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Louisiana coastal ecosystem

Louisiana's coast and its degradation and restoration are major environmental issues being studied at the National Wetlands Research Center. Coastal ecosystems are vulnerable because of the tremendous amount of human activity that takes place along the coast. Information on ecological processes is essential to guide the development along the coast as well as to protect and restore wildlife habitat. Louisiana has about 40% of coastal wetlands in the lower 48 states; they support fish, waterfowl, and fur-bearing animals as well as unique cultures like that of the Acadians. The fish and wildlife resources of Louisiana's coast produce over $1 billion each year in revenues. But Louisiana has the highest coastal loss rate because of natural and human causes. Over the past three decades, Louisiana has lost as much as 35-40 mi 2 (90-104 km 2 ) of coastal wetlands a year. The National Wetlands Research Center is qualified to assess and monitor this ecosystem because of its proximity to the study area, a staff chosen for their expertise in the system, and a number of established partnerships with others who study the areas. The Center is often the lead group in partnerships with universities, other federal agencies, and private entities who study this ecosystem. Most of the Center's research and technology development performed for coastal wetlands are done at the Lafayette headquarters; some work is performed at the National Wetlands Research Center's project office in Baton Rouge, LA.

Fact Sheet

U.S. Geological Survey coastal plain amplification virtual workshop

In early October of 2020, the U.S. Geological Survey (USGS) held a virtual workshop to discuss Gulf and Atlantic Coastal Plains site-response models. Earthquake researchers came together to assess (1) research related to proposed Coastal Plains amplification models and (2) USGS plans for implementing these models. Presentations spanned a broad range of topics from Atlantic and Gulf Coastal Plains geophysical properties including seismic velocity and attenuation, to ground motion amplification models and their impacts on seismic hazard. Interspersed with these presentations were discussions regarding the definition and extent of the Atlantic and Gulf Coastal Plains, potential complexities of wave propagation in the Atlantic and Gulf Coastal Plains, and problems that need to be overcome to implement various proposed site-response models. Based on feedback from this workshop, the USGS working group on Coastal Plain Amplification is considering applying published models that depend on sediment thickness. The working group is also exploring potential application of models that depend on the length of path traversed across the Coastal Plain, including the Gulf Coastal Plain ground-motion model adjustments from the Next Generation Attenuation Relationships for the Eastern United States.

Gulf and Atlantic Coast Plains

Social and biological perspectives to investigate and address illegal shooting of raptors

Humans have shot raptors for centuries. However, in many countries these actions have been illegal since the mid-twentieth century. Despite this history, there is not a comprehensive understanding of the characteristics of this activity, its frequency, and why it occurs. We used literature review and principles drawn from ecology, sociology, and criminology to understand this problem. First, we review literature on raptor shooting globally to explore documented motivations for shooting and we describe the history of raptor shooting in the United States of America (USA). Then, to illustrate the contemporary frequency and geographic breadth of the shooting of raptors, we systematically compile records from scientific and media reports from across the USA. Finally, we outline a transdisciplinary framework to meet the challenge of understanding and managing illegal shooting of raptors. Our framework encompasses six best practices: (1) understand the biology of the problem, (2) build professional networks and partnerships, (3) leverage engagement and public support, (4) apply insights from study of human-wildlife interactions, (5) draw lessons from criminology, and (6) use implementation science to evaluate outcomes. We illustrate application of these best practices with a case study from an Illegal Shooting Working Group recently formed in Boise, Idaho, USA. There is growing recognition that illegal shooting of raptors is a pressing conservation challenge. Solving this challenge can be facilitated by inclusion of information from multiple fields of study; the approach we outline provides one potential mechanism to address this issue.

Global Ecology and Conservation

Status of whitebarkpine in the Greater Yellowstone Ecosystem: A step-trend analysis comparing 2004-2007 to 2008-2011

