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Organization of marine phenology data in support of planning and conservation in ocean and coastal ecosystems

Among the many effects of climate change is its influence on the phenology of biota. In marine and coastal ecosystems, phenological shifts have been documented for multiple life forms; however, biological data related to marine species' phenology remain difficult to access and is under-used. We conducted an assessment of potential sources of biological data for marine species and their availability for use in phenological analyses and assessments. Our evaluations showed that data potentially related to understanding marine species' phenology are available through online resources of governmental, academic, and non-governmental organizations, but appropriate datasets are often difficult to discover and access, presenting opportunities for scientific infrastructure improvement. The developing Federal Marine Data Architecture when fully implemented will improve data flow and standardization for marine data within major federal repositories and provide an archival repository for collaborating academic and public data contributors. Another opportunity, largely untapped, is the engagement of citizen scientists in standardized collection of marine phenology data and contribution of these data to established data flows. Use of metadata with marine phenology related keywords could improve discovery and access to appropriate datasets. When data originators choose to self-publish, publication of research datasets with a digital object identifier, linked to metadata, will also improve subsequent discovery and access. Phenological changes in the marine environment will affect human economics, food systems, and recreation. No one source of data will be sufficient to understand these changes. The collective attention of marine data collectors is needed—whether with an agency, an educational institution, or a citizen scientist group—toward adopting the data management processes and standards needed to ensure availability of sufficient and useable marine data to understand marine phenology.

Ecological Informatics

Volcano and earthquake monitoring plan for the Yellowstone Caldera system, 2022–2032

Executive Summary The Yellowstone Volcano Observatory (YVO) is a consortium of nine Federal, State, and academic agencies that: (1) provides timely monitoring and hazards assessment of volcanic, hydrothermal, and earthquake activity in and around Yellowstone National Park, and (2) conducts research to develop new approaches to volcano monitoring and better understand volcanic activity in the Yellowstone region and elsewhere. The U.S. Geological Survey (USGS) arm of YVO is also responsible for monitoring and reporting on volcanic activity in the Intermountain West of the United States. The previous YVO monitoring plan for the Yellowstone region spanned 2006–2015 and focused on strengthening the region-wide coverage, or backbone, of monitoring systems (Yellowstone Volcano Observatory, 2006). The goals of that plan have largely been achieved thanks to significant investments in instrumentation and infrastructure, especially by the National Science Foundation EarthScope Plate Boundary Observatory (now known as the Network Of The Americas, or NOTA) and the American Reinvestment and Recovery Act. This revision of the monitoring plan, covering 2022–2032, builds upon these improvements to monitoring systems in the Yellowstone region while also accounting for new insights into the dynamics of the area’s seismic, volcanic, and hydrothermal activity. These additional improvements are designed to fill gaps in the monitoring network and to better understand and track hazards associated with hydrothermal processes. These improvements include: Conversion of remaining analog seismic stations to digital, Addition of Global Positioning System (GPS) stations in the vicinity of Norris Geyser Basin and other areas where changes in deformation rate and style have been observed, Implementation of continuous gas monitoring in several areas of Yellowstone National Park, and Improvements to lake, meteorological, and hydrological monitoring to better track hydrothermal activity, including that occurring on lake bottoms, and to aid in understanding of whether such activity might be influenced by external forces, like environmental conditions. The 2022–2032 monitoring plan for the Yellowstone volcanic system also proposes to improve monitoring of hydrothermal areas to better understand these dynamic systems and their associated hazards. To date, only a single seismometer has been placed within one of Yellowstone National Park’s geyser basins because seismic noise associated with boiling water can hinder interpretation of overall seismic and magmatic activity, but this concern has been mitigated by improvements to backbone monitoring. Deployment of geophysical, geochemical, hydrological, and geological monitoring instruments in geyser basins will be accompanied by campaigns to measure gas and water chemistry and flux, as well as aerial and satellite surveys of gas and thermal emissions. Close collaboration between YVO member institutions and other research agencies is needed to achieve these monitoring goals and to use the derived data to advance understanding of how Yellowstone Caldera and similar volcanic systems work. At the same time, attention must be paid to minimize the impact of monitoring efforts and infrastructure on the environment. YVO thus commits to serving as stewards of the natural, cultural, and historical resources in and around Yellowstone National Park while maximizing scientific gain for the betterment of society.

