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Coupling near-surface geomorphology with mangrove community diversity at the estuarine scale: A case study at Dongzhaigang Bay, China

Coastal wetlands are key features of the Earth’s surface and are characterized by a diverse array of coupled geomorphological and biological processes. However, the links between the distribution of biodiversity (e.g., species and structural diversity) and the formation of coastal geomorphology are not well understood on a landscape scale most useful to coastal zone managers. This study describes the relationship between select geomorphological and biological mangrove community features (i.e., species composition and functional root type) in a landscape-distributed coastal zone of Dongzhaigang Bay, Northeastern Hainan Island, China. A total of 11 mangrove species and five functional aerial root types were encountered, with the location of species by root types being controlled by the elevation of the soil surface. Plank roots, prop roots, and pneumatophores occupied the lowest intertidal elevations, while knee roots and fibrous roots of the mangrove fern, Acrostichum aureum , preferred the highest intertidal elevations. Surface sediment deposition in areas with mangroves was greater than deposition in non-mangrove forest zones, establishing an important biological mechanism for this large-area response as surface erosion/compaction was also more prominent within mangrove roots. Indeed, functional root type influenced the magnitude of deposition, erosion, and compaction, with knee roots and pneumatophores being more effective in promoting deposition and preventing surface erosion/compaction than prop roots. These results indicate a potential role for vegetation type (especially functional root type) to influence coastal geomorphological processes at large landscape scales. While soil surface elevation is correlated to the distribution of mangrove species and functional root types, a significant feedback exists between elevation change and the capacity of those root types to influence coastal geomorphological differentiation within sustainable intertidal elevations. An enhanced understanding of geomorphological development, mangrove species distribution, and functional root type may improve management to support nature-based solutions that adjust more effectively to sea-level rise through feedbacks.

Houpai, Sanjiang, Tashi

The impact of biotic/abiotic interfaces in mineral nutrient cycling: A study of soils of the Santa Cruz chronosequence, California

Biotic/abiotic interactions between soil mineral nutrients and annual grassland vegetation are characterized for five soils in a marine terrace chronosequence near Santa Cruz, California. A Mediterranean climate, with wet winters and dry summers, controls the annual cycle of plant growth and litter decomposition, resulting in net above-ground productivities of 280–600 g m −2 yr −1 . The biotic/abiotic (A/B) interface separates seasonally reversible nutrient gradients, reflecting biological cycling in the shallower soils, from downward chemical weathering gradients in the deeper soils. The A/B interface is pedologically defined by argillic clay horizons centered at soil depths of about one meter which intensify with soil age. Below these horizons, elevated solute Na/Ca, Mg/Ca and Sr/Ca ratios reflect plagioclase and smectite weathering along pore water flow paths. Above the A/B interface, lower cation ratios denote temporal variability due to seasonal plant nutrient uptake and litter leaching. Potassium and Ca exhibit no seasonal variability beneath the A/B interface, indicating closed nutrient cycling within the root zone, whereas Mg variability below the A/B interface denotes downward leakage resulting from higher inputs of marine aerosols and lower plant nutrient requirements. The fraction of a mineral nutrient annually cycled through the plants, compared to that lost from pore water discharge, is defined their respective fluxes F j,plants = q j,plants /( q j,plants + q j,discharge ) with average values for K and Ca ( F K,plants = 0.99; F Ca,plants = 0.93) much higher than for Mg and Na ( F Mg,plants 0.64; F Na,plants = 0.28). The discrimination against Rb and Sr by plants is described by fractionation factors ( K Sr/Ca = 0.86; K Rb/K = 0.83) which are used in Rayleigh fractionation-mixing calculations to fit seasonal patterns in solute K and Ca cycling. K Rb/K and K 24 Mg / 22 Mg "> K24Mg/22Mg values (derived from isotope data in the literature) fall within fractionation envelopes bounded by inputs from rainfall and mineral weathering. K Sr/Ca and K 44 Ca / 40 Ca "> K44Ca/40Ca fractionation factors fall outside these envelopes indicating that Ca nutrient cycling is closed to these external inputs. Small net positive K and Ca fluxes (6–14 mol m −2 yr −1 ), based on annual mass balances, indicate that the soils are accumulating mineral nutrients, probably as a result of long-term environmental disequilibrium.