Whitebark pine (Pinus albicaulis) is a foundation and keystone species in upper subalpine environments of the northern Rocky Mountains that strongly influences the biodiversity and productivity of high-elevation ecosystems (Tomback et al. 2001, Ellison et al. 2005). Throughout its historic range, whitebark pine has decreased significantly as a major component of high-elevation forests. As a result, it is critical to understand the challenges to whitebark pine—not only at the tree and stand level, but also as these factors influence the distribution of whitebark pine across the Greater Yellowstone Ecosystem (GYE). In 2003, the National Park Service (NPS) Greater Yellowstone Inventory & Monitoring Network identified whitebark pine as one of twelve significant natural resource indicators or vital signs to monitor (Jean et al. 2005, Fancy et al. 2009) and initiated a long-term, collaborative monitoring program. Partners in this effort include the U.S. Geological Survey, U.S. Forest Service, and Montana State University with representatives from each comprising the Greater Yellowstone Whitebark Pine Monitoring Working Group. The objectives of the monitoring program are to assess trends in (1) the proportion of live, whitebark pine trees (>1.4-m tall) infected with white pine blister rust (blister rust); (2) to document blister rust infection severity by the occurrence and location of persisting and new infections; (3) to determine mortality of whitebark pine trees and describe potential factors contributing to the death of trees; and (4) to assess the multiple components of the recruitment of understory whitebark pine into the reproductive population. In this report we summarize the past eight years (2004-2011) of whitebark pine status and trend monitoring in the GYE. Our study area encompasses six national forests (NF), two national parks (NP), as well as state and private lands in portions of Wyoming, Montana, and Idaho; this area is collectively described as the GYE here and in other studies. The sampling design is a probabilistic, twostage cluster design with stands of whitebark pine as the primary units and 10x50 m belt transects as the secondary units. Primary sampling units (stands) were selected randomly from a sample frame of approximately 10,770 mapped pure and mixed whitebark pine stands ≥2.0 hectares in the GYE (Dixon 1997, Landenburger 2012). From 2004 through 2007 (monitoring transect establishment or initial time-step), we established 176 permanent belt transects (secondary sampling units=176) in 150 whitebark pine stands and permanently marked approximately 4,740 individual trees >1.4 m tall to monitor long-term changes in blister rust infection and survival rates. Between 2008 and 2011 (revisit time-step), these same 176 transects were surveyed and again all previously tagged trees were observed for changes in blister rust infection and survival status. Objective 1. Using a combined ratio estimator, we estimated the proportion of live trees infected in the GYE in the initial time-step (2004-2007) to be 0.22 (0.031 SE). Following the completion of all surveys in the revisit time-step (2008-2011), we estimated the proportion of live trees infected with white pine blister rust as 0.23 (0.028 SE; Table 2). We detected no significant change in the proportion of trees infected in the GYE between the two time-steps. Objective 2. We documented blister rust canker locations as occurring in the canopy or bole. We compared changes in canker position between the initial time-step (2004-2007) and the revisit time-step (2008-2011) in order to assess changes in infection severity. This analysis included the 3,795 trees tagged during the initial time-step that were located and documented as alive at the end of the revisit time-step. At the end of the revisit time-step, we found 1,217 trees infected with blister rust. This includes the 287 newly tagged trees in the revisit time step of which 14 had documented infections. Of these 1,217 trees, 780 trees were infected with blister rust in both time steps. Trees with only canopy cankers made up approximately 43% (519 trees) of the total number of trees infected with blister rust at the end of the revisit time-step, while trees with only bole cankers comprised 20% (252 trees), and those with both canopy and bole cankers included 37% (446 trees) of the infected sample. A bole infection is considered to be more consequential than a canopy canker, as it compromises not only the overall longevity of the tree, but its functional capacity for reproductive output as well (Kendall and Arno 1990, Campbell and Antos 2000, McDonald and Hoff 2001, Schwandt and Kegley 2004). In addition to infection location, we also documented infection transition between the canopy and bole. Of the 780 live trees that were infected with blister rust in both time-steps, approximately 31% (242) maintained canopy cankers and 36% (281) retained bole infections at the end of the revisit time-step. Infection transition from canopy to bole occurred in 30% (234) of the revisit time-step trees while 3% (23) transitioned from bole to canopy infections during this period. Objective 3. To determine whitebark pine mortality, we resurveyed all belt transects to reassess the life status of permanently tagged trees >1.4 m tall. We compared the total number of live tagged trees recorded during monitoring transect establishment to the total number of resurveyed dead tagged trees recorded during the revisit time-step and identified all potential mortality-influencing conditions (blister rust, mountain pine beetle, fire and other). By the end of the revisit time-step, we observed a total of 975 dead tagged whitebark pine trees; using a ratio estimator, this represents a loss of approximately 20% (SE=4.35%) of the original live tagged tree population (GYWPMWG 2012). Objective 4. To investigate the proportion of live, reproducing tagged trees, we divided the total number of positively identified cone-bearing trees by the total number of live trees in the tagged tree sample at the end of the revisit time-step. To approximate the average density of recruitment trees per stand, trees ≤1.4 m tall were summed by stand (within the 500 m² transect area) and divided by the total number of stands. Reproducing trees made up approximately 24% (996 trees) of the total live tagged population at the end of the revisit time-step. Differentiating between whitebark pine and limber pine seedlings or saplings is problematic given the absence of cones or cone scars. Therefore, understory summaries as presented in this report may include individuals of both species when they are sympatric in a stand. The average density of small trees ≤1.4 m tall was 53 understory trees per 500 m². Raw counts of these understory individuals ranged from 0-635 small trees per belt transect. In addition, a total of 287 trees were added to the tagged tree population by the end of 2011. These newly tagged trees were individuals that upon subsequent revisits had reached a height of >1.4 m tall and subsequently added to the sample. Throughout the past decade in the GYE, monitoring has helped document shifts in whitebark pine forests; whitebark pine stands have been impacted by insect, pathogen, wildland fire, and other disturbance events. Blister rust infection is ubiquitous throughout the ecosystem and infection proportions are variable across the region. And while we have documented mortality of whitebark pine, we have also recorded considerable recruitment. We provide this first step-trend report as a quantifiable baseline for understanding the state of whitebark pine in the GYE. Many aspects of whitebark pine health are highly variable across the range of its distribution in the GYE. Through sustained implementation of the monitoring program, we will continue efforts to document and quantify whitebark pine forest dynamics as they arise under periodic upsurges in insect, pathogen, fire episodes, and climatic events in the GYE. Since its inception, this monitoring program perseveres as one of the only sustained longterm efforts conducted in the GYE with a singular purpose to track the health and status of this prominent keystone species.