Wyoming

Characterization of stormwater at selected South Carolina Department of Transportation maintenance yards and section shed facilities in Ballentine, Conway, and North Charleston, South Carolina, 2010-12

Increased impervious surfaces (driveways, parking lots, and buildings) and human activities (residential, industrial, and commercial) have been linked to substantial changes in both the quality and quantity of stormwater on a watershed scale (Brabec and others, 2002; Pitt and Maestre, 2005). Small-scale storage and equipment repair facilities increase impervious surfaces that prevent infiltration of stormwater, and these facilities accommodate activities that can introduce trace metals, organic compounds, and other contaminants to the facility’s grounds. Thus, these small facilities may contribute pollutants to the environment during storm events (U.S. Environmental Protection Agency, 1992). The South Carolina Department of Transportation (SCDOT) operates section shed and maintenance yard facilities throughout the State. Prior to this investigation, the SCDOT had no data to define the quality of stormwater leaving these facilities. To provide these data, the U.S. Geological Survey (USGS), in cooperation with the SCDOT, conducted an investigation to identify and quantify constituents that are transported in stormwater from two maintenance yards and a section shed in three different areas of South Carolina. The two maintenance yards, in North Charleston and Conway, S.C., were selected because they represent facilities where equipment and road maintenance materials are stored and complete equipment repair operations are conducted. The section shed, in Ballentine, S.C., was selected because it is a facility that stores equipment and road maintenance material. Characterization of the constituents that were transported in stormwater from these representative SCDOT maintenance facilities may be used by the SCDOT in the development of stormwater management plans for similar section shed and maintenance yard facilities throughout the State to improve stormwater quality.

South Carolina

Population genetics of three at-risk tiger beetles Habroscelimorpha dorsalis dorsalis, H. d. media, and Ellipsoptera puritana

Many tiger beetles (Family Cicindelidae ) are critically imperiled due to their dependence on small patches of suitable habitat that are frequently threatened by natural and anthropogenic disturbances. In the eastern United States, conservation of three tiger beetles - Habroscelimorpha dorsalis dorsalis , H. dorsalis media , and Ellipsoptera puritana - has been inhibited by the absence of population genetic information that is needed for effective recovery planning and potential reintroductions. Using microsatellite panels, we performed population genetic analyses and compared patterns in diversity and differentiation within and between taxa. Nearly all collections of the three taxa had less observed heterozygosity than expected under Hardy-Weinberg Equilibrium, and there was a strong latitudinal gradient in genetic diversity in H. d. dorsalis distributed along the eastern and western shores of the Chesapeake Bay. We also found clear spatial patterns of genetic differentiation which reflected strong isolation-by-distance within all three taxa and between collections of H. d. dorsalis and H. d. media. However, there was evidence of admixture in current (mouth of the Chesapeake Bay) and former (coastal New Jersey) contact zones of H. d. dorsalis and H. d. media . Taken together, our study suggests that relatively few adult tiger beetles may maintain many populations, and that gene flow among nearby habitat patches is common in all three taxa – a characteristic that may help tiger beetles persist in dynamic coastal environments. Results of our analyses can be used to support conservation and management by identifying the spatial scale of metapopulation connectivity and locating populations at the greatest risk of extirpation.

Maryland, Virginia

A strategic and science-based framework for management of invasive annual grasses in the sagebrush biome

In the last 20 years, the North American sagebrush biome has lost over 500,000 ha of intact and largely intact sagebrush plant communities on an annual basis. Much of this loss has been associated with expansion and infilling of invasive annual grasses (IAGs). These species are highly competitive against native perennial grasses in disturbed environments, and create fuel conditions that increase both the likelihood of fire ignition and the ease of wildfire spread across large landscapes. Given the current rate of IAG expansion in both burned and unburned rangelands, ameliorating the IAG threat will involve a range-wide paradigm shift from opportunistic and reactive management, to a framework that spatially prioritizes maintenance of largely intact, uninvaded areas and improvement of invaded habitats in strategic locations. We created a framework accompanied by biome-wide priority maps using geospatial overlays that target areas to MAINTAIN large, uninvaded areas as natural resource anchors through activities to prevent IAGs and IMPROVE areas to reduce invasions with the highest potential for management efforts to succeed in restoring large, intact landscapes. We then offer three case studies to illustrate the use of these concepts and map products at multiple scales. Our map products operate at the biome scale using regional data sources but additional data sources may be needed to inform local conservation planning. However, the basic strategic management principles of a) maintaining the intact and uninvaded areas that we can least afford to lose to IAGs and b) improving areas where we have a higher likelihood of restoration success, is timely, relevant, and scalable from the biome to local levels.

