringing together managers, stakeholders, and scientists to develop an integrated conceptual model of climate change and climate change impacts in the YRB. The conceptual model development highlighted areas of uncertainty that limit the understanding of the potential impacts of climate change and decision alternatives by those who will be most directly affected by those changes, and pointed to areas where additional study and engagement of stakeholders would be beneficial. The workshop and resulting conceptual model highlighted the importance of numerous different outcomes to stakeholders in the basin, including social and economic outcomes that go beyond the physical and biological outcomes typically reported in climate impacts studies. Subsequent studies addressed several of those areas of uncertainty, including changes in water temperatures, habitat quality, and bioenergetics of salmonid populations.

Washington

Adaptive management for recreational fisheries decisions in the face of uncertainty

Recreational fisheries management requires making decisions that consider social, economic, and ecological dimensions. The feedbacks among ecological changes and social responses by fishers create complexity and uncertainty. However, uncertainty can impede the integration of ecological and social dimensions, particularly when considering human behavioural responses to management decisions and ecological changes. One of the few ways to reduce these uncertainties is via experimentation at the system level. Adaptive management (and the larger umbrella of decision analysis) provides a framework to implement purposeful management experiments in a structured manner to learn through an iterative decision process, thereby allowing for the reduction in social and ecological uncertainties in response to planned policy interventions. We discuss the theory of adaptive management and conditions for which it is appropriate, as well as the benefits and costs of applying active versus passive adaptive management to reduce social and ecological uncertainties for recreational fisheries. We then provide key examples from previous studies on decisions for zoning in the Great Barrier Reef, Australia, stocking decisions that include stakeholder learning in Germany, and decisions for stocking and harvest management in British Columbia, that demonstrate best practices for implementation of adaptive management to reduce uncertainties surrounding human behaviour and other social and ecological objectives related to recreational fisheries.

Book chapter

Sediment-hosted zinc-lead deposits of the world— Database and grade and tonnage models

This report provides information on sediment-hosted zinc-lead mineral deposits based on the geologic settings that are observed on regional geologic maps. The foundation of mineral-deposit models is information about known deposits. The purpose of this publication is to make this kind of information available in digital form for sediment-hosted zinc-lead deposits. Mineral-deposit models are important in exploration planning and quantitative resource assessments: Grades and tonnages among deposit types are significantly different, and many types occur in different geologic settings that can be identified from geologic maps. Mineral-deposit models are the keystone in combining the diverse geoscience information on geology, mineral occurrences, geophysics, and geochemistry used in resource assessments and mineral exploration. Too few thoroughly explored mineral deposits are available in most local areas for reliable identification of the important geoscience variables, or for robust estimation of undiscovered deposits - thus, we need mineral-deposit models. Globally based deposit models allow recognition of important features because the global models demonstrate how common different features are. Well-designed and -constructed deposit models allow geologists to know from observed geologic environments the possible mineral-deposit types that might exist, and allow economists to determine the possible economic viability of these resources in the region. Thus, mineral-deposit models play the central role in transforming geoscience information to a form useful to policy makers. This publication contains a computer file of information on sediment-hosted zinc-lead deposits from around the world. It also presents new grade and tonnage models for nine types of these deposits and a file allowing locations of all deposits to be plotted in Google Earth. The data are presented in FileMaker Pro, Excel and text files to make the information available to as many as possible. The value of this information and any derived analyses depends critically on the consistent manner of data gathering. For this reason, we first discuss the rules applied in this compilation. Next, the fields of the data file are considered. Finally, we provide new grade and tonnage models that are, for the most part, based on a classification of deposits using observable geologic units from regional-scaled maps.

Open-File Report

Applied Geochemistry Special Issue on Environmental geochemistry of modern mining