Natural Resource Technical Report

How to reduce the risks of introducing and spreading invasive species in a major disaster

Disaster impacts are exacerbated by invasive species, which are harmful, non-native organisms that can be introduced and spread by disasters, including disaster response and recovery operations. Mechanisms are available to reduce risks from invasive species in a disaster, but those mechanisms are rarely used because invasive species experts and emergency managers – the two groups that can address the issue by working together – are siloed. Federal invasive species experts and emergency managers wrote this paper in a deliberate attempt to raise awareness within and improve communication between these two expert groups. The focus is on Stafford Act major disasters, and the goal is to lessen the burden from invasive species in a disaster, improving outcomes for the local communities and ecosystems affected by disasters.

Report

Stakeholder attitudes and perspectives on wildlife disease surveillance as a component of a One Health approach in Thailand

Coordinated wildlife disease surveillance (WDS) can help professionals across disciplines effectively safeguard human, animal, and environmental health. The aims of this study were to understand how WDS in Thailand is utilized, valued, and can be improved within a One Health framework. An online questionnaire was distributed to 183 professionals (55.7% response rate) across Thailand working in wildlife, marine animal, livestock, domestic animal, zoo animal, environmental, and public health sectors. Twelve semi-structured interviews with key professionals were then performed. Three-quarters of survey respondents reported using WDS data and information. Sectors agreed upon ranking disease control (76.5% of respondents) as the most beneficial outcome of WDS, while fostering new ideas through collaboration was valued by few participants (2.0%). Accessing data collected by ones own sector was identified as the most challenging (50%) yet least difficult to improve (88.3%). Having legal authority to conduct WDS was the second most frequently identified challenge. Interviewees explained that legal documentation required for crossinstitutional collaborations posed a barrier to efficient communication and use of human resources. Survey respondents identified allocation of human resources (75.5%), adequate budget (71.6%), and having a clear communication system between sectors (71.6%) as highest priority areas for improvement to WDS in Thailand. Authorization from administrative officials and support from local community members were identified as challenges during in-person interviews. Future outreach should be directed towards these groups. As 42.9% of marine health professionals had difficulty knowing whom to contact in other sectors and 28.4% of survey respondents indicated that communication with marine health professionals was not applicable to their work, connecting the marine sector with other sectors may be prioritized. This study identifies priorities for addressing current challenges in the establishment of a general WDS system and information management system in Thailand while presenting a model for such evaluation in other regions.

