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At least 541 records · Page 30Linked to original sources

Estimates of global surface water dynamics harnessing near real-time land cover observations and open science geospatial capabilities

Spatio-temporal changes to our world’s surface water resources are escalating. Translating how these changes impact communities and ecosystems requires time-varying data of Global Surface Water Extents (GSWE). Traditionally, GSWE mapping has been limited to static estimates, with recent efforts focusing on annual averages, frequency and occurrence of long-term variations. Building upon these foundational capabilities, we harnessed remotely sensed Sentinel-2 based near real-time Dynamic World (DW) land cover products to produce the first-of-its-kind 10 m resolution GSWE dataset representing 2015–2023. Our dataset estimated 2.5 million km 2 of permanent waters and 8 million km 2 of seasonal waters worldwide. Comparing our Sentinel-2 based data to contemporary Landsat-based GSWE, we observed that our data mapped less water within the >50% probability of occurrence range, suggesting a lower presence of open permanent water especially in high latitudes, deviating from what we previously learnt from Landsat data. Statistical analysis compared to well-established observational products and widely used GSWE datasets across some of the world’s most ecologically significant regions, including Pantanal in South America and Haor in South Asia, supports the overall physical realism of our data in predicting global open surface water dynamics. Our key contribution is a prototype Open Science operational framework that extracts routinely available DW products, runs geospatial analytics, and creates actionable water information for educators, researchers, and stakeholders at any scale of practical interest. We present examples of this operational capability through instant mapping of flood in Spain and drought in Lake Urmia, Central Asia, frequent monitoring of river extent changes at the Ganges–Brahmaputra confluence, and above all, interoperability with other existing GSWE applications.

Environmental Research Letters

Downscaling of climate model output for Alaskan stakeholders

The paper summarizes an end-to-end activity connecting the global climate modeling enterprise with users of climate information in Alaska. The effort included retrieval of the requisite observational datasets and model output, a model evaluation and selection procedure, the actual downscaling by the delta method with its inherent bias-adjustment, and the provision of products to a range of users through visualization software that empowers users to explore the downscaled output and its sensitivities. An additional software tool enables users to examine skill metrics and relative rankings of 21 global models for Alaska and six other domains in the Northern Hemisphere. The downscaled temperatures and precipitation are made available as calendar-month decadal means under three different greenhouse forcing scenarios through 2100 for more than 4000 communities in Alaska and western Canada. The visualization package displays the uncertainties inherent in the multi-model ensemble projections. These uncertainties are often larger than the projected changes.

Alaska

Soil microbial community composition is correlated to soil carbon processing along a boreal wetland formation gradient

Climate change is modifying global biogeochemical cycles. Microbial communities play an integral role in soil biogeochemical cycles; knowledge about microbial composition helps provide a mechanistic understanding of these ecosystem-level phenomena. Next generation sequencing approaches were used to investigate changes in microbial functional groups during ecosystem development, in response to climate change, in northern boreal wetlands. A gradient of wetlands that developed following permafrost degradation was used to characterize changes in the soil microbial communities that mediate C cycling: a bog representing an “undisturbed” system with intact permafrost, and a younger bog and an older bog that formed following the disturbance of permafrost thaw. Reference 16S rRNA databases and several diversity indices were used to assess structural differences among these communities, to assess relationships between soil microbial community composition and various environmental variables including redox potential and pH. Rates of potential CO2 and CH4 gas production were quantified to correlate sequence data with gas flux. The abundance of organic C degraders was highest in the youngest bog, suggesting higher rates of microbial processes, including potential CH4 production. In addition, alpha diversity was also highest in the youngest bog, which seemed to be related to a more neutral pH and a lower redox potential. These results could potentially be driven by increased niche differentiation in anaerobic soils. These results suggest that ecosystem structure, which was largely driven by changes in edaphic and plant community characteristics between the “undisturbed” permafrost bog and the two bogs formed following permafrost thaw, strongly influenced microbial function.