California

Linking transit times to catchment sensitivity to atmospheric deposition of acidity and nitrogen in mountains of the western United States

Transit times are hypothesized to influence catchment sensitivity to atmospheric deposition of acidity and nitrogen (N) because they help determine the amount of time available for infiltrating precipitation to interact with catchment soil and biota. Transit time metrics, including fraction of young water ( F yw ) and mean transit time (MTT), were calculated for 11 headwater catchments in mountains of the western United States based on differences in the amplitude of the seasonal signal of δ 18 O in streamflow and precipitation. Results were statistically compared with catchment characteristics to elucidate controlling mechanisms. Transit times also were compared with stream solute concentrations to test the hypothesis that transit times are a primary influence on weathering rates and biological assimilation of atmospherically deposited N. Results indicate that transit times in the study catchments are strongly related to soil, vegetation, and topographic characteristics, with barren terrain (bare rock and talus) and steep slopes linked to high F yw and short MTT, whereas forest soil (hydrogroup B) was linked to low F yw and greater MTT. Concentrations of silicate weathering products (Na + and Si) were negatively related to F yw and barren terrain, and positively related to MTT and forest soil, supporting the concept that weathering fluxes and buffering capacity tend to be low in alpine areas due to short transit times. Nitrate concentrations were positively related to N deposition, catchment slope, and barren terrain, and negatively related to forest, indicating that hydrologic and/or biogeochemical processes associated with steep slopes limit uptake of atmospherically deposited N by biota. Interannual and seasonal variability in transit times and source water contributions in the study catchments was substantial, reflecting the influence of strong temporal variations in snowmelt inputs in high‐elevation catchments of the western United States. Results from this study confirm that short transit times in these areas are a key reason they are highly sensitive to atmospheric pollution and climate change.

Hydrological Processes

Timescales and processes of methane hydrate formation and breakdown, with application to geologic systems

Gas hydrate is an ice-like form of water and low molecular weight gas stable at temperatures of roughly -10ºC to 25ºC and pressures of ~3 to 30 MPa in geologic systems. Natural gas hydrates sequester an estimated one-sixth of Earth’s methane and are found primarily in deepwater marine sediments on continental margins, but also in permafrost areas and under continental ice sheets. When gas hydrate is removed from its stability field, its breakdown has implications for the global carbon cycle, ocean chemistry, marine geohazards, and interactions between the geosphere and the ocean-atmosphere system. Gas hydrate breakdown can also be artificially driven as a component of studies assessing the resource potential of these deposits. Furthermore, geologic processes and perturbations to the ocean-atmosphere system (e.g., warming temperatures) can cause not only dissociation, but also more widespread dissolution of hydrate or even formation of new hydrate in reservoirs. Linkages between gas hydrate and disparate aspects of Earth’s near-surface physical, chemical, and biological systems render an assessment of the rates and processes affecting the persistence of gas hydrate an appropriate Centennial Grand Challenge. This paper reviews the thermodynamic controls on methane hydrate stability and then describes the relative importance of kinetic, mass transfer, and heat transfer processes in the formation and breakdown (dissociation and dissolution) of gas hydrate. Results from numerical modeling, laboratory, and some fields studies are used to summarize the rates of hydrate formation and breakdown, followed by an extensive treatment of hydrate dynamics in marine and cryospheric gas hydrate systems.

