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At least 541 records · Page 30Linked to original sources

A terrain-based site characterization map of California with implications for the contiguous United States

We present an approach based on geomorphometry to predict material properties and characterize site conditions using the V S 30 parameter (time‐averaged shear‐wave velocity to a depth of 30 m). Our framework consists of an automated terrain classification scheme based on taxonomic criteria (slope gradient, local convexity, and surface texture) that systematically identifies 16 terrain types from 1‐km spatial resolution (30 arcsec) Shuttle Radar Topography Mission digital elevation models (SRTMDEMs). Using 853 V S 30 values from California, we apply a simulation‐based statistical method to determine the mean V S 30 for each terrain type in California. We then compare the V S 30 values with models based on individual proxies, such as mapped surface geology and topographic slope, and show that our systematic terrain‐based approach consistently performs better than semiempirical estimates based on individual proxies. To further evaluate our model, we apply our California‐based estimates to terrains of the contiguous United States. Comparisons of our estimates with 325 V S 30 measurements outside of California, as well as estimates based on the topographic slope model, indicate our method to be statistically robust and more accurate. Our approach thus provides an objective and robust method for extending estimates of V S 30 for regions where in situ measurements are sparse or not readily available.

California

Pseudo-prospective evaluation of UCERF3-ETAS forecasts during the 2019 Ridgecrest sequence

The 2019 Ridgecrest sequence provides the first opportunity to evaluate Uniform California Earthquake Rupture Forecast v.3 with epidemic‐type aftershock sequences (UCERF3‐ETAS) in a pseudoprospective sense. For comparison, we include a version of the model without explicit faults more closely mimicking traditional ETAS models (UCERF3‐NoFaults). We evaluate the forecasts with new metrics developed within the Collaboratory for the Study of Earthquake Predictability (CSEP). The metrics consider synthetic catalogs simulated by the models rather than synoptic probability maps, thereby relaxing the Poisson assumption of previous CSEP tests. Our approach compares statistics from the synthetic catalogs directly against observations, providing a flexible approach that can account for dependencies and uncertainties encoded in the models. We find that, to the first order, both UCERF3‐ETAS and UCERF3‐NoFaults approximately capture the spatiotemporal evolution of the Ridgecrest sequence, adding to the growing body of evidence that ETAS models can be informative forecasting tools. However, we also find that both models mildly overpredict the seismicity rate, on average, aggregated over the evaluation period. More severe testing indicates the overpredictions occur too often for observations to be statistically indistinguishable from the model. Magnitude tests indicate that the models do not include enough variability in forecasted magnitude‐number distributions to match the data. Spatial tests highlight discrepancies between the forecasts and observations, but the greatest differences between the two models appear when aftershocks occur on modeled UCERF3‐ETAS faults. Therefore, any predictability associated with embedding earthquake triggering on the (modeled) fault network may only crystalize during the presumably rare sequences with aftershocks on these faults. Accounting for uncertainty in the model parameters could improve test results during future experiments.

California

Precipitation and streamflow data from the Fort Carson Military Reservation and precipitation, streamflow, and suspended-sediment data from the Piñon Canyon Maneuver Site, Southeastern Colorado, 2008-2012