European Journal of Soil Biology

Linking fire and the United Nations Sustainable Development Goals

Fire is a ubiquitous natural disturbance that affects 3–4% of the Earth's surface each year. It is a tool used by humans for land clearing and burning of agricultural wastes. The United Nations Sustainable Development Goals (SDGs) do not explicitly mention fire, though many of the Goals are affected by the beneficial and adverse consequences of fires on ecosystem services. There are at least three compelling reasons to include a fire perspective in the implementation of the United Nations Sustainable Development Goals. The first reason relates to the stated vision of the United Nations 2030 Agenda to protect the environment. In order to achieve environmental protection during sustainable development activities, it is necessary to understand and plan for the effects of disturbances, in this case fire, on ecosystem services. The second reason is that fires produce emissions with regional and global impacts on air quality and rainfall patterns. Fires contribute to global warming though the release greenhouse gases, primarily CO 2 , and black carbon, identified as a SLCP (short-lived climate pollutant). The third reason is that fire is one of several complex processes that lead to land degradation across the globe. Opportunities exist to incorporate a fire perspective into sustainable development projects or approaches. Two examples are highlighted here. Transdisciplinary communication and collaboration are needed to address the complex issues related to fire, and to climate and land use change.

Science of the Total Environment

Amitriptyline and nortriptyline induce ocular toxicity in early life stage zebrafish (Danio rerio)

The global use of antidepressants has steadily increased, raising concern to aquatic ecosystems due to the incomplete removal during wastewater treatment. Tricyclic antidepressants (TCAs) act on the neuronal system by inhibiting the reuptake of serotonin and norepinephrine. However, despite visual function being heavily dependent on the neuronal system, a knowledge gap remains regarding the ocular toxicity of TCAs. To bridge this knowledge gap, zebrafish ( Danio rerio ) embryos were exposed to sublethal test concentrations of amitriptyline (AMI, 0.3 to 300 μg/L nominal, 2.04 to 234 μg/L measured) and nortriptyline (NOR, 0.03 to 300 μg/L nominal, >0.107 to 20.7 μg/L measured), with the lowest test concentrations being environmentally relevant. Visual function was assessed with the optokinetic response assay, eye structure development was assessed histologically, and gene expression changes were analysed via transcriptomic profiling. Larval zebrafish (120 h post fertilization (hpf)) exposed to 4.99 and 234 μg/L of AMI exhibited a 26 % and 86 % decrease in the number of eye saccades respectively, with zebrafish exposed to 20.7 μg/L of NOR exhibiting a 65 % decrease. Histological analysis indicated a significant increase of the retinal pigment epithelium thickness after exposure to 234 μg/L of AMI and 20.7 μg/L of NOR. Transcriptomic analysis resulted in 1207 and 2742 differentially expressed genes across both AMI and NOR treatment groups respectively, including genes involved in vision, synaptic signaling, and neuronal development. These findings demonstrate that sublethal concentrations of AMI and NOR affect early life stage zebrafish visual development, which may be sensitive endpoint that could be incorporated into ecological risk assessments.