Journal of Geophysical Research-Solid Earth

Effect of H2 and redox condition on biotic and abiotic MTBE transformation

Laboratory studies conducted with surface water sediment from a methyl tert-butyl ether (MTBE)-contaminated site in South Carolina demonstrated that, under methanogenic conditions, [U-14C] MTBE was transformed to 14C tert-butyl alcohol (TBA) with no measurable production of 14CO2. Production of TBA was not attributed to the activity of methanogenic microorganisms, however, because comparable transformation of [U-14C] MTBE to 14C-TBA also was observed in heat-sterilized controls with dissolved H2 concentrations > 5 nM. The results suggest that the transformation of MTBE to TBA may be an abiotic process that is driven by biologically produced H2 under in situ conditions. In contrast, mineralization of [U-14C] MTBE to 14CO2 was completely inhibited by heat sterilization and only observed in treatments characterized by dissolved H2 concentrations < 2 nM. These results suggest that the pathway of MTBE transformation is influenced by in situ H2 concentrations and that in situ H2 concentrations may be an useful indicator of MTBE transformation pathways in ground water systems.

Ground Water Monitoring and Remediation

Effects of simulated moose Alces alces browsing on the morphology of rowan Sorbus aucuparia

In much of northern Sweden moose Alces alces browse rowan Sorbus aucuparia heavily and commonly revisit previously browsed plants. Repeated browsing of rowan by moose has created some concern for its long-term survival in heavily browsed areas. We therefore measured how four years of simulated moose browsing at four population densities (0, 10, 30 and 50 moose/1,000 ha) changed plant height, crown width, available bite mass, the number of bites per plant and per plant forage biomass of rowan saplings. Increased biomass removal led to a significant decline in plant height (P < 0.001), but a significant increase in the number of bites per plant (P = 0.012). Increases in the number of bites per plant more than compensated for weak decreases in bite mass, leading to a weak increase in per plant forage biomass (P = 0.072). With the decline in plant height and increase in the number of stems per plant, a greater number of bites remain within the height reach of moose relative to unbrowsed controls. Moose therefore stand to benefit from revisiting previously browsed plants, which may result in feeding loops between moose and previously browsed rowan saplings. ?? 2010 Wildlife Biology, NKV.

Wildlife Biology

Emergent sandbar dynamics in the lower Platte River in eastern Nebraska: methods and results of pilot study, 2011

The lower Platte River corridor provides important habitats for two State- and federally listed bird species: the interior least tern (terns; Sternula antillarum athallassos) and the piping plover (plovers; Charadrius melodus). However, many of the natural morphological and hydrological characteristics of the Platte River have been altered substantially by water development, channelization, hydropower operations, and invasive vegetation encroachment, which have decreased the abundance of high-quality nesting and foraging habitat for terns and plovers. The lower Platte River (LPR), defined as 103 miles (mi) of the Platte River between its confluence with the Loup River and its confluence with the Missouri River, has narrowed since the late-19th and early-20th centuries, yet it partially retains many geomorphologic and hydrologic characteristics important to terns and plovers. These birds nest on the sandbars in the river and along shorelines at sand- and gravel-pit lakes in the adjacent valley. The need to balance continued economic, infrastructure, and resource development with the conservation of important physical and aquatic habitat resources requires increased understanding of the physical and biological dynamics of the lower Platte River. Spatially and temporally rich datasets for emergent sandbar habitats are necessary to quantify emergent sandbar dynamics relative to hypothesized controls and stressors. In cooperation with the Lower Platte South Natural Resources District, the U.S. Geological Survey initiated a pilot study of emergent sandbar dynamics along a 22-mi segment of the LPR downstream from its confluence with Salt Creek, near Ashland, Nebraska. The purposes of the study were to: (1) develop methods to rapidly assess sandbar geometries and locations in a wide, sand-bed river, and (2) apply and validate the method to assess emergent sandbar dynamics over three seasons in 2011. An examination of the height of sandbars relative to the local stage of the formative discharge event, and how subsequent river discharges, of both high and low magnitude, alter sandbar geometries and abundance within the LPR was of particular interest. A “rapid-assessment” method was developed with the goal of characterizing the spatial distribution and habitat-relevant geometries of the complete population of sandbars along the study segment. Three primary measures were used to assess emergent sandbar dynamics in the study segment: sandbar area, sandbar height, and sandbar location. Data to derive these measures were collected during three, week-long survey periods in 2011, herein named “spring survey period,” “summer survey period,” and “fall survey period.” Emergent sandbars were grouped into one of three generalized types: (1) bank-attached, (2) island-attached, and (3) mid-channel.