Rangeland Ecology & Management

Assessment of environments for Mars Science Laboratory entry, descent, and surface operations

The Mars Science Laboratory mission aims to land a car-sized rover on Mars' surface and operate it for at least one Mars year in order to assess whether its field area was ever capable of supporting microbial life. Here we describe the approach used to identify, characterize, and assess environmental risks to the landing and rover surface operations. Novel entry, descent, and landing approaches will be used to accurately deliver the 900-kg rover, including the ability to sense and "fly out" deviations from a best-estimate atmospheric state. A joint engineering and science team developed methods to estimate the range of potential atmospheric states at the time of arrival and to quantitatively assess the spacecraft's performance and risk given its particular sensitivities to atmospheric conditions. Numerical models are used to calculate the atmospheric parameters, with observations used to define model cases, tune model parameters, and validate results. This joint program has resulted in a spacecraft capable of accessing, with minimal risk, the four finalist sites chosen for their scientific merit. The capability to operate the landed rover over the latitude range of candidate landing sites, and for all seasons, was verified against an analysis of surface environmental conditions described here. These results, from orbital and model data sets, also drive engineering simulations of the rover's thermal state that are used to plan surface operations.

Space Science Reviews

Designs for cyanobacterial harmful algal bloom monitoring in the Sacramento–San Joaquin Delta, California

Cyanobacterial harmful algal blooms (CHABs) are a growing concern in freshwater environments. These blooms can lead to degraded water quality, ecosystem disruptions, and public health threats due to the production of potent cyanotoxins. The Sacramento–San Joaquin Delta (California, USA; the Delta) has experienced CHABs since 1999, including CHABs that produce cyanotoxins at concentrations exceeding recreational advisory threshold levels. In response to the CHAB monitoring needs in the Delta, in 2024 a CHAB monitoring strategy for the Sacramento–San Joaquin Delta was released. The CHAB monitoring strategy recommended implementing a comprehensive monitoring program aligned with regional priorities, and this report responds directly to that recommendation. Building on the CHAB monitoring strategy, it describes three example monitoring designs that draw from past studies to address present needs. To develop designs, the report outlines key components and considerations for implementing a CHAB monitoring program in the Delta. It provides: background on monitoring and modeling approaches, an overview of current monitoring programs in the region, guidance for selecting monitoring locations, indicators, and sampling frequencies, and example designs to guide program planning and budgeting. The overarching goal of the report is to help agencies and stakeholders move from high-level recommendations to practical, actionable designs that are tailored to the Delta’s physical, anthropogenic, and ecological landscape.

ESS Open Archive

FishPass baseline assessment of fish community assemblage and migratory patterns in in the Boardman River, Traverse City, Michigan, USA

This report on baseline assessment of fish community assemblage and migratory patterns of fishes in the lower Boardman River (LBR; Traverse City, MI (USA)) is one of four assessment projects conceived circa 2017 after the Boardman (Ottaway) River was selected by the Great Lakes Fishery Commission (GLFC) and collaborating agencies as the future site of the Selective Bi-directional Fish Passage (FishPass) project. This report describes the results from fisheries community sampling from 2017-2021 and the concurrent bio-telemetry project aimed at understanding phenological changes in the fish community and movement and space-use of a variety of large-bodied fishes in the LBR against which selective fish passage treatments will be developed and evaluated. Fish migration in riverine environments is a growing area of concern as mounting anthropogenic influences, particularly fragmentation from dams and barriers, constitute a major threat to global river species diversity. Specifically, In the Laurentian Great Lakes basin, more than 250,000 dams, weirs, culverts, and other significant obstructions prevent the movement of species both between the Great Lakes and rivers, and within rivers. Barriers impede the movement of fishes between areas critical to the completion of their lifecycle, affecting both population and ecosystem viability. However, a conundrum arises in that the same barriers can also prevent the upstream invasion of non-native or undesirable species (most notably the sea lamprey Petromyzon marinus in the Great Lakes),prevent the transfer of contaminants and diseases, halt deleterious genes, provide recreational opportunities, or generate power. As a result, fish passage solutions with the capability of selectively passing desirable taxa while restricting the dispersal of undesirable taxa (selective connectivity) are sought to solve this connectivity conundrum. FishPass is a multi-agency initiative planned to replace the Union Street Dam on the Boardman River in Traverse City,MI (USA), aimed at developing and implementing automatic or semiautomatic selective bi-directional fish guidance, sorting, and passage techniques and technologies. Pivotal to both the successful development of selective connectivity and assessment of its effects is a more complete understanding of the Boardman River’s fishery. Specifically, understanding the species and size composition of the fish community, fish movement phenology and the associated abiotic conditions. Fish community sampling confirmed the presence of 28 unique species in the LBR (Boardman River reach below Union Street Dam). Passive Integrated Transponder (PIT) tag telemetry increased the resolution of phenological shifts in the fish community that could not have been captured from periodic fish sampling. This data demonstrates large variation within species and overlap between species presence. However, discrete periods of presence were identified across most species when considering the central tendencies in the distribution of their presence. Rainbow trout Oncorhynchus mykiss were found to be omni-present in the river while brown trout Salmo trutta and smallmouth bass Micropterus dolomieu also persisted throughout a majority of the year; all of which will require continually sorting at FishPass. PIT tag telemetry also provided the important understanding that individuals (3-64%) of all species return to the LBR across multiple years. Radio telemetry (RT) proved useful in refining the entry and exit timing and in evaluating the proportion of individuals that encountered the current Union Street Dam and Kid’s Creek (the only tributary confluence below the Union Street Dam) across six species (common white sucker Catostomus commersonii, rainbow trout, smallmouth bass, walleye Sander vitreus, brown trout, and common carp Cyprinus carpio). The RT results show that these species are present in FishPass Research Publication: baseline assessment of fish community assemblage and migratory pattern in the Boardman River, Traverse City, Michigan, USA November 2023 7 between April and August. Our analysis also demonstrated that not all fish that entered the river proceeded to the Union Street Dam, but those that did, did so prior to being detected encountering Kid’s Creek. Common white sucker and rainbow trout were the only species to be detected encountering Kid’s Creek. Collectively, the results of this study provide a baseline understanding of the seasonal fish diversity and relative abundance of fishes in the LBR, and a basic description of observed movement patterns of a subset of species in the context of seasonal phenology, entry and exit behavior within the LBR, and the propensity at which telemetered individuals encounter the Union Street dam and/or Kid’s Creek.