Comparative Biochemistry and Physiology Part C: To

Maintaining and restoring sustainable ecosystems in southern Nevada

Managers in southern Nevada are challenge with determining appropriate goals and objectives and developing viable approaches for maintaining and restoring sustainable ecosystems in a time of rapid socio-ecological and environmental change. Sustainable or "healthy" ecosystems supply clean air, water and habitat for a diverse array of plants and animals. As described in Chapter 1, sustainable ecosystems retain characteristic processes like hydrological flux and storage, geomorphic processes, biogeochemical cycling and storage, biological activity and productivity, and population regeneration and reproduction over the normal cycle of disturbance events (modified from Chapin and others 1996 and Christensen and others 1996). Ecological restoration of stressed or disturbed ecosystems in an integral part of managing for sustainable ecosystems. The Society of Ecological Restoration International (SERI) defines ecological restoration as the process of assisting the recovery of an ecosystem that has been degraded, damaged, or destroyed (SERI 2004). Many of the southern Nevada's ecosystems are being subjected to anthropogenic stressors that span global, regional, and local scales (Chapter 2)., and are crossing ecological thresholds to new alternative states (Chapter 4 and Chapter 5). These alternative states often represent novel communities with disturbance regimes that differ significantly from historic conditions. Past management and restoration goals often focused on returning ecosystems to pre-disturbance conditions (Harris and others 2006). This approach assumes stable or equilibrium conditions and ignores changes in ecosystems processes due to land uses, increases in CO 2 concentrations, and climate change. A more realistic approach is to base management and restoration goals on the current potential of an ecosystem to support a given set of ecological conditions, and on the likelihood of future change due to warming climate (Harris and others 2006). This approach requires understanding ecosystem resilience to anthropogenic disturbance and climate change, the alternative states that exist for ecosystems, and the factors that result in threshold crossing (Bestelmeyer and others 2009; Hobbs and Harris 2001; Stingham and others 2003; Whisemnant 1999). It also requires the ability to predict how climate is likely to influence ecosystems in the future (Harris and others 2006). This chapter addresses the restoration aspects of Sub-goal 1.3 in the SNAP Science Research Strategy which is to restore and sustain proper function of southern Nevada's watersheds and landscapes (able 1.3; Turner and others 2009). The effects of global, regional and local stresses on southern Nevada ecosystems are presented in Chapter 2. Here, we discuss appropriate objectives and develop guidelines for maintaining and restoring southern Nevada ecosystems. We then discuss the differences in ecological resilience to stress and disturbance and resistance to invasive species in southern Nevada ecosystems and describe restoration and management approaches for the different ecosystem types. We conclude with knowledge gaps and management implications.

Nevada

Coastal development

As a focal point of global urbanization, the coastal zone faces multiple pressures from human activities, land-sea interactions and natural disasters. Over the past five years, population, communities and infrastructure in coastal zones have consistently grown, alongside gradual economic recovery. Coastal pollution has become more complex owing to climate change and the coronavirus disease (COVID-19) pandemic, necessitating enhanced monitoring and control measures. Public participation has been diversified but still faces difficulties in awareness-raising, policy strengthening, equity and comprehensiveness. For the coastal zone, integrated management will continue to be needed in order to achieve a balance between economic performance and ecological environment. Climate change will be a key factor to consider in every aspect of coastal zone development. To build inclusive, safe and disaster-resilient communities while reducing negative environmental impacts and achieving a sustainable coastal economy, greater emphasis must be placed on green-grey infrastructure, ecosystem-based approaches, institutional integration and sociocultural aspects. In addition, urgent breakthroughs are needed in areas such as data collection, technology synthesis, integrated land-sea management, transboundary cooperation and policies and technical innovations related to natural and nature-based features and nature-based solutions.

Report

Functional ecology of free-living nitrogen fixation: A contemporary perspective

Nitrogen (N) availability is thought to frequently limit terrestrial ecosystem processes, and explicit consideration of N biogeochemistry, including biological N 2 fixation, is central to understanding ecosystem responses to environmental change. Yet, the importance of free-living N 2 fixation—a process that occurs on a wide variety of substrates, is nearly ubiquitous in terrestrial ecosystems, and may often represent the dominant pathway for acquiring newly available N—is often underappreciated. Here, we draw from studies that investigate free-living N 2 fixation from functional, physiological, genetic, and ecological perspectives. We show that recent research and analytical advances have generated a wealth of new information that provides novel insight into the ecology of N 2 fixation as well as raises new questions and priorities for future work. These priorities include a need to better integrate free-living N 2 fixation into conceptual and analytical evaluations of the N cycle's role in a variety of global change scenarios.

Annual Review of Ecology, Evolution, and Systemati

Pyrogenic carbon distribution in mineral topsoils of the northeastern United States