Nebraska

Exploring silica stoichiometry on a large floodplain riverscape

Freshwater ecosystems are critical zones of nutrient and carbon (C) processing along the land-sea continuum. Relative to our understanding of C, nitrogen (N), and phosphorus (P) cycling within the freshwater systems, the controls on silicon (Si) cycling and export are less understood. Understanding Si biogeochemistry and its coupled biogeochemical processing with N and P has direct implications for both freshwater and coastal ecosystems, as the amount of Si in relation to N and P exported by rivers to coastal receiving waters can determine phytoplankton species assemblages, which in turn affects C cycling and food web structure. Here we examine the relationships between dissolved Si (DSi), total nitrogen (TN), and total phosphorus (TP) concentrations, and how these relationships relate to basin land cover, lithology, and river hydrogeomorphology (i.e., among different ‘aquatic areas’) in the Upper Mississippi River System (UMRS) using two datasets (one from the tributaries and one from the mainstem) that span a nine-year period (2010-2018) representing >10,000 unique samples. We found significant declines in DSi concentrations, as well as Si:TP and Si:TN ratios along the north-south gradient of the mainstem UMRS across all six aquatic area types. This signal was driven partially by a corresponding decline in tributary DSi inputs along this latitudinal gradient. Contrary to findings from other regions of North America, basin land cover was not an important predictor of tributary DSi concentrations, especially compared to lithology. However, Si:TN and Si:TP ratios appear to be strongly controlled by basin land cover, likely due to excess N and P loading from row-crop agriculture. Si, and its ratio with N and P (i.e., Si stoichiometry), was similar across most aquatic area types, including run-of-river impoundments and the main channel, suggesting similar processes affecting Si, N, and P concentrations in these reaches. However, backwater lakes had lower DSi and TN concentrations and compared to the other aquatic area types, highlighting the importance of water residence time and nutrient uptake in controlling Si stoichiometry in inland waters. Together, our results show rivers are not simple pipes for Si, but rather the complexity in watershed characteristics, hydrology, and biological uptake results in dynamic Si stoichiometry along the river continuum.

Frontiers in Ecology and Evolution

Paraquat Hazards to Fish, Wildlife, and Invertebrates: A Synoptic Review

Paraquat (1,1`dimethyl4,4`bipyridinium) are broad-spectrum contact plant killers and herbage desiccants that were introduced commercially during the past 25 years. Today, they rank among the most widely used herbicides globally and are frequently used in combination with other herbicides. The recommended paraquat field application rates for terrestrial weed control usually range between 0.28 and 1.12 kg/ha (0.25 and 1.0 lb/acre), and for aquatic weed control the range is 0.12.0 mg/l. Paraquat in surface soils generally photodecomposes in several weeks, but paraquat in subsurface soils and sediments may remain bound and biologically unavailablefor many years without significant degradation. Paraquat is not significantly accumulated by earthworms and other species of soil invertebrates and is usually excreted rapidly by higher animals; however, delayed toxic effects including death of birds and mammals are common. At concentrations below the recommended application rate, paraquat is embryotoxic to developing eggs of migratory waterfowl and adversely affects sensitive species of freshwater algae and macrophytes, larvae of crustaceans and frog tadpoles and carp. Sensitive species of birds are negatively affected at daily dose rates of 10 mg/kg body weight or when fed diets containing 20 mg/kg ration or drinking water containing 40 mg/l.