Michigan

Coastal systems and low-lying areas

Since the IPCC Third Assessment Report (TAR), our understanding of the implications of climate change for coastal systems and low-lying areas (henceforth referred to as ‘coasts’) has increased substantially and six important policy-relevant messages have emerged. Coasts are experiencing the adverse consequences of hazards related to climate and sea level (very high confidence). Coasts are highly vulnerable to extreme events, such as storms, which impose substantial costs on coastal societies [6.2.1, 6.2.2, 6.5.2]. Annually, about 120 million people are exposed to tropical cyclone hazards, which killed 250,000 people from 1980 to 2000 [6.5.2]. Through the 20th century, global rise of sea level contributed to increased coastal inundation, erosion and ecosystem losses, but with considerable local and regional variation due to other factors [6.2.5, 6.4.1]. Late 20th century effects of rising temperature include loss of sea ice, thawing of permafrost and associated coastal retreat, and more frequent coral bleaching and mortality [6.2.5]. Coasts will be exposed to increasing risks, including coastal erosion, over coming decades due to climate change and sea-level rise (very high confidence). Anticipated climate-related changes include: an accelerated rise in sea level of up to 0.6 m or more by 2100; a further rise in sea surface temperatures by up to 3°C; an intensification of tropical and extra-tropical cyclones; larger extreme waves and storm surges; altered precipitation/run-off; and ocean acidification [6.3.2]. These phenomena will vary considerably at regional and local scales, but the impacts are virtually certain to be overwhelmingly negative [6.4, 6.5.3]. Corals are vulnerable to thermal stress and have low adaptive capacity. Increases in sea surface temperature of about 1 to 3°C are projected to result in more frequent coral bleaching events and widespread mortality, unless there is thermal adaptation or acclimatisation by corals [Box 6.1, 6.4]. Coastal wetland ecosystems, such as saltmarshes and mangroves, are especially threatened where they are sediment starved or constrained on their landward margin [6.4.1]. Degradation of coastal ecosystems, especially wetlands and coral reefs, has serious implications for the well-being of societies dependent on the coastal ecosystems for goods and services [6.4.2, 6.5.3]. ncreased flooding and the degradation of freshwater, fisheries and other resources could impact hundreds of millions of people, and socio-economic costs on coasts will escalate as a result of climate change [6.4.2, 6.5.3]. The impact of climate change on coasts is exacerbated by increasing human-induced pressures (very high confidence). Utilisation of the coast increased dramatically during the 20th century and this trend is virtually certain to continue through the 21st century. Under the SRES scenarios, the coastal population could grow from 1.2 billion people (in 1990) to 1.8 to 5.2 billion people by the 2080s, depending on assumptions about migration [6.3.1]. Increasing numbers of people and assets at risk at the coast are subject to additional stresses due to land-use and hydrological changes in catchments, including dams that reduce sediment supply to the coast [6.3.2]. Populated deltas (especially Asian megadeltas), low-lying coastal urban areas and atolls are key societal hotspots of coastal vulnerability, occurring where the stresses on natural systems coincide with low human adaptive capacity and high exposure [6.4.3]. Regionally, South, South- East and East Asia, Africa and small islands are most vulnerable [6.4.2]. Climate change therefore reinforces the desirability of managing coasts in an integrated manner [6.6.1.3]. Adaptation for the coasts of developing countries will be more challenging than for coasts of developed countries, due to constraints on adaptive capacity (high confidence). While physical exposure can significantly influence vulnerability for both human