Environmental geochemistry is an integral part of the mine-life cycle, particularly for modern mining. The critical importance of environmental geochemistry begins with pre-mining baseline characterization and the assessment of environmental risks related to mining, continues through active mining especially in water and waste management practices, and culminates in mine closure. The enhanced significance of environmental geochemistry to modern mining has arisen from an increased knowledge of the impacts that historical and active mining can have on the environment, and from new regulations meant to guard against these impacts. New regulations are commonly motivated by advances in the scientific understanding of the environmental impacts of past mining. The impacts can be physical, chemical, and biological in nature. The physical challenges typically fall within the purview of engineers, whereas the chemical and biological challenges typically require a multidisciplinary array of expertise including geologists, geochemists, hydrologists, microbiologists, and biologists. The modern mine-permitting process throughout most of the world now requires that potential risks be assessed prior to the start of mining. The strategies for this risk assessment include a thorough characterization of pre-mining baseline conditions and the identification of risks specifically related to the manner in which the ore will be mined and processed, how water and waste products will be managed, and what the final configuration of the post-mining landscape will be. In the Fall 2010, the Society of Economic Geologists held a short course in conjunction with the annual meeting of the Geological Society of America in Denver, Colorado (USA) to examine the environmental geochemistry of modern mining. The intent was to focus on issues that are pertinent to current and future mines, as opposed to abandoned mines, which have been the focus of numerous previous short courses. The geochemical challenges of current and future mines share similarities with abandoned mines, but differences also exist. Mining and ore processing techniques have changed; the environmental footprint of waste materials has changed; environmental protection has become a more integral part of the mine planning process; and most historical mining was done with limited regard for the environment. The 17 papers in this special issue evolved from the Society of Economic Geologists’ short course. The relevant geochemical processes encompass the source, transport, and fate of contaminants related to the life cycle of a mine. Contaminants include metals and other inorganic species derived from geologic sources such as ore and solid mine waste, and substances brought to the site for ore processing, such as cyanide to leach gold. Factors, such as mine-waste mineralogy, hydrologic setting, mine-drainage chemistry, and microbial activity, that affect the hydrochemical risks from mining are reviewed by Nordstrom et al. In another paper, Nordstrom discusses baseline characterization at mine sites in a regulatory framework, and emphasizes the influence of mineral deposits in producing naturally elevated concentrations of many trace elements in surface water and groundwater. Surface water quality in mineralized watersheds is influenced by a number of processes that act on daily (diel) cycles and can produce dramatic variations in trace element concentrations as described by Gammons et al. Pre-mining baseline characterization studies should strive to capture the magnitude of these diel variations. Desbarats et al., using a case study of mine drainage from a gold mine, illustrate how elements that commonly occur as negatively charged species (anions) in solution, such as arsenic as arsenate, behave in an opposite fashion than most metals, which occur as positively charged species (cations). Significant improvement in the understanding of factors that influence the toxicity of metals to aquatic organisms in surface water has highlighted the importance of aqueous chemistry, particularly dissolved organic carbon, as described by Smith et al. Stream sediment contamination is another important pathway for affecting aquatic organisms, as reviewed by Besser et al. Understanding and predicting environmental consequences from mining begins with knowing the mineralogy and mineral reactivity of the ore, the wastes, and of secondary minerals formed later. Jamieson et al. review the importance of mineralogical studies in mine planning and remediation. A number of types of site-specific studies are needed to identify environmental risks related to individual mines. Lapakko reviews the general framework of mine waste characterization studies that are integral to the mine planning process. Hageman et al. present a comparative study of several static tests commonly used to characterize mine waste. The mining and ore processing practices employed at a specific mine site will vary on the basis of the commodities being targeted, the geology of the deposit, the geometry of the deposit, and the mining and ore processing methods used. Thus, these factors, in addition to the waste management practices used, can result in a variety of end-member mine waste features, each of which has its own set of challenges. Open pit mines and underground mines require waste rock to be removed to access ore. Waste rock presents unique problems because the rock is commonly mineralized at sub-economic grades and has not been processed to remove potentially problematic minerals, such as pyrite. Amos et al. examine the salient aspects of the geochemistry of waste rock. Mill tailings – the waste material after ore minerals have been removed – are a volumetrically important solid waste at many mine sites. Their fine grain size and the options for their management make their behavior in the environment distinct from that of waste rock. Lindsay et al. describe some of these differences through three case-study examples. Subaqueous disposal of tailings is another option described by Moncur et al. Cyanide leaching for gold extraction is a common method throughout the world. Johnson describes environmental aspects of cyanidation. Uranium mining presents unique environmental challenges, particularly since in-situ recovery has seen widespread use. Campbell et al. review the environmental geochemistry of uranium mining and current research on bioremediation. Ore concentrates from many types of metal mining undergo a pyrometallurgical technique known as smelting to extract the metal. Slag is the result of smelting, and it may be an environmental liability or a valuable byproduct, as described by Piatak et al. Finally, the open pits that result from surface mining commonly reach below the water table. At the end of mining, these pits may fill to form lakes that become part of the legacy of the mine. Castendyk et al., in two papers, review theoretical aspects of the environmental limnology of pit lakes. They also describe approaches that have been used to model pit lake water balance, wall-rock contributions to pit lake chemistry, pit lake water quality, and limnological processes, such as vertical mixing, through the use of three case studies.