One Health Newsletter

Reconnaissance geology of the Precambrian rocks in the Bi'r Ghamrah quadrangle, Kingdom of Saudi Arabia

Three sequences of volcanic and sedimentary rocks are identified in the Precambrian rocks of the Bi'r Ghamrah quadrangle at the eastern edge of the Precambrian Shield in central Saudi Arabia. The oldest sequence is called the Bi'r Khountina Group. It consists of conglomerate marble, andesite, and graywacke. Unconformably overlying this group is a sequence of graywacke with minor lava called the Murdama Group. In a small area in the southern part of the quadrangle, these rocks are unconformably overlain by rhyolitic tuff and rhyolite tentatively correlated with the Shammar Rhyolite. The older of these sedimentary and volcanic rocks were intruded by diorite and gabbro and by a large pluton of alkalic granite. A contact metamorphic aureole was formed in the Bi'r Khountina and Murdama Groups adjacent to the granite, and feeder dikes of the Sbmmmar Rhyolite(?) intrude the granite. The Bi'r Khountina Group is folded into a south-plunging asymmetrical anticlinorium, the west limb of which is repeated across northwest-trending faults. The Murdama Group appears to have been folded along the same axes, but the contact aureole against the alkalic granite and the imprint of the west-northwest striking Najd fault zone cause the rocks of the Murdama Group to appear to trend westward. Results of spectrographic and chemical analyses of wadi sand, heavy-mineral concentrates, and detrital magnetite show small anomalies. The ultramafic rocks intruded prior to the deposition of the Murdama Group are the source of anomalous chromium and lanthanum and of threshold nickel, scandium, and vanadium. The intrusive rocks younger than the Murdama Group are sources for anomalous lead and threshold silver, boron, barium, beryllium, zirconium, lanthanum, and tin. One small ancient working, probably opened for gold, is present, and at least four places in the Precambrian part of the quadrangle ere potentially favorable for gold, silver, and lead. Chromite is a potential resource in the northeastern part of the quadrangle.

Open-File Report

Preliminary results of potassium-argon age determinations from the Ugashik quadrangle, Alaska Peninsula: A section in The United States Geological Survey in Alaska: Accomplishments during 1980

Early and preliminary results of potassiumargon dating work on samples from 12 sites in the Ugashik quadrangle indicate a continuation of the geologic trends seen in the Chignik and Sutwik Island quadrangles to the south (Wilson, 1980). Tertiary volcanic and hypabyssal rocks apparently fall into two age groups: early Tertiary-late Eocene to earliest Miocene and late Tertiary and Quaternary-late Miocene to Holocene (fig. 53).

Alaska

Fly Ash: From Cradle to Grave

The Energy Resources Program of the U.S. Geological Survey promotes and supports coal research to improve the understanding of the coal endowment of the United States. This results in geologically based, non-biased energy information products for policy and decision makers, land and resource managers, other federal and state agencies, the domestic energy industry, foreign governments, nongovernmental groups, academia, and other scientists. A more integrated approach to our coal quality work involves what we call a 'cradle to grave' approach. These types of studies focus not on just one aspect of the coal but rather on how or where different quality parameters form and (or) occur and what happens to them through the mining, production, transport, utilization and waste disposal process. An extensive suite of coal quality analyses, mineralogical, petrology, and leaching investigations are determined on samples taken from the different phases of the coal utilization process. This report consists of a tutorial that was given on June 10, 2007 at the 32nd International Technical Conference on Coal Utilization & Fuel Systems, The Power of Coal, Clearwater Coal Conference in Clearwater, Florida, USA. This tutorial covers how these studies are conducted and the importance of providing improved, comprehensive, science-based data sets for policy and decision makers.

Open-File Report

Fisheries research and monitoring activities of the Lake Erie Biological Station, 2024