In 2013, the U.S. Geological Survey (USGS), in cooperation with the U. S. Department of the Army, compiled available precipitation and streamflow data for the years of 2008–2012 from the Fort Carson Military Reservation (Fort Carson) near Colorado Springs, Colo., and precipitation, streamflow, and suspended-sediment loads from the Piñon Canyon Maneuver Site (PCMS) near Trinidad, Colo. Graphical representations of the data presented herein are a continuation of work completed by the USGS in 2008 to gain a better understanding of spatial and temporal trends within the hydrologic data. Precipitation stations at Fort Carson and the PCMS were divided into groups based on their land-surface altitude (LSA) to determine if there is a spatial difference in precipitation amounts based on LSA for either military facility. Two-sample t-tests and Wilcoxon rank-sum tests indicated statistically significant differences exist between precipitation values at different groups for Fort Carson but not for the PCMS. All five precipitation stations at Fort Carson exhibit a decrease in median daily total precipitation from years 2002–2007 to 2008–2012. For the PCMS, median precipitation values decreased from the first study period to the second for the 13 stations monitored year-round except for Burson and Big Hills. Mean streamflow for 2008–2012 is less than mean streamflow for 1983–2007 for all stream-gaging stations at Fort Carson and at the PCMS. During the study period, each of the stream-gaging stations within the tributary channels at the PCMS accounted for less than three percent of the total streamflow at the Purgatoire River at Rock Crossing gage. Peak streamflow for 2008–2012 is less than peak streamflow for 2002–2007 at both Fort Carson and the PCMS. At the PCMS, mean suspended-sediment yield for 2008–2012 increased by 54 percent in comparison to the mean yield for 2002–2007. This increase is likely related to the destruction of groundcover by a series of wildfires within the PCMS in 2008 and 2011.

Colorado

Biogeochemical and physical processes controlling mercury methylation and bioaccumulation in Lake Powell, Glen Canyon National Recreation Area, Utah and Arizona, 2014 and 2015