Contaminant Hazard Reviews

Structured decision making for conservation of bull trout (Salvelinus confluentus) in Long Creek, Klamath River Basin, south-central Oregon

With the decline of bull trout ( Salvelinus confluentus ), managers face multiple, and sometimes contradictory, management alternatives for species recovery. Moreover, effective decision-making involves all stakeholders influenced by the decisions (such as Tribal, State, Federal, private, and non-governmental organizations) because they represent diverse objectives, jurisdictions, policy mandates, and opinions of the best management strategy. The process of structured decision making is explicitly designed to address these elements of the decision making process. Here we report on an application of structured decision making to a population of bull trout believed threatened by high densities of nonnative brook trout ( S. fontinalis ) and habitat fragmentation in Long Creek, a tributary to the Sycan River in the Klamath River Basin, south-central Oregon. This involved engaging stakeholders to identify (1) their fundamental objectives for the conservation of bull trout, (2) feasible management alternatives to achieve their objectives, and (3) biological information and assumptions to incorporate in a decision model. Model simulations suggested an overarching theme among the top decision alternatives, which was a need to simultaneously control brook trout and ensure that the migratory tactic of bull trout can be expressed. More specifically, the optimal management decision, based on the estimated adult abundance at year 10, was to combine the eradication of brook trout from Long Creek with improvement of downstream conditions (for example, connectivity or habitat conditions). Other top decisions included these actions independently, as well as electrofishing removal of brook trout. In contrast, translocating bull trout to a different stream or installing a barrier to prevent upstream spread of brook trout had minimal or negative effects on the bull trout population. Moreover, sensitivity analyses suggested that these actions were consistently identified as optimal across a large range of parameter values. Taken together, these results support the conclusion that management actions focused on controlling brook trout and enhancing migrant bull trout are more likely to yield more adult bull trout within the 10-year time frame specified by stakeholders.

Oregon

The scientific bases for preservation of the Mariana crow

The Panel recently released the report and recommendations resulting from its work over the last six months. Although primarily focused on the Mariana Crow, the report highlights that this is a matter potentially far more serious than the preservation of the crow on Guam and Rota. The report includes major sections dealing with the need to intensify research and control activities on the Brown Tree Snake both on Guam and in all appropriate areas to which the snake could spread if uncontained and on the population biology and behavior of the Mariana Crow on Guam and Rota.

Book

Physical, chemical, and biological relations of four ponds in the Hidden Water Creek strip-mine area, Powder River Basin, Wyoming

The Hidden Water Creek area in Wyoming was mined from 1944 to 1955 and abandoned. The open pits filled with water and pond-type ecosystems developed. Light was transmitted to greater depths within two control ponds located outside the mine area. The lower light transmittance in the ponds within the mined area probably was due, in part, to the greater number of phytoplankton cells. Also, unconsolidated soil material within the mine area was observed to slough off the pond banks, which could add to the concentration of suspended sediments. Dissolved oxygen concentrations were lower in the ponds within the mined area. Most of the major ions (calcium, magnesium, sulfate, and sodium) were present in greater concentrations in the ponds within the mined area. Higher concentrations of bicarbonate and total hardness were in the water within the mined area. Biological communities were less diverse and chemical concentrations fluctuated more in the mined area than in the ponds outside the mined area. (Woodard-USGS)

Water-Resources Investigations Report

Conditions and processes affecting sand resources at archeological sites in the Colorado River corridor below Glen Canyon Dam, Arizona