A comprehensive understanding of fish populations and their interactions is the cornerstone of modern fishery management and the basis for Lake Erie’s Fish Community Objectives (FCOs) developed in 2020 (Francis et al. 2020). The 2024 U.S. Geological Survey (USGS) Lake Erie Biological Station Annual Report is responsive to these FCOs and the USGS obligations via a Memorandum of Understanding (MOU 2017) with the Great Lakes Fishery Commission (GLFC) Council of Lake Committees (CLC) to provide scientific information in support of fishery management. Goals for the USGS Great Lakes Deepwater Fish Assessment and Ecological Studies were to monitor long-term changes in the fish community and track population dynamics of key fishes of interest to management agencies. Specific to Lake Erie, expectations were sustained investigations of native percids, prey fish populations, and Lake Trout. All work was conducted as part of the Deepwater Science Program under the authority of the Great Lakes Fishery Research Authorization Act of 2019 (16 USC §941h). The USGS 2024 Deepwater Science Program fieldwork began in Lake Erie in March and concluded in December, using trawl, gill net, hydroacoustic, lower trophic sampling devices, and telemetry methods. This work resulted in 44 bottom trawls covering 41 ha of lake bottom and catching 48,936 fish totaling 995 kg in the West Basin of Lake Erie, with detailed results described below. Overnight gill net sets (n=25) for coldwater species were performed in the East Basin of Lake Erie. A total of 8 km of gillnet was deployed during these surveys, which caught 106 fish, 92 of which were native coldwater species: Lake Trout, Burbot, and Lake Whitefish. Results from coldwater species assessments will be reported in the Coldwater Task Group report to the GLFC and the CLC (CTG 2025). These reports are used to inform Lake Trout stocking decisions and direct lamprey control measures (16 USC §939a). USGS hydroacoustic sampling included twenty-six 5-km transects (130 km total) in the Central Basin as part of a collaborative lake-wide survey with details and results reported by the Forage Task Group (FTG 2025). Lower trophic sampling provided data from zooplankton samples (n=12) and water quality profiles (n=12) to populate a database maintained by the Michigan Department of Natural Resources (MDNR), Ontario Ministry of Natural Resources (OMNR), Ohio Department of Natural Resources (ODNR), Pennsylvania Fish and Boat Commission (PFBC), and New York State Department of Environmental Conservation (NYSDEC). USGS also assisted CLC member agencies with deployment and maintenance of Great Lakes Acoustic Telemetry Observation System (GLATOS) infrastructure throughout all three Lake Erie basins and tributaries, supporting multiple coordinated telemetry investigations. This report presents biomass-based summaries of fish communities in western Lake Erie derived from USGS bottom trawl surveys conducted from 2013 to 2024 during June and September. The survey design compliments the August ODNR- OMNRF effort by reinforcing stock assessments with more robust data. Analyses herein evaluated trends in total biomass, abundance of dominant predator and forage species, non-native species composition, biodiversity, and community structure. Data from this effort are accessible for download (Keretz et al. 2025)

Lake Erie

Water quality studied in areas of unconventional oil and gas development, including areas where hydraulic fracturing techniques are used, in the United States

Domestic oil and gas production and clean water are critical for economic growth, public health, and national security of the United States. As domestic oil and gas production increases in new areas and old fields are enhanced, there is increasing public concern about the effects of energy production on surface-water and groundwater quality. To a great extent, this concern arises from the improved hydraulic fracturing techniques being used today, including horizontal drilling, for producing unconventional oil and gas in low-permeability formations. The U.S. Geological Survey (USGS) John Wesley Powell Center for Analysis and Synthesis is hosting an interdisciplinary working group of USGS scientists to conduct a temporal and spatial analysis of surface-water and groundwater quality in areas of unconventional oil and gas development. The analysis uses existing national and regional datasets to describe water quality, evaluate water-quality changes over time where there are sufficient data, and evaluate spatial and temporal data gaps.

Fact Sheet

Contributions to economic geology, 1902

This bulletin has been prepared primarily with a view to securing prompt publication of the economic results of investigations by the United States Geological Survey. It is designed to meet the wants of the busy man, and is so condensed that he will be able to obtain results and conclusions with a minimum expenditure of time and energy. It also affords a better idea of the work which the Survey as an organization is-carrying on for the direct advancement of mining interests throughout the country than can readily be obtained from the more voluminous reports. Should this bulletin be favorably received by those interested in the development of the mineral industries of the United States, it is proposed to publish early in each calendar year a similar bulletin containing the results of the last year's field work in economic geology. In the preparation of the present volume, promptness of publication has been made secondary only to the economic utility of the material presented. The papers included are such only as have a direct economic bearing, all questions of purely scientific interest being excluded. The papers represent three classes : (1) Preliminary discussions of the results of extended economic investigations, which will later be published by the Survey in more detailed form; (2) comparatively detailed descriptions of occurrences of economic interest, noted by geologists of the Survey in the course of their field work, but not of sufficient importance to necessitate a later and more extended description; (3) abstracts of certain economic papers which have appeared in Survey publications during the last year, chiefly such as give a general account of the distribution and mode of occurrence of particular mineral deposits throughout the United States. The papers have been grouped according to the subjects treated. At the end of each section is given a list of previous publications on that subject by this Survey. These lists will be found serviceable by those who wish to ascertain what has been accomplished by the Survey in the investigation of any particular group of mineral products. They are generally confined to Survey publications, though a few titles of important papers published elsewhere by members of the Survey are included.