Due to its slow turnover rates in soil, pyrogenic carbon (PyC) is considered an important C pool and relevant to climate change processes. Therefore, the amounts of soil PyC were compared to environmental covariates over an area of 327,757 km 2 in the northeastern United States in order to understand the controls on PyC distribution over large areas. Topsoil (defined as the soil A horizon, after removal of any organic horizons) samples were collected at 165 field sites in a generalised random tessellation stratified design that corresponded to approximately 1 site per 1600 km 2 and PyC was estimated from diffuse reflectance mid-infrared spectroscopy measurements using a partial least-squares regression analysis in conjunction with a large database of PyC measurements based on a solid-state 13 C nuclear magnetic resonance spectroscopy technique. Three spatial models were applied to the data in order to relate critical environmental covariates to the changes in spatial density of PyC over the landscape. Regional mean density estimates of PyC were 11.0 g kg − 1 (0.84 Gg km − 2 ) for Ordinary Kriging, 25.8 g kg − 1 (12.2 Gg km − 2 ) for Multivariate Linear Regression, and 26.1 g kg − 1 (12.4 Gg km − 2 ) for Bayesian Regression Kriging. Akaike Information Criterion (AIC) indicated that the Multivariate Linear Regression model performed best (AIC = 842.6; n = 165) compared to Ordinary Kriging (AIC = 982.4) and Bayesian Regression Kriging (AIC = 979.2). Soil PyC concentrations correlated well with total soil sulphur (P < 0.001; n = 165), plant tissue lignin (P = 0.003), and drainage class (P = 0.008). This suggests the opportunity of including related environmental parameters in the spatial assessment of PyC in soils. Better estimates of the contribution of PyC to the global carbon cycle will thus also require more accurate assessments of these covariates.

Geoderma

An overview of bioaerosol load and health impacts associated with dust storms: A focus on the Middle East

Dust storms are an important environmental problem worldwide. The main sources of dust storms include the Sahara, the Middle East, and central and northeastern Asia. Dust storms originating from these regions can be dispersed across oceans and in some cases globally. They occur throughout the year and vary in frequency and intensity. The biological agents (e.g., fungi, bacteria and viruses) and the mineral and chemical compositions of dust may have adverse effects on human health and quality of life. Desert dusts may cause respiratory diseases, cardiovascular diseases, cardiopulmonary diseases, mental health issues, injuries and death from transport accidents caused by poor visibility. This paper presents dust storm human health research conducted in the Middle East in both indoor and outdoor environments. Results illustrate that particle concentration and bioaerosol types in the atmosphere are affected by climate change and meteorological factors. Recent data trends indicate that annual dust aerosol concentrations have increased worldwide. According to studies conducted in the Middle East, the incidence of respiratory and cardiovascular mortality and hospital visits have increased dramatically following dust storm exposures but very few have demonstrated a regional causation. National and international collaborative efforts are needed to advance our understanding of the global implications of dust storms and what may be the most effective means of mitigation.

Middle East

Ocean acidification in the Gulf of Mexico: Drivers, impacts, and unknowns

Ocean acidification (OA) has resulted in global-scale changes in ocean chemistry, which can disturb marine organisms and ecosystems. Despite its extensively populated coastline, many marine-dependent communities, and valuable economies, the Gulf of Mexico (GOM) remains a relatively understudied region with respect to acidification. In general, the warm waters of the GOM are better buffered from acidification compared to higher latitude seas, yet long-term acidification has been documented in several GOM regions. OA within the GOM is recognized as spatially variable, particularly within the coastal zone where numerous physical and biogeochemical processes contribute to carbonate chemistry dynamics. The historical progression of OA within the entire GOM is difficult to assess because only a few dedicated long-term monitoring sites have recently been established, and full-water column observations are limited. However, environmental drivers on smaller scales that affect GOM acidification were found to include freshwater, nutrient, and carbonate discharge from large rivers; ocean warming, circulation and residence times; and episodic extreme weather events. GOM marine ecosystems provide essential services, including coastline protection and carbon dioxide removal, and habitats for many marine species that are economically and ecologically important. However, organismal and ecosystem responses to OA are not well constrained for the GOM due to a lack of studies examining the specific effects of OA on regionally relevant species under contemporary and projected conditions. Tackling the vast number of remaining scientific unknowns in this region can be best coordinated through regional capacity networks, such as the Gulf of Mexico Coastal Acidification Network (GCAN), working to achieve a system-wide understanding of Gulf OA and its impacts. Here we synthesize the current peer-reviewed literature on GOM acidification across the ocean-estuarine continuum and identify critical knowledge, research, and monitoring gaps that require future attention.