Mercury monitoring results from about 300 Morone saxatilis (striped bass) muscle tissue samples collected by the State of Utah from Lake Powell resulted in a Utah/Arizona fish consumption advisory issued in 2012 for approximately the lower 100 kilometers of the reservoir. Chemical, physical, and biological data were collected during two synoptic sampling cruises on Lake Powell during May/June 2014 and August 2015 to test three hypotheses associated with a conceptual model developed to explain the observed geographic concentration gradient of Hg in fish tissue samples. This model proposes that in the transition from a primarily riverine system to a reservoir, there is a change in the concentration and composition of water-column particulate material, increasing in the proportion of organic content moving downstream, as the larger size fractions of the inorganic particulate load are deposited in the upper reservoir. This change alleviates light limitation of phytoplankton production and leads to a higher proportion of autochthonous primary production in the downstream direction. This, in turn, drives increased microbial methylmercury (MeHg) production in the benthos and potentially the water column, in the downstream direction, and results in the observed elevated fish Hg levels in the lower part of the reservoir. The model also proposes that there are differences between the main stem of Lake Powell and side canyons, embayments, or secondary rivers entering the reservoir, in terms of Hg cycling dynamics and bioaccumulations, driven mainly by differences in hydrology. Finally, seasonal differences in Hg dynamics within the reservoir are proposed, based on seasonal dynamics associated with primary production and the physical process of seasonal stratification. A total of three statistically testable hypotheses were proposed and postulated that measurable differences in key Hg and non-Hg metrics exist between: (1) the upper and lower reservoir; (2) main stem and river arm/side canyon/embayment sites; and (3) early-season (May/June 2014, less stratified) and late-season (August 2015, stratified) conditions. Statistically modeled least square means in combination with the graphical analysis of Hg and non-Hg parameters were used to examine the data collected during the study and test these hypotheses. Data collected during the study are included in a U.S. Geological Survey data release and are available online at https://doi.org/10.5066/F74X560J . In general, water-column, plankton, and surface sediment samples collected during the synoptic sampling cruises are supportive of the three hypotheses associated with the conceptual model. In support of hypothesis 1 (comparing upper and lower reservoir sites), the least square mean for turbidity was higher in the upper reservoir. In contrast, surface water particulate organic carbon (as a percentage of total particulate mass), particulate MeHg (by mass [in nanograms per gram] and as a percentage of total mercury [THg]), and particulate-dissolved partitioning coefficients for THg and MeHg were higher in the lower reservoir. Plankton THg concentrations also were significantly (probability [ p ] less than (<) 0.05) higher in the lower reservoir. Surface sediment metrics in support of hypothesis 1 include higher MeHg production potential rates in the lower reservoir. In contrast, there were no statistically significant differences between the upper and lower reservoir for surface sediment percent of MeHg and MeHg concentration, percent MeHg, or methylation rate constants. These spatial trends associated with hypothesis 1 indicate a pathway for enhanced Hg bioavailability in the lower reservoir. Hypothesis 2, which tested for differences between main stem and river arm/side canyon/embayment sites, was supported by a number of water-column parameters, including particulate THg and MeHg concentrations by mass (in nanograms per gram) and percent particulate MeHg being significantly ( p <0.05) higher in the river arms, side canyons, and embayments relative to the main stem channel. Plankton MeHg concentrations (by mass [in nanograms per gram] and volume [in nanograms per liter] and as a percentage of THg) were elevated in river arm/side canyon/embayment sites compared to main stem sites, indicating an enhanced potential for MeHg bioaccumulation at the base of the pelagic food web in river arms, side canyons, and embayments. In contrast, few of the sediment metrics differed between main stem and river arm/side canyon/embayment sampling sites; however, the potential for MeHg degradation in surface sediment was significantly higher in the main stem. The data indicate that river arm/side canyon/embayment sites may experience enhanced Hg bioaccumulation, compared to the main stem, because of higher MeHg levels at the base of the pelagic food web. This conclusion is supported by the elevated Hg detected in striped bass muscle tissue samples collected in the San Juan Arm during this study (2014). Fish collected from the lower reservoir exhibited a distinct Hg isotopic signature that was enriched in delta (δ) 202 Hg and capital delta (Δ) 199 Hg relative to fish samples collected from either Good Hope Bay or the San Juan Arm. Hypothesis 3 tested for differences between early (May/June) high-flow and late (August) low-flow seasons. This test was supported by a range of non-Hg metrics (nitrate, phosphate, chlorophyll a , dissolved oxygen, fluorescent dissolved organic matter, temperature, and pH) that reflect the increase in chlorophyll a , decrease in nutrients, and buildup of stratified conditions in the transition from early- to late-season sampling periods. Significant seasonal differences also were noted for multiple Hg metrics, including (a) water-column filtered and particulate (by mass) MeHg and THg concentrations; (b) plankton MeHg and THg concentration (by mass); and (c) sediment percent MeHg, Hg(II)-methylation rate constant, and microbial ribosomal ribonucleic acid, small subunit 16 (16S rRNA) abundance, all of which were higher during the late-season synoptic sampling. Overall, the surface sediment metrics are consistent with a seasonal shift from the early-season synoptic results, when the availability of Hg(II) exerts a primary control on MeHg production, to the late-season synoptic sampling, when microbial activity is a dominant driver of MeHg production.

Arizona, Utah

Basin, climatic, and irrigation factors associated with median summer water yields for streams in Southwestern Michigan, 1945-2015

Median summer water yields and resultant flows for streams are used in Michigan to regulate large water withdrawals to help prevent negative effects on characteristic fish populations. Large water withdrawals commonly are associated with irrigation in rural areas. In an earlier statewide report, an index-flow statistic for the period of record, defined as the median flow during the summer month of lowest flow, was used to characterize median summer flows and associated water yields. In this report, the annual series of median summer water yields for the period July 1 through September 30 within the period of record is used to characterize median summer water yields. For 27 streamgages included in both reports, the average index water yield was at the 37th percentile of the distribution of median summer water yields. In contrast to an index statistic, an annual time series provides a basis for detecting trends in median summer water yields and for determining basin, climatic, and irrigation factors affecting spatial and temporal variations in summer water yields. Daily flow data from 40 selected U.S. Geological Survey streamgages in southwestern Michigan were used in this analysis. Two mixed models were identified to estimate median summer water yields based on fixed basin characteristics and temporally varying climatic factors for 1945–2015. No irrigation data were available prior to 1970, so no irrigation variables were included in the mixed models for 1945–2015. Then, two mixed models were developed for 1970–2015, a period in which a partial annual series of county-level irrigation data also were available. One of the 1970–2015 mixed models provides a basis for estimating median summer water yields at sites in southwestern Michigan using an estimated trend component, and selected basin, climatic, and irrigation factors. Re-estimation of model parameters in this mixed model with more spatially precise information on irrigation withdrawals may improve model accuracy.