Bulletin

Managing for tomorrow—A climate adaptation decision framework

Climate change presents new and compounding challenges to natural resource management. With changing climate patterns, managers are confronted with difficult decisions on how to minimize climate effects on habitats, infrastructure, and wildlife populations. To support climate adaptation decision making, we first conceptualized an approach that integrates the principles of the resist–accept–direct framework, climate scenario planning, and decision analysis into a general framework to support adaptation planning. This framework was implemented and refined by working with three National Wildlife Refuge System refuges within the Midwest Region. The objectives of this report are to describe the climate adaptation decision framework and provide guidance for how to apply the framework to support transparent, consistent, and decision-focused adaptation planning. We include a workbook to support the application of each step of the framework as well as lessons learned from our experiences developing the framework. The climate adaptation decision framework has wide applicability to aid adaptation planning within natural resource management and underscores the important role of engaging interest groups in climate adaptation decisions.

Illinois, Indiana, Iowa, Michigan, Minnesota, Miss

Paleomagnetic investigations at Mahd adh Dhahab, Kingdom of Saudi Arabia

Paleomagnetic studies of 25 oriented bedrock specimens from Jabal Mahd adh Dhahab, located 160 km southeast of Al Madinah, Kingdom of Saudi Arabia, have yielded important structural information relating to the geologic history of this base and precious metal deposit. Samples were collected along one traverse away from the mineralized zones, across the northeast-plunging antiform that constitutes the dominant regional structure of the area, and along another traverse down the axis of the mineralized zones. Lithologies range from andesite flows through andesitic to rhyodacitic tuffs, lapilli tuffs, and volcaniclastic sediments. Measurements of remanent magnetization direction and intensity before and after stepwise alternating-field demagnetization ranging from 25 Oersted (Oe) to 1000 Oe were carried out on all samples. Three classes of demagnetization behavior were observed: A very stable class with little change in direction and intensity of magnetization; a class in which rapid changes were observed at first but which then settled on a high coercivity stable component of magnetization; and a class in which the magnetization was composed of a spectrum of low coervicity components, and continuous variation of direction and intensity of magnetization occurred. A structural correction restoring the bedding to horizontal resulted in a significant reduction in dispersion of magnetization directions, and implies that the magnetization was acquired before the northeast-trending deformation. At least one geomagnetic reversal is recorded and, together with drillhole electric logs, suggests structural repetition of some parts of the area. The determined paleopole location, after correction for Tertiary rotation of Arabia from Africa, falls on the apparent polar wander path for Gondwanaland at an age of 600-590 Ma, which is younger than the mineralization age of about 680 Ma and the age of the Mahd group of rocks (772 Ma) determined from geochronologic studies, and implies that the rocks have been remagnetized during the middle Pan African times. The results of this work suggest that more extensive paleomagnetic investigations of the felsic volcanic and volcanic-derived rocks of the northern Arabian shield should provide greater insight into the structural evolution of the shield, and these investigations are recommended.

Open-File Report

Scientific monitoring plan in support of the selected alternative of the Glen Canyon Dam Long-Term Experimental and Management Plan