populations and natural systems, a lack of adaptive capacity is often the most important factor that creates a hotspot of human vulnerability. Adaptive capacity is largely dependent upon development status. Developing nations may have the political or societal will to protect or relocate people who live in low-lying coastal zones, but without the necessary financial and other resources/capacities, their vulnerability is much greater than that of a developed nation in an identical coastal setting. Vulnerability will also vary between developing countries, while developed countries are not insulated from the adverse consequences of extreme events [6.4.3, 6.5.2]. Adaptation costs for vulnerable coasts are much less than the costs of inaction (high confidence). Adaptation costs for climate change are much lower than damage costs without adaptation for most developed coasts, even considering only property losses and human deaths [6.6.2, 6.6.3]. As post-event impacts on coastal businesses, people, housing, public and private social institutions, natural resources, and the environment generally go unrecognised in disaster cost accounting, the full benefits of adaptation are even larger [6.5.2, 6.6.2]. Without adaptation, the high-end sea-level rise scenarios, combined with other climate changes (e.g., increased storm intensity), are as likely as not to render some islands and lowlying areas unviable by 2100, so effective adaptation is urgently required [6.6.3]. The unavoidability of sea-level rise, even in the longer-term, frequently conflicts with present-day human development patterns and trends (high confidence). Sea-level rise has substantial inertia and will continue beyond 2100 for many centuries. Irreversible breakdown of the West Antarctica and/or Greenland ice sheets, if triggered by rising temperatures, would make this long-term rise significantly larger, ultimately questioning the viability of many coastal settlements across the globe. The issue is reinforced by the increasing human use of the coastal zone. Settlement patterns also have substantial inertia, and this issue presents a challenge for long-term coastal spatial planning. Stabilisation of climate could reduce the risks of ice sheet breakdown, and reduce but Chapter 6 Coastal systems and low-lying areas 317 not stop sea-level rise due to thermal expansion [Box 6.6]. Hence, it is now more apparent than it was in the TAR that the most appropriate response to sea-level rise for coastal areas is a combination of adaptation to deal with the inevitable rise, and mitigation to limit the long-term rise to a manageable level [6.6.5, 6.7].

Book chapter

Land resource information needs of county government : a case study in Larimer County, Colorado

My two colleagues on the study team, Rex Burns of the Larimer County Planning Department, and Glenn McCarty of the Fort Collins office of the Soil Conservation Service, contributed substantially to this report; many of their written words have found their way directly into the text. Jill O'Gara later replaced Rex Burns as the Larimer County coordinator in the study's final stages. John Rold, Colorado State Geologist, assisted in coordinating our efforts at the beginning of this study. Lou Campbell, State Cartographer, gave valuable advice and assistance throughout the effort. Wallace Hansen and James Blakey of the USGS Geologic and Water Resources Divisions, respectively, read the final manuscript and helped in many other ways. Joanna Trolinger served as research assistant and manuscript typist. Many others in the USGS, SCS, and other organizations helped in supplying information and advice. Tom Bates, then Chairman of the USGS Central Region Earth Science Applications Task Force, was the originator of the study, leader of the USGS participation effort, and guiding inspiration throughout. The study was carried out in association with the Program on Environment and Behavior, Institute of Behavioral Science, University of Colorado, Boulder.