This study examined links among fluvial, aeolian, and hillslope geomorphic processes that affect archeological sites and surrounding landscapes in the Colorado River corridor downstream from Glen Canyon Dam, Arizona. We assessed the potential for Colorado River sediment to enhance the preservation of river-corridor archeological resources through aeolian sand deposition or mitigation of gully erosion. By identifying locally prevailing wind directions, locations of modern sandbars, and likely aeolian-transport barriers, we determined that relatively few archeological sites are now ideally situated to receive aeolian sand supply from sandbars deposited by recent controlled floods. Whereas three-fourths of the 358 river-corridor archeological sites we examined include Colorado River sediment as an integral component of their geomorphic context, only 32 sites currently appear to have a high degree of connectivity (coupled interactions) between modern fluvial sandbars and sand-dominated landscapes downwind. This represents a substantial decrease from past decades, as determined by aerial-photograph analysis. Thus, we infer that recent controlled floods have had a limited, and declining, influence on archeological-site preservation. Within the study area, overland-flow (gully) erosion is less severe in sand landscapes with active aeolian sand than in landscapes that lack aeolian transport; gullies terminate more commonly in active sand (sand that is mobile by wind rather than stabilized by biologic soil crust). We infer that these characteristics largely result from aeolian sand transport being an effective gully-limiting and gully-annealing mechanism. Aeolian sand activity in the river corridor varies substantially as a function of reach morphology and dominant wind direction relative to the river-corridor orientation, factors that control accommodation space for river-derived sand and the modern sand supply to aeolian dunes. These attributes, together with an inverse correlation between aeolian sand activity and gully occurrence, define varying degrees of net long-term gully-erosion risk for sediment deposits and associated archeological sites in different regions of the river corridor. Over most of the river corridor, including some of the archeologically richest regions, sand is too inactive with respect to aeolian transport to anneal gullies effectively. At eight selected archeological sites that we studied with high-resolution terrestrial lidar scans for more than a year, sand loss by overland flow (gully erosion) and aeolian deflation generally exceeded deposition, such that erosion dominated over most monitoring intervals&mdash;even at four sites with strong connectivity to modern sand supply. The Glen Canyon reach of the river corridor appears especially vulnerable to gully erosion. Among the sites that we monitored in detail, erosion generally dominated over deposition to a greater degree at four Glen Canyon sites with no modern sand supply than at four Marble&ndash;Grand Canyon sites with aeolian sand supply from controlled-flood sandbars. Although gross annual-scale erosion rates were similar among the Glen Canyon sites and among the Marble&ndash;Grand Canyon sites, a relative lack of depositional processes led to greater net erosion at the Glen Canyon sites. Having found no differences in weather patterns to suggest greater erosive forcing in Glen Canyon, and no conclusively influential differences in the slope or watershed area contributing to gully formation, we attribute the greater erosion at the Glen Canyon sites to a combination of inherent geomorphic context (high terraces that do not receive modern sediment supply) and pronounced effects of postdam sediment-supply limitation. We conclude that most of the river-corridor archeological sites are at elevated risk of net erosion under present dam operations. In the present flow regime, controlled floods do not simulate the magnitude or frequency of natural floods, and are not large enough to deposit sand at elevations that were flooded at annual to decadal intervals in predam time. For archeological sites that depend upon river-derived sand, we infer elevated erosion risk owing to a combination of reduced sand supply (both fluvial and aeolian) through (1) the lower-than-natural flood magnitude, frequency, and sediment supply of the controlled-flooding protocol; (2) reduction of open, dry sand area available for wind redistribution under current normal (nonflood) dam operations, which do not include flows as low as natural seasonal low flows and do include substantial daily flow fluctuations; and (3) impeded aeolian sand entrainment and transport owing to increased riparian vegetation growth in the absence of larger, more-frequent floods. If dam operations were to increase the supply of sand available for windblown transport&mdash;for example, through larger floods, sediment augmentation, or increased fluvial sandbar exposure by low flows&mdash;and also decrease riparian vegetation, the prevalence of active aeolian sand could increase over time, and the propensity for unmitigated gully erosion could decrease. Although the evolution of river-corridor landscapes and archeological sites has been altered fundamentally by the lack of large, sediment-rich floods (flows on the order of 5,000 m 3 /s), some combination of sediment-rich flows above 1,270 m 3 /s, seasonal flows below 226 m 3 /s, and riparian-vegetation removal might increase the preservation potential for sand-dependent archeological resources in the Colorado River corridor.