Progress in Oceanography

Linking habitat quality with trophic performance of steelhead along forest gradients in the South Fork Trinity River Watershed, California

We examined invertebrate prey, fish diet, and energy assimilation in relation to habitat variation for steelhead Oncorhynchus mykiss (anadromous rainbow trout) and rainbow trout in nine low-order tributaries of the South Fork Trinity River, northern California. These streams spanned a range of environmental conditions, which allowed us to use bioenergetics modeling to determine the relative effects of forest cover, stream temperature, season, and fish age on food consumption and growth efficiency. Evidence of seasonal shifts in reliance on aquatic versus terrestrial food sources was detected among forest cover categories and fish ages, although these categories were not robust indicators of O. mykiss condition and growth efficiency. Consumption estimates were generally less than 20% of maximum consumption, and fish lost weight in some streams during summer low-flow conditions when stream temperatures exceeded 15&deg;C. Current 100-year climate change projections for California threaten to exacerbate negative growth patterns and may undermine the productivity of this steelhead population, which is currently not listed as endangered or threatened. To demonstrate the potential effect of global warming on fish growth, we ran three climate change scenarios in two representative streams. Simulated temperature increases ranging from 1.4&deg;C to 5.5&deg;C during the summer and from 1.5&deg;C to 2.9C during the winter amplified the weight loss; estimated average growth for age-1 fish was 0.4&ndash;4.5 times lower than normal (low to high estimated temperature increase) in the warm stream and 0.05&ndash;0.8 times lower in the cool stream. We conclude that feeding rate and temperature during the summer currently limit the growth and productivity of steelhead and rainbow trout in low-order streams in the South Fork Trinity River basin and predict that climate change will have detrimental effects on steelhead growth as well as on macroinvertebrate communities and stream ecosystems in general.

Transactions of the American Fisheries Society

The where and why of large wood occurrence in the Upper Mississippi and Illinois Rivers

Large wood (LW) plays important geomorphic and ecological roles in rivers and is widely used as a restoration tool. Changes to floodplain land use and historical removal have altered wood dynamics in fluvial systems globally. We know little about the distribution and dynamics of LW in great rivers (approximately >10 5 km 2 ) like the Upper Mississippi and Illinois Rivers despite its ecosystem importance and use in restoration projects. We assessed LW occurrence data collected by the fisheries component of the Upper Mississippi River Restoration Program's Long Term Resource Monitoring element. We analysed 25 years of data collected across six reaches of the Upper Mississippi and Illinois Rivers that represented contrasting physiographic settings, and across four aquatic area types comprising gradients of hydrology, connectivity and geomorphology. We tested hypotheses on drivers of LW occurrence using generalised linear mixed effects models, where occurrence was predicted by reach- and local-scale environmental variables. Occurrence varied significantly across reaches and aquatic area types. In general, wood occurred more frequently upriver and in side channels compared to other aquatic areas. Large wood was most strongly predicted systemically by reach identity but not local-scale variables, underscoring the importance of broad-scale physiographic gradients in defining hydrogeomorphic processes. Floodplain forests and shoreline revetment were consistently important predictors across reaches. Our findings show that the spatial variability of LW occurrence reflects the physical variability of the Upper Mississippi and Illinois Rivers. They also reveal the value in using geomorphic classifications as frameworks for understanding physical processes like LW dynamics because of their ability to contextualise site-scale conditions. The baseline understanding of LW abundance across different hydrogeomorphic gradients and scales presented here can give insight into how to more effectively target restoration efforts in great rivers and contribute to a broader understanding of LW dynamics where such studies have been lacking.

Illinois, Iowa, Minnesota, Missouri, Wisconsin

National assessment of shoreline change: Historical shoreline change in the Hawaiian Islands