Open-File Report

Framework for assessing and mitigating the impacts of offshore wind energy development on marine birds

Offshore wind energy development (OWED) is rapidly expanding globally and has the potential to contribute significantly to renewable energy portfolios. However, development of infrastructure in the marine environment presents risks to wildlife. Marine birds in particular have life history traits that amplify population impacts from displacement and collision with offshore wind infrastructure. Here, we present a broadly applicable framework to assess and mitigate the impacts of OWED on marine birds. We outline existing techniques to quantify impact via monitoring and modeling (e.g., collision risk models, population viability analysis), and present a robust mitigation framework to avoid, minimize, or compensate for OWED impacts. Our framework addresses impacts within the context of multiple stressors across multiple wind energy developments. We also present technological and methodological approaches that can improve impact estimation and mitigation. We highlight compensatory mitigation as a tool that can be incorporated into regulatory frameworks to mitigate impacts that cannot be avoided or minimized via siting decisions or alterations to OWED infrastructure or operation. Our framework is intended as a globally-relevant approach for assessing and mitigating OWED impacts on marine birds that may be adapted to existing regulatory frameworks in regions with existing or planned OWED.

Biological Conservation

Rangewide climate vulnerability assessment for threatened Bull Trout

The bull trout, listed as threatened under the Endangered Species Act, is well adapted to the cold waters of the Northwest. Recent changes in climate have caused winter flooding and warmer summer water temperatures in the region, reducing the cold-water habitats that bull trout depend on. The southernmost bull trout populations, found in Oregon, Washington, Idaho, Montana, and Nevada, are currently restricted to small reserves where the coldest waters still exist. These shrinking habitats have created a severed environment being further split by dams, poor water quality, and invasive species. The goal of this project was to determine how these factors threaten the species regionally by using predictions of stream temperature to map habitat areas that support juvenile bull trout. Results show that maintaining larger areas of cold water habitat had the greatest, positive impact on bull trout habitat conservation. Other conditions that support bull trout include very cold summer water temperatures, fewer winter floods, and fewer human disturbances (such as the building of dams). Based on these results, specific climate adaptation actions that local managers might consider include prioritizing land and water use to foster colder summer water temperatures, controlling invasive species, increasing connectivity between Bull Trout habitats, and continuing monitoring efforts. To ensure that these results and habitat maps could be incorporated into management actions, researchers met with stakeholders including the U.S. Fish and Wildlife Service (USFWS), the U.S. Forest Service, and the Burns Paiute Tribe. As a result, the maps were used in forest planning for the Lolo National Forest in Montana, the Wenatchee River basin, and in the lower Pend Oreille River during the relicensing process for local dam operations. In addition, the recovery plan proposed by the USFWS incorporated these models into detailed analyses of bull trout habitat loss, which managers can use to prioritize actions in their Recovery Unit Implementation Plans.

Report

Supporting the development and use of native plant materials for restoration on the Colorado Plateau (Fiscal Year 18 Report)

Introduction A primary focus of the Colorado Plateau Native Plant Program (CPNPP) is to identify and develop appropriate native plant materials (NPMs) for current and future restoration projects. Multiple efforts have characterized the myriad challenges inherent in providing appropriate seed resources to enable effective, widespread restoration and identified a broad suite of research activities to provide the information necessary to overcome those challenges (e.g., Plant Conservation Alliance 2015; Breed et al. 2018). Many of the most complex information needs relate to identifying the appropriate plant species and populations that can successfully establish in dryland environments, like the Colorado Plateau, where low and highly variable precipitation is standard. Providing this information requires synergistic research efforts in which results from earlier investigations inform the design of subsequent investigations. Southwest Biological Science Center’s (SBSC’s) research activities in FY18 followed the FY18 Statement of Work (“Research supporting native plant materials development for the Colorado Plateau Native Plant Program, FY18”) to support a research framework that is continually adapting based on the needs of the restoration community and results from previous investigations; the long-term research framework is now outlined in the 2019-2023 5-Year Research Strategy (discussed below; hereafter referred to as the 5-Year Research Strategy). This research framework provides support for the National Seed Strategy for Rehabilitation and Restoration (Plant Conservation Alliance, 2015), Department of Interior Secretarial Order #3347 (Conservation Stewardship and Outdoor Recreation), and Bureau of Land Management Leadership Priority #1 (Create a conservation stewardship legacy second only to Teddy Roosevelt). The overall focus of activities in FY18 centered on landscape genetics and planning for common garden and other research projects. These activities were supported by two biological technicians that were hired and trained by Dr. Rob Massatti and Dr. Daniel Winkler. Many of the field-related activities, including plant trait measurement and seed/tissue collecting, were assigned to these technicians, which freed Dr. Massatti to work on other research objectives, including the time-consuming activities of processing and analyzing genetic data. A major challenge to field work in FY18 was the drought conditions that pervaded the Plateau during the spring field season. Due to low winter and spring precipitation, many plant communities did not green up in the spring, which prevented the biological technicians from collecting plant trait data, tissues samples, and seeds in many areas. To cope with the dry conditions, the technicians searched sites across a wider range of environmental space and considered a broader suite of species from which to collect data (i.e., species that may be included in research projects in future years). Monsoonal precipitation starting in July supported a late summer/fall field season and allowed the technicians to follow a more normal work plan. While Dr. Massatti was the only scientist supported by the SBSC-CPNPP agreement in FY18, other scientists, including Drs. John Bradford, Seth Munson, Mike Duniway, Sasha Reed, Daniel Winkler, and Jayne Belnap, spent a considerable amount of time discussing individual projects and the newly developed 5-Year Research Strategy. Some of these discussions resulted in a publication by Dr. Winkler, in addition to a large group of researchers, practitioners, and others who work on the Colorado Plateau, concerning the restoration challenges facing the Plateau into the future and the types of efforts that may support successful restoration (Winkler et al., 2018).