Introduction The purpose of this document is to describe a strategy by which monitoring and research data in the natural and social sciences will be collected, analyzed, and provided to the U.S. Department of the Interior (DOI), its bureaus, and to the Glen Canyon Dam Adaptive Management Program (GCDAMP) in support of implementation of the Glen Canyon Dam Long-Term Experimental and Management Plan (LTEMP) (U.S. Department of the Interior, 2016a). The selected alternative identified in the LTEMP Record of Decision (ROD) (U.S. Department of the Interior, 2016b) describes various data collection, analysis, modeling, and interpretation efforts to be conducted by the U.S. Geological Survey’s (USGS) Grand Canyon Monitoring and Research Center (GCMRC), partner agencies, and cooperators that will inform decisions about operations of Glen Canyon Dam and management of downstream resources between 2017 and 2037, the performance period of the LTEMP. General data collection, analysis, modeling, and interpretation activities are described in this science plan, whereas specific monitoring and research activities and detailed study plans are to be described in the GCDAMP’s triennial work plans (TWPs) to be developed by the Bureau of Reclamation and GCMRC with input from partner agencies and cooperators during the LTEMP period, which are to be reviewed and recommended by the GCDAMP and approved by the Secretary of the Interior. The GCDAMP consists of several components, the primary committee being the Adaptive Management Work Group (AMWG). This Federal advisory committee is composed of 25 agencies and stakeholder groups and is chaired by the Secretary of the Interior’s designee. The AMWG makes recommendations to the Secretary of the Interior concerning operations of Glen Canyon Dam and other experimental management actions that are intended to fulfill some obligations of the Grand Canyon Protection Act of 1992. The Technical Work Group (TWG) is a subcommittee of the AMWG and provides technical advice to the AMWG. It is composed of technical and science representatives from the same agencies and stakeholder groups who serve on the AMWG. GCMRC is the primary science provider to the GCDAMP and also coordinates many aspects of the science performed by cooperators and partner agencies. The Science Advisors Program provides independent science reviews and advice at the request of the GCDAMP. The plan proposed here necessarily depends on (1) the protocol for decision-making and the requirements for scientific data reporting described in the LTEMP ROD, (2) the priorities of the GCDAMP as directed by the LTEMP ROD (see Department of the Interior, 2016b, section 6.1), (3) the priorities for monitoring and research in the conservation measures section of the Biological Opinion for the LTEMP (U.S. Department of the Interior, 2016b, LTEMP ROD attachment E), (4) the priorities for resource management and information needs established by Federal and State resource-management agencies within the GCDAMP, (5) scientific understanding about the linkage between the status of those resources and operations of Glen Canyon Dam, and (6) the need to resolve existing scientific uncertainties about the linkage between dam operations and the condition of resources. We note that resource-management prioritization is fundamentally a policy decision charged specifically to DOI for the Colorado River in Glen and Grand Canyons, as outlined most recently in the LTEMP ROD, and is not the responsibility of the GCMRC. However, it is the responsibility of the GCMRC to describe the nature of scientific understanding, the nature of scientific uncertainty, and the risk of making resourcemanagement decisions in the face of existing scientific uncertainty. The goals of science activities in the next 20 years are to inform operational decisions regarding Glen Canyon Dam operations described in the LTEMP ROD, resolve remaining scientific uncertainties, and to monitor resource trends that are affected entirely, or in part, by dam operations.

Open-File Report

Taiga bean goose: Harvest assessment for the Central Management Unit: 2018

In 2016 the European Goose Management International Working Group (EGM IWG) began development of an adaptive harvest management program for Taiga Bean Geese (TBG). In 2017, the EGM IWG adopted an interim harvest strategy consisting of a constant harvest rate (on adults) of 3% for the Central Management of Taiga Bean Geese. The interim strategy is intended to provide limited hunting opportunity while rebuilding the population. Recent efforts have involved development of a dynamic strategy in which the harvest rate can vary each year with changes in population size, and in which multiple, possibly competing, management objectives can be addressed. This report provides examples of dynamic harvest strategies and compares them with the interim, constant harvest-rate strategy. Until such time that a dynamic strategy is adopted by the EGM IWG, the annual harvest quota and its allocation among Range States is predicated on the interim strategy. Based on a January count of 38,717, the harvest quota for the 2018 hunting season is 1,610 Taiga Bean Geese (compared to 2,335 for the 2017 season). We emphasize that these quotas include both harvest during the regular season and derogation shooting. We acknowledge that the January 2018 count of Taiga Bean Geese in the Central Management Unit was likely biased low, as counts in the autumn and spring in Sweden were higher. Additionally, the size of the harvest during the fall and winter of 2017-18 is unknown, due to an inability to differentiate taiga and Tundra Bean Geese in the harvest, compilation of data too late to be used in this report, and a lack of reporting. Because of problems with both the population and harvest monitoring programs it is difficult to estimate a harvest quota for 2018 with any degree of confidence.