Applied Geochemistry

Surveillance strategies for detecting Chronic Wasting Disease in free-ranging deer and elk: Results of a CWD surveillance workshop

Executive Summary Chronic Wasting Disease (CWD), a fatal brain disease of North American deer and elk, has recently emerged as an important wildlife management issue. Interest and concern over the spread of this disease and its potential impact on free-ranging cervid populations has increased with discovery of the disease in numerous states and provinces. Current studies suggest that CWD may adversely affect of these highly visible, socially desirable, and economically valuable species. Despite the lack of evidence that CWD affects humans or livestock, a significant concern has been the perceived risk to humans and livestock. Uncertainty about whether CWD poses a health risk to hunters and their families who consume venison has resulted in testing of free-ranging cervids for CWD. In response to many of these concerns, wildlife management agencies across the nation have undertaken surveillance programs to detect CWD in their cervid populations. The nation-wide costs for an extensive CWD surveillance program have been estimated at several million dollars. This document provides guidance on the development and conduct of scientifically sound surveillance programs to detect CWD in free-ranging deer and elk populations. These guidelines will not apply equally to all jurisdictions. In many cases local circumstances, resources, area(s) of concern, disease risk, animal and landscape ecology, political, social, and many other factors will influence the objectives, design, and conduct of CWD surveillance programs. Part I of this report discusses the importance of management goals, strategies, and disease risks in developing a surveillance program. Part II describes surveillance methods, steps in designing a sampling strategy to detect CWD, alternative collection methods, and statistical considerations. Part III describes costs (personnel, time, and money) associated with implementation of these plans that will influence program design. Part IV outlines research that is needed to further development of CWD surveillance methods. Unfortunately in dealing with CWD, many important biological facts are still unknown and further research will be required to answer these questions. In most situations surveillance strategies suggested may require several years to complete, will require careful consideration of management objectives, and extensive operational planning in order to be meaningful and to be scientifically based.

Book

Volcanic hazards and their mitigation: progress and problems

At the beginning of the twentieth century, volcanology began to emerge as a modern science as a result of increased interest in eruptive phenomena following some of the worst volcanic disasters in recorded history: Krakatau (Indonesia) in 1883 and Mont Pelée (Martinique), Soufrière (St. Vincent), and Santa María (Guatemala) in 1902. Volcanology is again experiencing a period of heightened public awareness and scientific growth in the 1980s, the worst period since 1902 in terms of volcanic disasters and crises. A review of hazards mitigation approaches and techniques indicates that significant advances have been made in hazards assessment, volcano monitoring, and eruption forecasting. For example, the remarkable accuracy of the predictions of dome-building events at Mount St. Helens since June 1980 is unprecedented. Yet a predictive capability for more voluminous and explosive eruptions still has not been achieved. Studies of magma-induced seismicity and ground deformation continue to provide the most systematic and reliable data for early detection of precursors to eruptions and shallow intrusions. In addition, some other geophysical monitoring techniques and geochemical methods have been refined and are being more widely applied and tested. Comparison of the four major volcanic disasters of the 1980s (Mount St. Helens, U.S.A. (1980), El Chichón, Mexico (1982); Galunggung, Indonesia (1982); and Nevado del Ruíz, Colombia (1985) illustrates the importance of predisaster geoscience studies, volcanic hazards assessments, volcano monitoring, contingency planning, and effective communications between scientists and authorities. The death toll (>22,000) from the Ruíz catastrophe probably could have been greatly reduced; the reasons for the tragically ineffective implementation of evacuation measures are still unclear and puzzling in view of the fact that sufficient warnings were given. The most pressing problem in the mitigation of volcanic and associated hazards on a global scale is that most of the world's dangerous volcanoes are in densely populated countries that lack the economic and scientific resources or the political will to adequately study and monitor them. This problem afflicts both developed and developing countries, but it is especially acute for the latter. The greatest advances in volcanic hazards mitigation in the near future are most likely to be achieved by wider application of existing technology to poorly understood and studied volcanoes, rather than by refinements or new discoveries in technology alone.