Michigan

Mapping crop residue by combining Landsat and WorldView-3 satellite imagery

A unique, multi-tiered approach was applied to map crop-residue cover on the Eastern Shore of the Chesapeake Bay, USA. Field measurements of crop-residue cover were used to calibrate residue mapping using shortwave infrared (SWIR) indices derived from WorldView-3 imagery for an 8-km x 8-km footprint. The resulting map was then used to calibrate and subsequently classify residue mapping of Landsat imagery at a larger spatial resolution and extent. This manuscript describes how the method was applied and presents results in the form of crop-residue cover maps, validation statistics, and quantification of conservation tillage implementation in the agricultural landscape. Overall accuracy for maps derived from Landsat 7 (ETM+) and Landsat 8 (OLI) were comparable at roughly 92% (+/- 10%). Tillage class specific accuracy was also strong and ranged from 75% to 99%. The approach, which employed a 12-band image stack of six tillage spectral indices and six individual Landsat bands, was shown to be adaptable to variable soil-moisture conditions: under dry conditions (Landsat 7, May 14, 2015) the majority of predictive power was attributed to SWIR indices, and under wet conditions (Landsat 8, May 22, 2015) single band reflectance values were more effective at explaining variability in residue cover. Summary statistics of resulting tillage class occurrence matched closely with conservation tillage implementation totals reported by Maryland and Delaware to the Chesapeake Bay Program. This hybrid method combining WorldView-3 and Landsat imagery sources shows promise for monitoring progress in the adoption of conservation tillage practices and for describing crop-residue outcomes associated with a variety of agricultural management practices.

Maryland

Towards simplification of hydrologic modeling: Identification of dominant processes

The Precipitation–Runoff Modeling System (PRMS), a distributed-parameter hydrologic model, has been applied to the conterminous US (CONUS). Parameter sensitivity analysis was used to identify: (1) the sensitive input parameters and (2) particular model output variables that could be associated with the dominant hydrologic process(es). Sensitivity values of 35 PRMS calibration parameters were computed using the Fourier amplitude sensitivity test procedure on 110 000 independent hydrologically based spatial modeling units covering the CONUS and then summarized to process (snowmelt, surface runoff, infiltration, soil moisture, evapotranspiration, interflow, baseflow, and runoff) and model performance statistic (mean, coefficient of variation, and autoregressive lag 1). Identified parameters and processes provide insight into model performance at the location of each unit and allow the modeler to identify the most dominant process on the basis of which processes are associated with the most sensitive parameters. The results of this study indicate that: (1) the choice of performance statistic and output variables has a strong influence on parameter sensitivity, (2) the apparent model complexity to the modeler can be reduced by focusing on those processes that are associated with sensitive parameters and disregarding those that are not, (3) different processes require different numbers of parameters for simulation, and (4) some sensitive parameters influence only one hydrologic process, while others may influence many

Hydrology and Earth System Sciences

Groundwater-quality data for the Sierra Nevada study unit, 2008: Results from the California GAMA program