Colorado

Map showing thickness of young bay mud, southern San Francisco Bay, California

Soft water-saturated estuarine deposits less than 10,000 years old underlie the southern part of San Francisco bay and the present and former marshlands that border the bay. Known locally as bay mud or as young bay mud, these deposits, and the estuarine environment that produces them, are of major importance in making decision on land use and development in the San Francisco Bay area. Knowledge of the distribution, thickness, and physical properties of young bay mud is critical to the feasibility, design, and maintenance of structures built on it. Fore this reason, numerous attempts have been made in the past to map or describe these characteristics (Mitchell, 1963; Goldman, 1969; McDonald and Nichols, 1974). The accompanying map of bay-mud thickness significantly revises part of an earlier compilation by Kahle and Goldman (1969) and includes new data from approximately 2400 boreholes, most of which have been drilled during the past 15 years. It also incorporates information on historic margins of San Francisco Bay and its tidal marshes (Nichols and Wright, 1971). Although this map was compelled mostly from data gathered during foundation investigations and construction projects, it is mostly from data gathered during foundation investigations and construction projects, it is not a substitute for such studies. Rather, the map provides regional information for land-use planning, seismic zonation, and design of foundation investigations.

California

Fifty years of Landsat science and impacts

Since 1972, the Landsat program has been continually monitoring the Earth, to now provide 50 years of digital, multispectral, medium spatial resolution observations. Over this time, Landsat data were crucial for many scientific and technical advances. Prior to the Landsat program, detailed, synoptic depictions of the Earth's surface were rare, and the ability to acquire and work with large datasets was limited. The early years of the Landsat program delivered a series of technological breakthroughs, pioneering new methods, and demonstrating the ability and capacity of digital satellite imagery, creating a template for other global Earth observation missions and programs. Innovations driven by the Landsat program have paved the way for subsequent science, application, and policy support activities. The economic and scientific value of the knowledge gained through the Landsat program has been long recognized, and despite periods of funding uncertainty, has resulted in the program's 50 years of continuity, as well as substantive and ongoing improvements to payload and mission performance. Free and open access to Landsat data, enacted in 2008, was unprecedented for medium spatial resolution Earth observation data and substantially increased usage and led to a proliferation of science and application opportunities. Here, we highlight key developments over the past 50 years of the Landsat program that have influenced and changed our scientific understanding of the Earth system. Major scientific and programmatic impacts have been realized in the areas of agricultural crop mapping and water use, climate change drivers and impacts, ecosystems and land cover monitoring, and mapping the changing human footprint. The introduction of Landsat collection processing, coupled with the free and open data policy, facilitated a transition in Landsat data usage away from single images and towards time series analyses over large areas and has fostered the widespread use of science-grade data. The launch of Landsat-9 on September 27, 2021, and the advanced planning of its successor mission, Landsat-Next, underscore the sustained institutional support for the program. Such support and commitment to continuity is recognition of both the historic impact the program, and the future potential to build upon Landsat's remarkable 50-year legacy.