Reviews of Geophysics

Research in coal paleobotany since 1943

The varied applications of paleobotany to coal resource studies, coal technology, and to fundamental physical and chemical research on coal are briefly indicated. The usual conception of paleobotany is not as broad as this, and many of the studies of fossil plants have been conducted without reference to the part the plant materials assume in composing coal. The interrelationship of paleobotany with the physical constitution and petrography of coal is an intimate one. which is too involved for treatment in the present paper. Chief emphasis is devoted to review of plant microfossil investigations during the past several years.The consistent abundance of plant microfossils in coal and its associated rocks is now generally recognized. One of the greatest difficulties in using this material for correlation and for extending our knowledge of the plant composition of coal has been in systematic (taxonomic) treatment of the materials. The reviews of recent literature are presented chiefly with reference to the diverse systematic approaches of various authors. The contrast between essentially nonbotanical or morphologic classification schemes, which are simpler to apply and which may serve adequately for local correlational studies, and those studies conceived on a more fundamental basis of plant taxonomy, for paleogeographic and ecologic interpretation of botanically related groups, is presented. Both viewpoints should be kept clearly in mind, since differing circumstances of study and differing objectives may suggest the advisability of using one rather than the other method of systematic treatment of these fossils. No other fossils are so conveniently available from the coal deposits of primary interest.

Economic Geology

Estimates of predator densities using mobile DIDSON surveys: Implications for survival of Central Valley Chinook Salmon

The Sacramento–San Joaquin Delta (hereafter, “the Delta”) is one of the estuaries with the most invasive species in the world, and nonnative predators may be a major factor in the observed decline of Central Valley Chinook Salmon Oncorhynchus tshawytscha over recent decades. In order for managers to take actions that might reduce predation-related mortality for these ecologically, culturally, and economically valuable fish, it is important to understand the factors influencing the distribution and abundance of piscivores in the Delta. In this study, we used a dual-frequency identification sonar (i.e., DIDSON) to conduct mobile surveys to quantify the abundances of piscivores in the Delta. We then used these data to identify the habitat features that are correlated with the abundance of piscivores. Prior to conducting the surveys, we used DIDSON data from captured fish to develop an algorithm to distinguish piscivores from nonpiscivores with high confidence (98% accuracy). A generalized linear mixed-effects model fit to these survey data indicated that predator abundances were most associated with areas of increased submerged aquatic vegetation patches, and channels that are straighter, with increased bathymetric complexity. When applied to the entire survey area, this model was successfully able to predict known areas of high predator densities. These results indicate that one approach to reduce predator densities in key locations throughout the Delta, and improve juvenile salmonid outmigration survival, is to reduce the extent of invasive submerged aquatic vegetation. Because experimental predator removals have been largely ineffective in the Delta, efforts to manipulate habitat to discourage nonnative predator recruitment and favor native species recruitment may provide a more effective solution to improve salmonid survival rates.

California

Correspondence analysis for mineral commodity research: An example workflow for mineralized calderas, southwest United States

Historical mine and mineral deposit datasets are routinely used to inform quantitative mineral assessment models, but they also can contain a wealth of supplementary qualitative information that is generally underutilized. We present a workflow that uses correspondence analysis, an exploratory tool commonly applied to multivariate abundance data, to better utilize qualitative data in these historical datasets. The workflow involves extraction of qualitative information on ore mineralogy from a mineral deposit database, attaches those data to a target geological feature, and analyzes the underlying data structure with correspondence analysis and hierarchical clustering. The output of correspondence analysis is inversely weighted to the relative frequency of ore minerals, and therefore rare mineral species (i.e., those with unusually low frequencies) can disproportionately contribute to the total variance of the dataset. We present a novel technique for aggregating frequencies of rare mineral species that minimizes this effect. We apply this workflow to evaluate how ore mineral assemblages in former and active mines vary in spatial relation to silicic calderas in the southwestern United States. The most common ore mineral associations observed spatially and genetically associated to calderas include those related to polymetallic, base metal-rich systems and epithermal Au–Ag systems. Three other groups of mineralized calderas were identified, including: (1) Hg–Sb mineralized calderas in the northern Great Basin and western Nevada volcanic field; (2) calderas associated with elevated abundances of Mn oxides/hydroxides, fluorite, and Be-minerals, mostly in eastern Utah and New Mexico; and (3) calderas with numerous U ± F deposits, which are located in central Colorado, the eastern Great Basin and in northern Nevada. The latter three groups are associated with economically significant critical mineral resources, including the Li resources of the McDermitt complex and Be associated with the Spor Mountain on the margin of the Thomas caldera complex. We conclude that correspondence analysis is a promising technique that can enhance data exploration of the qualitative information held within mineral deposit datasets. Consequently, it could have numerous applications for mineral potential mapping, resource assessment projects, and characterization of mineral systems.