Groundwater quality in the approximately 25,500-square-mile Sierra Nevada study unit was investigated in June through October 2008, as part of the Priority Basin Project of the Groundwater Ambient Monitoring and Assessment (GAMA) Program. The GAMA Priority Basin Project is being conducted by the U.S. Geological Survey (USGS) in cooperation with the California State Water Resources Control Board (SWRCB). The Sierra Nevada study was designed to provide statistically robust assessments of untreated groundwater quality within the primary aquifer systems in the study unit, and to facilitate statistically consistent comparisons of groundwater quality throughout California. The primary aquifer systems (hereinafter, primary aquifers) are defined by the depth of the screened or open intervals of the wells listed in the California Department of Public Health (CDPH) database of wells used for public and community drinking-water supplies. The quality of groundwater in shallower or deeper water-bearing zones may differ from that in the primary aquifers; shallow groundwater may be more vulnerable to contamination from the surface. In the Sierra Nevada study unit, groundwater samples were collected from 84 wells (and springs) in Lassen, Plumas, Butte, Sierra, Yuba, Nevada, Placer, El Dorado, Amador, Alpine, Calaveras, Tuolumne, Madera, Mariposa, Fresno, Inyo, Tulare, and Kern Counties. The wells were selected on two overlapping networks by using a spatially-distributed, randomized, grid-based approach. The primary grid-well network consisted of 30 wells, one well per grid cell in the study unit, and was designed to provide statistical representation of groundwater quality throughout the entire study unit. The lithologic grid-well network is a secondary grid that consisted of the wells in the primary grid-well network plus 53 additional wells and was designed to provide statistical representation of groundwater quality in each of the four major lithologic units in the Sierra Nevada study unit: granitic, metamorphic, sedimentary, and volcanic rocks. One natural spring that is not used for drinking water was sampled for comparison with a nearby primary grid well in the same cell. Groundwater samples were analyzed for organic constituents (volatile organic compounds [VOC], pesticides and pesticide degradates, and pharmaceutical compounds), constituents of special interest (N-nitrosodimethylamine [NDMA] and perchlorate), naturally occurring inorganic constituents (nutrients, major ions, total dissolved solids, and trace elements), and radioactive constituents (radium isotopes, radon-222, gross alpha and gross beta particle activities, and uranium isotopes). Naturally occurring isotopes and geochemical tracers (stable isotopes of hydrogen and oxygen in water, stable isotopes of carbon, carbon-14, strontium isotopes, and tritium), and dissolved noble gases also were measured to help identify the sources and ages of the sampled groundwater. Three types of quality-control samples (blanks, replicates, and samples for matrix spikes) each were collected at approximately 10 percent of the wells sampled for each analysis, and the results for these samples were used to evaluate the quality of the data for the groundwater samples. Field blanks rarely contained detectable concentrations of any constituent, suggesting that contamination from sample collection, handling, and analytical procedures was not a significant source of bias in the data for the groundwater samples. Differences between replicate samples were within acceptable ranges, with few exceptions. Matrix-spike recoveries were within acceptable ranges for most compounds. This study did not attempt to evaluate the quality of water delivered to consumers; after withdrawal from the ground, groundwater typically is treated, disinfected, or blended with other waters to maintain water quality. Regulatory benchmarks apply to finished drinking water that is served to the consumer, not to untreated groundwater. However, to provide some context for the results, concentrations of constituents measured in the groundwater were compared with regulatory and nonregulatory health-based benchmarks established by the U.S. Environmental Protection Agency (USEPA) and CDPH and with nonregulatory aesthetic and technical benchmarks established by CDPH. Comparisons between data collected for this study and drinking-water benchmarks are for illustrative purposes only and do not indicate compliance or noncompliance with regulatory benchmarks. All organic constituents and most inorganic constituents that were detected in groundwater samples from the 30 primary grid wells in the Sierra Nevada study unit were detected at concentrations less than drinking-water benchmarks. Of the 150 organic and special-interest constituents analyzed, 21 were detected in groundwater samples; all concentrations were less than regulatory and nonregulatory health-based benchmarks, and most were less than 1/10th of benchmark levels. One or more organic constituents were detected in 37 percent of the primary grid wells, and perchlorate was detected in 27 percent of the primary grid wells. Most samples analyzed for inorganic and radioactive constituents had concentrations or activities less than regulatory and nonregulatory health-based benchmarks. Nutrients were not detected at concentrations greater than health-based benchmarks. Six of the 30 primary grid wells (20 percent) and 7 of the 53 lithologic grid wells had concentrations of or activities for one or two constituents that were greater than the benchmarks. Constituents present in one or more samples at concentrations or activities greater than health-based benchmarks were arsenic (5 wells, MCL-US), gross alpha particle activity (4 wells, MCL-US), boron (2 wells, NL-CA), fluoride (1 well, MCL-CA), and selenium (1 well, MCL-US). Two of the wells that had high gross alpha particle activities had uranium concentrations (MCL-CA) and uranium activities (MCL-CA) greater than the benchmark levels. Four of the 29 samples analyzed had activities of radon-222 greater than the proposed alternative MCL-US. Most samples analyzed for inorganic constituents that had nonregulatory, aesthetic-based benchmarks (SMCLs) had concentrations less than these benchmarks. Total dissolved solids concentrations were less than the upper SMCL-CA in all 83 primary and lithologic grid well samples, and TDS concentrations were less than the recommended SMCL-CA in 79 of these samples. Manganese concentrations were greater than the SMCL-CA in 2 of the 30 primary grid wells (7 percent) and in 6 of the 53 lithologic grid wells, and iron concentrations were greater than the SMCL-CA in the same 2 primary grid wells and in 5 of the same lithologic grid wells.