Report

U.S. Geological Survey Activities Related to American Indians and Alaska Natives Fiscal Year 2001

Information is a resource that can help Native American governments and their people. The U.S. Geological Survey (USGS) makes available technical expertise, reports, and other impartial information sources that can benefit Native Americans interested in subsistence issues, water, land use, and the health of many parts of the environment. The USGS works in cooperation with American Indian and Alaska Native governments, conducting research on water and mineral resources, animals and plants of environmental, economic, or subsistence importance, natural hazards, and geologic resources. Digital data on cartography, mineral resources, stream flow, biota, and other topics are available to American Indian and Alaska Native individuals and institutions. The USGS recognizes the need to learn from and share knowledge with Native peoples. This report describes most of the activities that the USGS conducted with American Indian and Alaska Native governments, educational institutions, and individuals during Federal fiscal year 2001. Some of these USGS activities were carried out in concert with the Bureau of Indian Affairs (BIA). Others were conducted by Tribes and the USGS. In 2001, the USGS began examining its activities related to American Indians and Alaska Natives to determine how it can better serve these customers within its mandates. A growing number of Tribal governments, educational institutions, and other Tribal organizations have begun using geographic information systems and other digital technologies in recent years. As Tribes become more interested in and more adept at managing digital information, they are seeking relevant data from the USGS more frequently. Using digital technologies provides Tribal governments with additional means of managing lands and resources for the benefit of current and future generations. The USGS recognizes the need to make its information available to Tribal governments, and to work with those governments and other institutions to advance data management capabilities. The USGS is responding to this need by increasing the transfer of scientific information to American Indian and Alaska Native governments and by training employees of those governments to conduct and improve scientific studies. The USGS is also encouraging American Indians and Alaska Natives to pursue careers in science, and seeking ways to hire Indian and Native students. By identifying, improving, and disseminating information about available hiring mechanisms, the USGS is working to make hiring such students easier, and therefore more likely, for USGS managers. The U.S. Geological Survey is the Federal science bureau within the Department of the Interior (DoI). The USGS is non-regulatory and is not a significant manager of Federal or Trust lands or assets. However, there are two types of USGS activities that do involve American Indians, Alaska Natives, and their lands. The first type of activity is the course of formal studies, conducted through existing USGS programs, that involves collection of specific types of data as well as investigative and research projects. These projects typically last 2 or 3 years, although a few are parts of longer-term activities. Some projects are funded through cooperative agreements, from monies provided to the USGS by individual Tribal governments or by the BIA. The USGS provides matching funds for cooperative projects. These formal projects may also receive funding from the U.S. Environmental Protection Agency, the Indian Health Service (part of the Department of Health and Human Services), or other Federal agencies. The USGS routinely works with its sister bureaus in the Department of the Interior to provide the scientific information and expertise needed to meet the Department's science priorities. Within this context, the USGS and the BIA are cooperating to use USGS information resources to benefit American Indian and Alaska Native peoples and their lands. The second type of USGS activity is less formal, based on initiatives designed and conducted by USGS employees. Frequently involving educational activities, these endeavors are prompted by employee interests, often as collateral issues, that result from one or more USGS employees identifying and responding to an observed need. In these activities, USGS employees help fulfill a mission of the USGS-to make science relevant-while helping their fellow citizens. USGS employees have also taken the initiative in assisting American Indians and Alaska Natives through participation in several organizations that were created to foster awareness of science among Native peoples and to help build support and communication networks. One such group is the American Indian Science and Engineering Society (AISES). This group sponsors an annual national meeting in which USGS employees participate. USGS employees join this organization on a voluntary basis, bringing the benefits of this expanded network to the USGS, as many employees do with other professional organizations. Each part of the USGS has identified an American Indian/Alaska Native liaison. Furthermore, the USGS has instituted a regional organizational structure, with Western, Central, and Eastern Regions. The regions work in concert with specific scientific disciplines to conduct the scientific mission of the USGS. The regional structure is intended to bring us closer to our customers; we hope that Native Americans and Alaska Natives will use the contacts listed at the end of this report.

Report

Earthquake forecast for the Wasatch Front region of the Intermountain West

The Working Group on Utah Earthquake Probabilities has assessed the probability of large earthquakes in the Wasatch Front region. There is a 43 percent probability of one or more magnitude 6.75 or greater earthquakes and a 57 percent probability of one or more magnitude 6.0 or greater earthquakes in the region in the next 50 years. These results highlight the threat of large earthquakes in the region.

Utah