Natural Resources Research

Energy and conservation benefits from managed prairie biomass

Marginally productive land, such as that enrolled in the Conservation Reserve Program (CRP), may provide acreage and economic incentives for cellulosic energy production. Improving the yields from these lands will help establish a biomass producer's position in the marketplace. The effects of water and nitrogen on biomass yields were investigated in both a plot-scale experiment and a broad-scale survey of CRP lands. The plot-scale experiment demonstrated that irrigation improved mixed-species prairie biomass yields more than nitrogen fertilizer on coarse-textured, marginally productive soils. Experimental plots amended with both irrigation and moderate (but not high) nitrogen produced more biomass than other treatment combinations, but this trend was not statistically significant. The survey of biomass yields on CRP lands across four Midwestern States indicates that yields are better correlated with June rainfall than any other individual month. Applying nutrient-enriched water such as agricultural runoff could benefit prairie yields if applied at appropriate times.

Conference Paper

Coastal classification atlas: South Texas coastal classification maps: Mansfield Channel to the Rio Grande

The Nation's rapidly growing coastal population requires reliable information regarding the vulnerability of coastal regions to storm impacts. This has created a need for classifying coastal lands and evaluating storm-hazard vulnerability. Government officials and resource managers responsible for dealing with natural hazards also need accurate assessments of potential storm impacts in order to make informed decisions before, during, and after major storm events. Both economic development and coastal-damage mitigation require integrated models of storm parameters, hazard vulnerability, and expected coastal responses. Thus, storm-hazard vulnerability assessments constitute one of the fundamental components of forecasting storm impacts. Each year as many as 10 to 12 hurricanes and tropical storms will be the focus of national attention. Of particular interest are intense hurricanes (Categories 3 to 5 of the Saffir-Simpson Hurricane Scale) that have the potential to cause substantial economic and environmental damage to the Atlantic and Gulf Coasts of the United States. These coastal regions include some of the largest metropolitan areas in the country and they continue to experience rapid population growth. Based on media reports, there is a general lack of public knowledge regarding how different coastal segments will respond to the same storm or how the same coastal segment will respond differently depending on storm conditions. A primary purpose of the USGS National Assessment of Coastal Change Project is to provide accurate representations of pre-storm ground conditions for areas that are designated high priority because they have dense populations or valuable resources that are at risk. A secondary purpose is to develop a broad coastal classification that, with only minor modification, can be applied to most coastal regions in the United States.

Texas

Characterizing fragmentation of the collective forests in southern China from multitemporal Landsat imagery: A case study from Kecheng district of Zhejiang province

Tropical and subtropical forests provide important ecosystem goods and services including carbon sequestration and biodiversity conservation. These forests are facing increasing socioeconomic pressures and are rapidly being degraded and fragmented. This analysis focuses on the rate of change and patterns of fragmentation in a collective forest area in Zhejiang province, China, during the time period 1988–2005. The research consisted of two parts. The first was the development of general land cover maps and the identification of land cover changes by interpreting Landsat Thematic Mapper (TM) and Enhanced Thematic Mapper Plus (ETM+) time series imagery. The second part involved the computation and analysis of forest fragmentation metrics. For this portion of the study, fragmentation statistics were analyzed, and images were developed to depict forest fragmentation patterns and trends. Results revealed that there was a net loss of 7.8% in forest coverage, dropping from 66.8% in 1988 to 59.0% in 2005, primarily caused by agricultural expansion and poor forest management practices. An acceleration of forest fragmentation was also witnessed during the time intervals, which was evidenced by a decreasing trend in interior forest (57.2% in 1988, 55.0% in 1996 and 54.8% in 2005 respectively) coupled with the scales of the selected geospatial metrics. Continued forest loss and fragmentation are closely correlated with the existing political, educational, institutional and economic processes of contemporary China. To unlock the developmental potentials of the collective forests and to effectively mitigate the rate of forest loss and fragmentation, reforms of forest tenure and ecological immigration practices are recognized as a prospective alternative. The produced fragmentation maps further illustrates the importance of assessing landscape change history, especially the spatiotemporal patterns of forest fragments, when developing landscape level plans for biodiversity conservation, land use management and ecologically sustainable forestry.