California

Summary of hydrologic modeling for the Delaware River Basin using the Water Availability Tool for Environmental Resources (WATER)

The Water Availability Tool for Environmental Resources (WATER) is a decision support system for the nontidal part of the Delaware River Basin that provides a consistent and objective method of simulating streamflow under historical, forecasted, and managed conditions. In order to quantify the uncertainty associated with these simulations, however, streamflow and the associated hydroclimatic variables of potential evapotranspiration, actual evapotranspiration, and snow accumulation and snowmelt must be simulated and compared to long-term, daily observations from sites. This report details model development and optimization, statistical evaluation of simulations for 57 basins ranging from 2 to 930 km 2 and 11.0 to 99.5 percent forested cover, and how this statistical evaluation of daily streamflow relates to simulating environmental changes and management decisions that are best examined at monthly time steps normalized over multiple decades. The decision support system provides a database of historical spatial and climatic data for simulating streamflow for 2001&ndash;11, in addition to land-cover and general circulation model forecasts that focus on 2030 and 2060. WATER integrates geospatial sampling of landscape characteristics, including topographic and soil properties, with a regionally calibrated hillslope-hydrology model, an impervious-surface model, and hydroclimatic models that were parameterized by using three hydrologic response units: forested, agricultural, and developed land cover. This integration enables the regional hydrologic modeling approach used in WATER without requiring site-specific optimization or those stationary conditions inferred when using a statistical model.

Delaware, Maryland, New Jersey, New York, Pennsylv

The influence of El Niño-Southern Oscillation (ENSO) cycles on wave-driven sea-floor sediment mobility along the central California continental margin

Ocean surface waves are the dominant temporally and spatially variable process influencing sea floor sediment resuspension along most continental shelves. Wave-induced sediment mobility on the continental shelf and upper continental slope off central California for different phases of El Niño-Southern Oscillation (ENSO) events was modeled using monthly statistics derived from more than 14 years of concurrent hourly oceanographic and meteorologic data as boundary input for the Delft SWAN wave model, gridded sea floor grain-size data from the usSEABED database, and regional bathymetry. Differences as small as 0.5 m in wave height, 1 s in wave period, and 10° in wave direction, in conjunction with the spatially heterogeneous unconsolidated sea-floor sedimentary cover, result in significant changes in the predicted mobility of continental shelf surficial sediment in the study area. El Niño events result in more frequent mobilization on the inner shelf in the summer and winter than during La Niña events and on the outer shelf and upper slope in the winter months, while La Niña events result in more frequent mobilization on the mid-shelf during spring and summer months than during El Niño events. The timing and patterns of seabed mobility are addressed in context of geologic and biologic processes. By understanding the spatial and temporal variability in the disturbance of the sea floor, scientists can better interpret sedimentary patterns and ecosystem structure, while providing managers and planners an understanding of natural impacts when considering the permitting of offshore activities that disturb the sea floor such as trawling, dredging, and the emplacement of sea-floor engineering structures.