Sandy beaches of the United States are some of the most popular tourist and recreational destinations. Coastal property constitutes some of the most valuable real estate in the country. Beaches are an ephemeral environment between water and land with unique and fragile natural ecosystems that have evolved in equilibrium with the ever-changing winds, waves, and water levels. Beachfront lands are the site of intense residential and commercial development even though they are highly vulnerable to several natural hazards, including marine inundation, flooding and drainage problems, effects of storms, sea-level rise, and coastal erosion. Because the U.S. population continues to shift toward the coast where valuable coastal property is vulnerable to erosion, the U.S. Geological Survey (USGS) is conducting a national assessment of coastal change. One aspect of this effort, the National Assessment of Shoreline Change, uses shoreline position as a proxy for coastal change because shoreline position is one of the most commonly monitored indicators of environmental change (for example, Fletcher, 1992; Dolan and others, 1991; Douglas and others, 1998; Galgano and others, 1998). Additionally, the National Research Council (1990) recommended the use of historical shoreline analysis in the absence of a widely accepted model of shoreline change. A principal purpose of the USGS shoreline change research is to develop a common methodology so that shoreline change analyses for the continental U.S., portions of Hawaii, and Alaska can be updated periodically in a consistent and systematic manner. The primary objectives of this study were to (1) develop and implement improved methods of assessing and monitoring shoreline movement, and (2) improve current understanding of the processes controlling shoreline movement. Achieving these ongoing long-term objectives requires research that (1) examines the original sources of shoreline data (for example, maps, air photos, global positioning system (GPS), Light Detection and Ranging (lidar)); (2) evaluates the utility of different shoreline proxies (for example, geomorphic feature, water mark, tidal datum, elevation), including the errors associated with each; (3) investigates bias and potential errors associated with integrating different shoreline proxies from different sources; (4) develops standard, uniform methods of shoreline change analysis; (5) examines the effects of human activities on shoreline movement and rates of change; and (6) investigates alternative mathematical methods for calculating historical rates of change and uncertainties associated with them. This report summarizes historical shoreline changes on the three most densely populated islands of the eight main Hawaiian Islands: Kauai, Oahu, and Maui. The report emphasizes the hazard from &ldquo;chronic&rdquo; (decades to centuries) erosion at regional scales and strives to relate this hazard to the body of knowledge regarding coastal geology of Hawaii because of its potential impact on natural resources, the economy, and society. Results are organized by coastal regions (island side) and sub-regions (common littoral characteristics). This report of Hawaii coasts is part of a series of reports that include text summarizing methods, results, and implications of the results. In addition, geographic information system (GIS) data used in the analyses are made available for download (Romine and others, 2012). The rates of shoreline change and products presented in this report are not intended for site-specific analysis of shoreline movement, nor are they intended to replace any official source of shoreline change information identified by local or State government agencies, or other Federal entities that are used for regulatory purposes. Rates of shoreline change presented herein may differ from other published rates, and differences do not necessarily indicate that the other rates are inaccurate. Some discrepancies are to be expected, considering the many possible ways of determining shoreline positions and rates of change, and the inherent uncertainty in calculating these rates. Rates of shoreline change presented in this report represent shoreline movement under past conditions and are not intended for use in predicting future shoreline positions or future rates of shoreline change.

Hawai'i

Early Pliocene (Zanclean) stratigraphic framework for PRISM5/PlioMIP3 time slices

Global reconstructions of Pliocene climate provide important insights into how the climate system operates under elevated temperatures and atmospheric CO2 levels. These reconstructions have been used extensively in paleoclimate modeling experiments for comparison to simulated conditions, and as boundary conditions.Most previous work focused on the Late Pliocene interval known as the mid Piacenzian Warm Period (mPWP), the interval originally identified by the U.S. Geological Survey Pliocene Research, Interpretation and Synoptic Mapping Project (PRISM) as the PRISM interval or Mid Pliocene Warm Period. The term Mid Pliocene Warm Period is a misnomer due to changes to the geological time scale, and its use should be discontinued. The Pliocene Model Intercomparison Project (PlioMIP), now in its third phase, is expanding to include a focus on the Early Pliocene (Zanclean). PlioMIP3 experiments will allow comparison of environmental and climatic conditions before and after closure of the Central American Seaway (CAS). PlioMIP3 used the annual insolation pattern at the top of the atmosphere to determine time slices in the Zanclean that have orbital configurations that are most similar to modern. Two have been selected by PlioMIP and adopted by PRISM for inclusion in future studies: PRISM5.1 (4.474 Ma) and PRISM5.2 (4.870 Ma). Here we establish the stratigraphic framework for these Early Pliocene time slices and furnish information to help locate these intervals in proxy records of paleoenvironmental data using oxygen isotope stratigraphy, paleomagnetic stratigraphy, biostratigraphy, and biochronology (calibrated planktic foraminifer and calcareous nannofossil events).