Applied Geography

Ground-water control of evaporite deposition

Topographically closed basins may be hydrologically open as a result of seepage losses to underlying or surrounding ground-water systems. In such cases, these losses can have a substantial control over the suite and the thicknesses of evaporite minerals formed in the basin. The ratio of ground-water outflow to inflow (flux ratio) in hydrologically open basins is as important in determining the mineralogy and thicknesses of evaporite deposits as the solute composition of the inflow water. Attainment of steady state flux ratios permits large thicknesses of two or three minerals to form rather than thin veneers of many minerals. The presence or absence of glauberite, mirabilite, halite, bloedite, polyhalite, and hexahydrite, caused by subtle changes in the ground-water seepage is illustrated using an example from the Southern High Plains of Texas and New Mexico. However, the model is general and is applicable with any solute composition including that of seawater and the use of surface rather than ground water. An analytical, lumped parameter, solute mass balance model is developed to define the concept of a ground-water flux ratio as it applies to topographically closed basins in which evaporation exceeds precipitation. Diffusion, advection, and density-driven flow are proposed as mechanisms by which solutes can escape to the ground water from these closed basins. The geochemical reaction computer program PHRQPITZ is used to document the effects of various flux ratios on the mineralogy and thickness of deposits. Solute analyses used in conjunction with the model can be used to screen prospective basins as well as to provide insights for exploratory drilling program.

Texas, New Mexico

A bright spot analysis of inland recreational fisheries in the face of climate change: Learning about adaptation from small successes

Inland recreational fisheries have social, economic, and ecological importance worldwide but these fisheries are increasingly challenged by the diverse effects of climate change. Coupled with other anthropogenic stressors, climate change has contributed to declines in freshwater biodiversity of greater severity than those observed across marine or terrestrial taxa. At a macro level, inland fisheries are experiencing declines. There are, however, a number of success stories, or ‘bright spots,’ in inland recreational fisheries management, where innovative approaches are leading to increases in social and ecological well-being in the face of climate change. Cases such as these are important sources of inspiration and learning about adaptation to climate and environmental change. In this article, we analyze 11 examples of such ‘bright spots’ drawn from multiple jurisdictions around the world from which we extracted lessons that might apply to fisheries management challenges beyond the region and context of each case. Collectively, these bright spots highlight adaptive initiatives that allow for recreational fisheries management to mitigate to stressors associated with current and future climate change. Examples identified include community-based restoration projects, collaborative and adaptive approaches to short-term fisheries closures, transdisciplinary large-scale conservation projects, and conservation-minded efforts by individuals and communities. By highlighting examples of ‘small wins’ within inland recreational fisheries management, this review contributes to the idea that a ‘positive future’ for inland recreational fisheries in the face of climate change is possible and highlights potential strategies to adapt to current and future climate scenarios.

Reviews in Fish Biology and Fisheries

Update of the 2008 provisional Enhanced Geothermal Systems (EGS) assessment for the Great Basin, USA

In response to the Energy Act of 2020, the U.S. Geological Survey (USGS) is updating the Enhanced Geothermal Systems (EGS) resource assessment for the Great Basin, USA. The previous 2008 provisional assessment estimated how much electricity could be generated from EGS resources of the western United States using models of electric-grade heat, models of heat extraction over time, and estimates of how much rock might be stimulated to produce viable amounts of heat. Herein, a similar conceptual strategy is applied, using updated models of heat extraction as a function of fracture spacing and well distance. Previously used reservoir heat delivery models are updated to have a dependence on fracture and well spacing, potentially improving future estimates of EGS resources as ongoing research provides a better understanding about the success of reservoir stimulation as a function of geology and location. For a range of well distances (250-1000 m) and fracture spacings (1-50 m), heat extraction efficiency ranges from 25-62%, demonstrating the importance of accounting for the most likely results of proven viable fracturing technologies. Although fracturing is important, the biggest uncertainty by far in estimating the EGS resource for the Great Basin is estimating which geologic units at what depths can be stimulated sufficiently to produce geothermal energy economically and efficiently. Uncertainties in these factors yield estimates that range over two orders of magnitude with an upper limit of ~174 terawatts-thermal (TWth) produced for 30 years from the upper 7 km of the crust. This upper limit would require significant technological advances to access most of the electric-grade resource across the Great Basin. Assuming that 1% of this estimate will be accessible in the next few decades gives a resource estimate similar to that made in the 2008 provisional assessment. These estimated EGS heat extraction rates far exceed ( greater than 100x) the natural geothermal heat production rate, thus geothermal electricity production at these rates might not be sustainable unless heat is also recharged from other sources (e.g., excess solar energy when supply exceeds demand). In addition to assessment maps and cumulative estimates, the new models of fractured reservoirs developed herein can be used to estimate steady power production given a set of fractures and well spacing, and estimates can be made for setback distances to ensure no thermal interference with nearby powerplants.