Remote Sensing of Environment

Guidelines for the use of the semipermeable membrane device (SPMD) and the polar organic chemical integrative sampler (POCIS) in environmental monitoring studies

The success of an environmental monitoring study using passive samplers, or any sampling method, begins in the office or laboratory. Regardless of the specific methods used, the general steps include the formulation of a sampling plan, training of personnel, performing the field (sampling) work, processing the collected samples to recover chemicals of interest, analysis of the enriched extracts, and interpretation of the data. Each of these areas will be discussed in the following sections with emphasis on specific considerations with the use of passive samplers. Water is an extremely heterogeneous matrix both spatially and temporally (Keith, 1991). The mixing and distribution of dissolved organic chemicals in a water body are controlled by the hydrodynamics of the water, the sorption partition coefficients of the chemicals, and the amount of organic matter (suspended sediments, colloids, and dissolved organic carbon) present. In lakes and oceans, stratification because of changes in temperature, water movement, and water composition can occur resulting in dramatic changes in chemical concentrations with depth (Keith, 1991). Additional complications related to episodic events, such as surface runoff, spills, and other point source contamination, can result in isolated or short-lived pulses of contaminants in the water. The application of passive sampling technologies for the monitoring of legacy and emerging organic chemicals in the environment is becoming widely accepted worldwide. The primary use of passive sampling methods for environmental studies is in the area of surface-water monitoring; however, these techniques have been applied to air and groundwater monitoring studies. Although these samplers have no mechanical or moving parts, electrical or fuel needs which require regular monitoring, there are still considerations that need to be understood in order to have a successful study. Two of the most commonly used passive samplers for organic contaminants are the semipermeable membrane device (SPMD) and the polar organic chemical integrative sampler (POCIS). The tips given in this document focus on these two samplers but are applicable to most types of passive sampling devices. The information in this guide is heavily weighted towards the sampling of water; however, information specific to the use of SPMDs for air sampling will also be covered.

Techniques and Methods

Wildfire risk information sources and the acceptability of fuels treatments near select WUI communities in the Western United States

Fuels treatments intended to reduce fuel loads and improve forest health on public lands offer one way to reduce wildfire hazards in the wildland-urban interface (WUI), where the natural and built environments meet. However, for fuels treatment implementation to be successful, it must comply with regulatory and scientific standards and be supported by local communities, as lack of acceptance can lead to alterations, delays, or abandonment. To foster support, public land managers can engage directly with residents in communities near treatment areas through various communication channels or engage indirectly through trusted local partners. This research uses paired household survey and observed parcel-level wildfire risk assessment data to investigate wildfire risk information sources' role in the acceptability of fuels treatment approaches on public lands near select WUI communities in the Western United States. We find that information deemed useful from sources is often positively correlated with acceptability, while information deemed not useful is sometimes negatively correlated. Local sources of information tend to be widely received, perceived as useful, and have positive correlations with acceptability, while nonlocal sources vary in their receipt, perceived usefulness, and correlations with acceptability. Public land managers, particularly those from national organizations, may benefit from leveraging and aligning messaging with trusted local partners. Developing fuels treatment plans that consider existing local sentiments may facilitate public trust in managers and acceptability of treatments.

Colorado, New Mexico, Oregon, Washington, Wyoming

Introduction to limnogeology: Progress, challenges, and opportunities: A tribute to Elizabeth Gierlowski-Kordesch

Elizabeth Gierlowski-Kordesch (1956–2016) was a leader and innovator in the specialty field of limnogeology since its beginnings in the late 1980s. Her excitement for field work and examining sediments was contagious, and she was always testing new research ideas. Beth would have been thrilled with the diversity of papers presented in the volume and the wide array of techniques used to determine the history, geochemistry, paleontology, and paleoclimate preserved in the sediments in basins that are located on every continent except Australia and Antarctica. She would also have been delighted that half the chapters were first authored by highly cited women scientists. Beth spent her career teaching, mentoring, conducting research with students and colleagues, and planning limnogeology conferences, books, and field trips. Her contributions span deep-time lakes from North and South America, Africa, Asia, and Europe, starting with her work on the Lower Jurassic East Berlin Formation where she conducted her Ph.D. research. Her work with Kerry Kelts at the University of Minnesota produced two books summarizing global lake research. These volumes are still used by many researchers, particularly as a starting point in their limnogeological studies. Her collaboration with Springer Nature® resulted in the series entitled Syntheses in Limnogeology , a publication that likely would not exist without her enthusiasm and perseverance. The papers in this second volume in the series describe a variety of Jurassic to modern lakes that range from fresh to hypersaline, shallow to deep, vary in size from <1 km 2 to 100s of km 2 , and are found in a number of tectonic settings. Various proxies, including microfossils and trace fossils and analyses of lacustrine sedimentology, stratigraphy, and stable isotopes are used to evaluate the sediment cores and stratigraphic sections to evaluate human and climate influences on the environment, the effects of tectonic, seismic, and volcanic activity, and variations in hydrology. The contributions in this volume reflect the diverse research that Beth conducted herself and we hope is a fitting honor to one of the founding scientists of Limnogeology.

Book chapter