California

The shifting climate portfolio of the Greater Yellowstone Area

Knowledge of climatic variability at small spatial extents (< 50 km) is needed to assess vulnerabilities of biological reserves to climate change. We used empirical and modeled weather station data to test if climate change has increased the synchrony of surface air temperatures among 50 sites within the Greater Yellowstone Area (GYA) of the interior western United States. This important biological reserve is the largest protected area in the Lower 48 states and provides critical habitat for some of the world&rsquo;s most iconic wildlife. We focused our analyses on temporal shifts and shape changes in the annual distributions of seasonal minimum and maximum air temperatures among valley-bottom and higher elevation sites from 1948&ndash;2012. We documented consistent patterns of warming since 1948 at all 50 sites, with the most pronounced changes occurring during the Winter and Summer when minimum and maximum temperature distributions increased. These shifts indicate more hot temperatures and less cold temperatures would be expected across the GYA. Though the shifting statistical distributions indicate warming, little change in the shape of the temperature distributions across sites since 1948 suggest the GYA has maintained a diverse portfolio of temperatures within a year. Spatial heterogeneity in temperatures is likely maintained by the GYA&rsquo;s physiographic complexity and its large size, which encompasses multiple climate zones that respond differently to synoptic drivers. Having a diverse portfolio of temperatures may help biological reserves spread the extinction risk posed by climate change.

Montana, Wyoming

Density estimation in a wolverine population using spatial capture-recapture models

Classical closed-population capture-recapture models do not accommodate the spatial information inherent in encounter history data obtained from camera-trapping studies. As a result, individual heterogeneity in encounter probability is induced, and it is not possible to estimate density objectively because trap arrays do not have a well-defined sample area. We applied newly-developed, capture-recapture models that accommodate the spatial attribute inherent in capture-recapture data to a population of wolverines (Gulo gulo) in Southeast Alaska in 2008. We used camera-trapping data collected from 37 cameras in a 2,140-km 2 area of forested and open habitats largely enclosed by ocean and glacial icefields. We detected 21 unique individuals 115 times. Wolverines exhibited a strong positive trap response, with an increased tendency to revisit previously visited traps. Under the trap-response model, we estimated wolverine density at 9.7 individuals/1,000-km 2 (95% Bayesian CI: 5.9-15.0). Our model provides a formal statistical framework for estimating density from wolverine camera-trapping studies that accounts for a behavioral response due to baited traps. Further, our model-based estimator does not have strict requirements about the spatial configuration of traps or length of trapping sessions, providing considerable operational flexibility in the development of field studies.

Alaska

Analysis and review of fishery-dependent data for Hawaiian nearshore noncommercial fisheries