Arizona, California, Idaho, Nevada, Oregon, Utah

Sustainability trade-offs at the nexus of solar energy, agriculture, and biodiversity

A rapid transition to renewable energy is necessary for achieving global decarbonization targets, but siting conflicts, particularly beyond the built environment, remain a key barrier to sustainable development. At the same time, climate-induced pressures on biodiversity intensify the socio-ecological trade-offs within the energy-agriculture-biodiversity nexus. Using New York State as a case study, we assess the geographic implications of utility-scale solar energy development under competing land-use priorities. We apply a mixed-integer linear programming (MILP) optimization model to evaluate solar buildout across three distinct scenarios: minimizing cost, prioritizing agricultural preservation, and conserving biodiversity, employing a lexicographic hierarchy to enforce a strict ordering of stakeholder priorities. Results indicate that New York can meet its mid-century decarbonization goals by deploying 46,216 MW dc of solar energy, however, achieving this goal involves considerable land-use trade-offs. A cost-minimizing scenario disproportionately targets pasture and hay lands (>40,000 ha), nearly half of which overlap with grassland bird habitat and broader biodiversity areas. Prioritizing agriculture spares ∼80 % of farmland but creates potential for deforestation of over 41,000 ha. Biodiversity-conscious siting avoids ecologically sensitive areas and increases the annualized total costs by 0.17 %, indicating economic feasibility. Our findings highlight the need for spatially informed, integrative land-use strategies that reconcile climate goals with ecological and agricultural values. By linking geospatial optimization with socio-ecological criteria, this work contributes a transferable framework to inform just and ecologically responsible energy transitions in multifunctional landscapes, offering new insights into how geography can advance sustainable development.

New York

Peak-flow and low-flow magnitude estimates at defined frequencies and durations for nontidal streams in Delaware