Stratigraphy

Status of the Landsat thematic mapper and multispectral scanner archive conversion system

The U.S. Geological Survey's EROS Data Center (EDC) manages the National Satellite Land Remote Sensing Data Archive. This archive includes Landsat thematic mapper (TM) multispectral scanner (MSS) data acquired since 1972. The Landsat archive is an important resource to global change research. To ensure long-term availability of Landsat data from the archive, the EDC specified requirements for a Thematic Mapper and Multispectral Scanner Archive Conversion System (TMACS) that would preserve the data by transcribing it to a more durable medium. In addition to media conversion, hardware and software was installed at EDC in July 1992. In December 1992, the EDC began converting Landsat MSS data from high-density, open reel instrumentation tapes to digital cassette tapes. Almost 320,000 MSS images acquired since 1979 and more than 200,000 TM images acquired since 1982 will be converted to the new medium during the next 3 years. During the media conversion process, several high-density tapes have exhibited severe binder degradation. Even though these tapes have been stored in environmentally controlled conditions, hydrolysis has occurred, resulting in "sticky oxide shed". Using a thermostatically controlled oven built at EDC, tape "baking" has been 100 percent successful and actually improves the quality of some images.

Pecora 12 Symposium

Tidal marshes as disequilibrium landscapes? Lags between morphology and Holocene sea level change

Historical acceleration in the rate of global sea level rise and recent observations of marsh degradation highlight the importance of understanding how marshes respond to sea level change. Here, we use an existing numerical model to demonstrate that marsh morphology, and its effect on biological productivity and vertical accretion, could lag century-scale sea level rise rate oscillations by several decades. This suggests that marshes, and perhaps other intertidal environments, have not been in equilibrium with Holocene sea level. Additional results suggest that marshes have not yet fully responded to historical sea level acceleration. Consequently, marshes today may be out of equilibrium with modern rates of sea level rise, and further adjustment in the form of platform deepening and channel erosion could be expected. Under an accelerating sea level rise rate, the morphology and productivity of marshland will reflect environmental conditions of the past, and studies of marshes today will underestimate their response to sea level rise.

Geophysical Research Letters

Occurrence of cyanobacteria and associated cyanotoxins in the Raritan Basin Water Supply Complex, New Jersey, August 2020 to August 2021

Harmful algal blooms, particularly cyanobacteria harmful algal blooms (cyanoHABs), have emerged as a substantial global concern because of their detrimental effects on water quality and aquatic ecosystem health. CyanoHABs can produce cyanotoxins, which pose serious health risks to humans and wildlife, such as liver failure and respiratory distress. This is particularly concerning for water bodies that serve as drinking-water sources. Recent trends indicate an increase in the frequency and intensity of cyanoHABs globally. This study focuses on the Raritan Basin Water Supply Complex in New Jersey, where extensive monitoring was conducted from August 2020 to August 2021 to assess the presence of cyanobacteria and associated cyanotoxins. The research utilized a combination of discrete water-quality sampling, continuous monitoring, and solid phase adsorption toxin tracking (SPATT) to capture the dynamics of cyanotoxin occurrence and potential transport. Findings revealed a widespread presence of cyanobacteria and potential for cyanotoxin production, although actual cyanotoxin concentrations remained below drinking water and recreational thresholds. The study, conducted by the U.S. Geological Survey (USGS) in collaboration with the New Jersey Water Supply Authority (NJWSA) and the New Jersey Department of Environmental Protection (NJDEP), highlighted the limitations of traditional sampling methods and emphasized that continuous monitoring can support better understanding of how cyanoHAB conditions change over time and in different places. Genetic testing included quantitative polymerase chain reaction (qPCR) analyses, which demonstrated higher sensitivity, or increased findings of cyanobacteria compared to microscopy, indicating the potential for use in early warning systems. This research underscores that integrating various detection methods and hydrological data can enhance understanding of cyanotoxin dynamics in river systems.

New Jersey