Arizona

Interactions of microhabitat and time control grassland bacterial and fungal composition

Dryland grasslands are vast and globally important and, as in all terrestrial ecosystems, soil microbial communities play fundamental roles in regulating dryland ecosystem function. A typical characteristic of drylands is the spatial mosaic of vascular plant cover surrounded by interspace soils, where biological soil crusts (biocrusts)—a complex community of organisms including bacteria, fungi, algae, mosses, and lichens—are common. The implications of this heterogeneity, where plants and biocrust cover co-occur, are often explored in the context of soil fertility and hydrology, but rarely has the impact of these multiple microhabitat types been simultaneously explored to determine the influence on bacterial and fungal communities, key biological players in these ecosystems. Further, our understanding of the temporal dynamics of bacterial and fungal communities in grasslands, and of how these dynamics depend on the microhabitat within the ecosystem, is notably poor. Here we used a temporally and spatially explicit approach to assess bacterial and fungal communities in a grassland on the Colorado Plateau, and to link variation in these communities to edaphic characteristics. We found that microhabitat (e.g., vascular plant rhizosphere, biocrust, and below biocrust) was the strongest driver of differences in bacterial and fungal community richness, diversity, and composition. Microhabitat type also significantly mediated the impact of temporal change in shaping community composition. Taken together, 29% of the variation in bacterial community composition could be explained by microhabitat, date, and microhabitat-by-date interactions, while only 11% of the variation in fungal community composition could be explained by the same factors, suggesting important differences in community assembly processes. Soil microbial communities dictate myriad critical ecosystem functions, thus understanding the factors that control their compostition is crucial to considering and forecasting how terrestrial ecosystems work. Overall, this case study provides insights for future studies on the spatial and temporal dynamics of bacterial and fungal communities in dryland grasslands.

Frontiers in Ecology and Evolution

Processes governing phytoplankton blooms in estuaries. II: The role of horizontal transport

The development and distribution of phytoplankton blooms in estuaries are functions of both local conditions (i.e. the production-loss balance for a water column at a particular spatial location) and large-scale horizontal transport. In this study, the second of a 2-paper series, we use a depth-averaged hydrodynamic-biological model to identify transport-related mechanisms impacting phytoplankton biomass accumulation and distribution on a system level. We chose South San Francisco Bay as a model domain, since its combination of a deep channel surrounded by broad shoals is typical of drowned-river estuaries. Five general mechanisms involving interaction of horizontal transport with variability in local conditions are discussed. Residual (on the order of days to weeks) transport mechanisms affecting bloom development and location include residence time/export, import, and the role of deep channel regions as conduits for mass transport. Interactions occurring on tidal time scales, i.e. on the order of hours) include the phasing of lateral oscillatory tidal flow relative to temporal changes in local net phytoplankton growth rates, as well as lateral sloshing of shoal-derived biomass into deep channel regions during ebb and back into shallow regions during flood tide. Based on these results, we conclude that: (1) while local conditions control whether a bloom is possible, the combination of transport and spatial-temporal variability in local conditions determines if and where a bloom will actually occur; (2) tidal-time-scale physical-biological interactions provide important mechanisms for bloom development and evolution. As a result of both subtidal and tidal-time-scale transport processes, peak biomass may not be observed where local conditions are most favorable to phytoplankton production, and inherently unproductive areas may be regions of high biomass accumulation.

Marine Ecology Progress Series

The Japanese Quail as an avian model for testing endocrine disrupting chemicals: endocrine and behavioral end points