Reliable estimates of the magnitude of peak flows in streams are required for the economical and safe design of transportation and water conveyance structures. In addition, reliable estimates of the magnitude of low flows at defined frequencies and durations are needed for meeting regulatory requirements, quantifying base flows in streams and rivers, and evaluating time of travel and dilution of toxic spills. This report, in cooperation with the Delaware Department of Transportation and the Delaware Geological Survey, presents methods for estimating the magnitude of peak flows and low flows at defined frequencies and durations on nontidal streams in Delaware, at locations both monitored by streamflow-gage sites and ungaged. Methods are presented for estimating (1) the magnitude of peak flows for return periods ranging from 2 to 500 years (50-percent to 0.2-percent annual-exceedance probability), and (2) the magnitude of low flows as applied to 7-, 14-, and 30-consecutive day low-flow periods with recurrence intervals of 2, 10, and 20 years (50-, 10-, and 5-percent annual non-exceedance probabilities). These methods are applicable to watersheds that exhibit a full range of development conditions in Delaware. The report also describes StreamStats, a web application that allows users to easily obtain peak-flow and low-flow magnitude estimates for user-selected locations in Delaware. Peak-flow and low-flow magnitude estimates for ungaged sites are obtained using statistical regression analysis through a process known as regionalization, where information from a group of streamflow-gage sites within a region forms the basis for estimates for ungaged sites within the same region. Ninety-four streamflow-gage sites in and near Delaware with at least 10 years of nonregulated annual peak-flow data were used for the peak-flow regression analysis, a subset of the 121 sites for which peak-flow estimates were computed. These sites included both continuous-record streamflow-gage sites as well as partial record sites. Forty-five streamflow-gage sites with at least 10 years of nonregulated low-flow data available were used for the low-flow regression analyses, a subset of the 68 sites for which low-flow estimates were computed. Estimates for gaged sites are obtained by combining (1) the station peak-flow statistics (mean, standard deviation, and skew) and peak-flow estimates using the recent Bulletin 17C guidelines that incorporate the Expected Moments Algorithm with (2) regional estimates of peak-flow magnitude derived from regional regression equations and regional skew derived from sites with records greater than or equal to 35 years. Example peak-flow estimate calculations using the methods presented in the report are given for (1) ungaged sites, (2) gaged sites, (3) sites upstream or downstream from a gaged location, and (4) sites between gaged locations. Estimates for low-flow gaged sites are obtained by combining (1) the station low-flow statistics (mean, standard deviation, and skew) and low-flow estimates with (2) regional estimates of low-flow magnitude derived from regional regression equations. Example low-flow estimate calculations using the methods presented in the report are given for (1) ungaged sites, (2) gaged sites, (3) sites upstream or downstream from a gaged location, and (4) sites between gaged locations. A total of 54 sites in the Coastal Plain region were used to develop peak-flow regressions for the region and 40 sites were used for the Piedmont region. Similarly, 24 sites were used for low-flow regression equation development in the Coastal Plain, with 21 in the Piedmont. Peak and low-flow site inclusion in the Coastal Plain tended to be more restricted with tidal influence and ranges of basin characteristics, including drainage area, limiting regression equation development and application. Regional regression equations for peak flows and low flows, as applicable to ungaged sites in the Piedmont and Coastal Plain Physiographic Provinces in Delaware, are presented. Peak-flow regression equations used variables that quantified drainage area, basin slope, percent area with well-drained soils, percent area with poorly drained soils, impervious area, and percent area of surface water storage in estimating peak-flow estimates, whereas low-flow regression equations used only drainage area and percent poorly drained soils in the estimation of low flows. Average standard errors for peak-flow regressions tended to be lower than those for low- flow regressions, with lower errors in the Piedmont region for both peak- and low-flow regressions. For peak-flow estimates, a sensitivity analysis of Piedmont regression equation estimates to changes in impervious area is also presented. Additional topics associated with the analyses performed during the study are discussed, including (1) the availability and description of 32 basin and climatic characteristics considered during the development of the regional regression equations; (2) the treatment of increasing trends in the annual peak-flow series identified at 18 gaged sites and inclusion in or exclusion from the regional analysis; (3) regional skew analysis and determination of regression regions; (4) sample adjustments and removal of sites owing to regulation and redundancy; and (5) a brief comparison of peak- and low-flow estimates at gages used in previous studies.

Delaware

USGS ecosystem research for the next decade: advancing discovery and application in parks and protected areas through collaboration

Ecosystems within parks and protected areas in the United States and throughout the world are being transformed at an unprecedented rate. Changes associated with natural hazards, greenhouse gas emissions, and increasing demands for water, food, land, energy and mineral resources are placing urgency on sound decision making that will help sustain our Nation’s economic and environmental well-being (Millennium Ecosystem Assessment, 2005). In recognition of the importance of science in making these decisions, the U.S. Geological Survey (USGS) in 2007 identified ecosystem science as one of six science directions included in a comprehensive decadal strategy (USGS 2007). The Ecosystems Mission Area was identified as essential for integrating activity within the USGS and as a key to enhanced integration with other Federal and private sector research and management organizations (Myers at al., 2007). This paper focuses on benefits to parks and protected areas from the USGS Ecosystems Mission Area plan that expanded the scope of the original 2007 science strategy, to identify the Bureau’s work in ecosystem science over the next decade (Williams et al., 2013). The plan describes a framework that encompasses both basic and applied science and allows the USGS to continue to contribute meaningfully to conservation and management issues related to the Nation’s parks and ecological resources. This framework relies on maintaining long-standing, collaborative relationships with partners in both conducting science and applying scientific results. Here we summarize the major components of the USGS Ecosystems Science Strategy, articulating the vision, goals and strategic approaches, then outlining some of the proposed actions that will ultimately prove useful to those managing parks and protected areas. We end with a discussion on the future of ecosystem science for the USGS and how it can be used to evaluate ecosystem change and the associated consequences to management of our Nation’s natural resources.

The George Wright Forum