Birds have extremely varied reproductive strategies. As such, the impact of endocrine disrupting chemicals (EDCs) can greatly differ across avian species. Precocial species, such as Japanese quail appear to be most sensitive to EDC effects during embryonic development, particularly sexual differentiation. A great deal is known about the ontogeny of Japanese quail (Coturnix japonica) relative to endocrine, neuro-endocrine, and behavioral components of reproduction. Therefore, this species provides an excellent model for understanding effects of EDCs on reproductive biology with exposure at specific stages of the life cycle. The purpose of these experiments was to conduct a 1- or 2- generation experiment with positive or negative control chemicals and to determine changes in selected end points. Japanese quail embryos were exposed to estradiol benzoate (EB; positive control) in a 2-generation design or to fadrozole (FAD; negative control) in a 1-generation design. Embryonic EB treatment resulted in significant reductions (p< 0.5) in hen day production (90.2 vs 54.1; control vs EB, resp.) and fertility (85.3 vs 33.4%, control vs EB, resp.). Males showed sharply reduced courtship and mating behaviors as well as increased lag time (26 vs 148 sec; control vs EB) in behavioral tests. Fadrozole exposure resulted in reduced hatchability of fertile eggs, particularly at higher doses. There were no significant effects on courtship and mating behavior of males although males showed an increased lag time in their responses, nally, a behavioral test for studying motor and fear responses in young chicks was used; chicks exposed to an estrogenic pesticide (methoxychlor) showed some deficits. In summary, the use of appropriate and reliable end points that are responsive to endocrine disruption are critical for assessment of EDCs. Supported in part by EPA grant R826134.

Society of Environmental Toxicology and Chemistry,

Evidence from 12-year study links ecosystem changes in the Gulf of Maine with climate change

Investigators at the Bigelow Laboratory for Ocean Sciences (East Boothbay, Maine) and the U.S. Geological Survey collaborated to study ecosystem changes in the Gulf of Maine. As part of the Gulf of Maine North Atlantic Time Series (GNATS), a comprehensive long-term study of hydrographic, biological, optical and chemical properties, multiple cruises have been conducted each year since 2001 by using a portable laboratory aboard different vessels (figure 1) and occasionally a remotely controlled glider (figure 2). Data collected during these cruises, when analyzed within the context of a century of climatological and streamflow data, document changes in temperature, salinity, and coastal ocean productivity that appear to be related to recent increases in precipitation and streamflow. These results are evidence of a link between changing hydrologic conditions on land and changes in coastal ocean productivity.

EcoSystem Indicator Partnership Journal

Alien invasions in aquatic ecosystems: Toward an understanding of brook trout invasions and potential impacts on inland cutthroat trout in western North America

Experience from case studies of biological invasions in aquatic ecosystems has motivated a set of proposed empirical “rules” for understanding patterns of invasion and impacts on native species. Further evidence is needed to better understand these patterns, and perhaps contribute to a useful predictive theory of invasions. We reviewed the case of brook trout ( Salvelinus fontinalis )invasions in the western United States and their impacts on native cutthroat trout ( Oncorhynchus clarki ). Unlike many biological invasions, a considerable body of empirical research on brook trout and cutthroat trout is available. We reviewed life histories of each species, brook trout invasions, their impacts on cutthroat trout, and patterns and causes of segregation between brook trout and cutthroat trout. We considered four stages of the invasion process: transport, establishment, spread, and impacts to native species. Most of the research we found focused on impacts. Interspecific interactions, especially competition, were commonly investigated and cited as impacts of brook trout. In many cases it is not clear if brook trout invasions have a measurable impact. Studies of species distributions in the field and a variety of experiments suggest invasion success of brook trout is associated with environmental factors, including temperature, landscape structure, habitat size, stream flow, and human influences. Research on earlier stages of brook trout invasions (transport, establishment, and spread) is relatively limited, but has provided promising insights. Management alternatives for controlling brook trout invasions are limited, and actions to control brook trout focus on direct removal, which is variably successful and can have adverse effects on native species. The management applicability of research has been confounded by the complexity of the problem and by a focus on understanding processes at smaller scales, but not on predicting patterns at larger scales. In the short-term, an improved predictive understanding of brook trout invasions could prove to be most useful, even if processes are incompletely understood. A stronger connection between research and management is needed to identify more effective alternatives for controlling brook trout invasions and for identifying management priorities.

western United States