Noncommercial, shore-based fisheries provide economic, social, and cultural services to communities throughout the Hawaiian Islands. The State of Hawai‘i Department of Land and Natural Resources (DLNR), Division of Aquatic Resources (DAR) routinely conducts surveys to monitor noncommercial fisheries such that estimates of fishing effort and catch by gear type can be generated and used to implement more sustainable management practices. DAR executes both the Hawai‘i Marine Recreational Fishery Survey (HMRFS), a nationally standardized survey that focuses on intercepting fishers at access points (i.e., boat ramps) across the main Hawaiian Islands, and a set of roving creel surveys on O‘ahu, Maui Nui, and Kaua‘i that observe and intercept fishers at locations along the shoreline outside of those targeted by HMRFS. The latter set of creel surveys were designed to complement HMRFS by expanding its geographic coverage and thus providing a more representative picture of noncommercial fishing in Hawai‘i. Sustainable management priorities set by DAR rely on the availability of statewide, fishery- dependent data. Thus, we collate information from island-based roving creel surveys into a cohesive Statewide Creel Survey Database. Further, we provide preliminary analyses and describe ways that surveys could be streamlined to improve future data collection, analysis, and utility. In so doing, we synthesize the most detailed information to-date about noncommercial shore-based fisheries of Hawai‘i. The unprecedented spatial and temporal coverage of DAR’s dataset reveals the value of their survey efforts over the last decade to address fishery management needs. Our primary objectives, results, and conclusions are summarized below: 1) Integrate DAR roving creel survey data from different islands into a single Statewide Creel Survey Dataset (Chapter II). We describe the collation of creel survey data from O‘ahu, Maui Nui, and Kaua‘i into a statewide dataset. We also offer ways in which these surveys could be streamlined to meet the needs of managers and decision makers. Briefly, these are to create a statewide strategic plan, standardize the execution of standard operating procedures, centralize the creel survey database and associated metadata, and consider using technology that improves the data pipeline, including transitioning from paper-based to electronic systems for data entry and processing. 2) Assess whether the new Statewide Creel Survey Dataset can provide inputs for length-based stock assessments (Chapter III). Only on Maui were interviews conducted with associated catch data. There was reasonably high taxonomic coverage (42 species from 186 interviews with 310 fishers), but low sample sizes for nearly all species precluded the development of length-based stock assessments. We provide summary statistics from the existing data and briefly discuss how technologies could be used to automate analysis of images of noncommercial catch. 3) Analyze the Statewide Creel Survey Dataset for spatial and temporal patterns in fishing effort (Chapter IV): a. Visualizing noncommercial fishing pressure . We found that fishing effort (mean number of fishers observed per survey event at a site) on O'ahu was over three times greater than that recorded during similar surveys conducted on Maui or Kaua'i. We create maps that display the distribution of angling and spearfishing effort around each of the three islands. b. Factors that predict fishing “hotspots” around Maui . Fishing effort on Maui was associated with areas with more wave power and less parking availability. There were half as many fishers in areas with parking lots than in areas with parking on the road shoulder only. c. Changes in fishing effort during the COVID-19 pandemic . There was no change in fishing effort on O‘ahu during the first year of the pandemic, but there was a 20% decline in year 2 and a 33% decline in year 3, both in comparison to pre-pandemic levels. Pre-pandemic creel survey data were unavailable for Maui and Kaua‘i, but fishing effort on these islands also declined as the pandemic progressed at similar or greater rates than those observed on O‘ahu. 4) Quantify potential bias in survey methods by experimentally deriving fisher detection probabilities of shore-based and drone-based surveys (Chapter V): a. Shore-based surveys . We conducted roving creel surveys for four months at three locations around Hilo Bay, designed to emulate and estimate the efficacy of DAR standard operating procedures. There was high agreement between paired observers in counting fishers, leading to near-perfect detection probabilities of both anglers (94%) and spearfishers (97%), but relatively low agreement and detection probabilities of other fishers (throw net, ‘opihi picking, etc.) (52%). b. Drone-based surveys . We used an unmanned aerial vehicle (UAV; operated by DAR staff) to collect imagery of fishers along the Hilo Bay shoreline. We used still images and video clips (with known fishing activity) to build an online survey that was distributed to DAR and HCFRU personnel, asking them to count and categorize resource users as a snorkeler, spearfisher, angler, or other fisher. Only 40.0% of the responses correctly counted and categorized resource users in the image. Anglers were correctly identified and enumerated in 90.0% of the responses, but the correct response rates of the other three user categories ranged from 67.8% – 79.4%. Snorkelers and anglers tended to be undercounted while spearfishers and other fishers were overcounted. 5) Review the potential for incorporating emerging technologies that will improve, augment, and evolve creel survey data collection, especially for spearfishing (Chapter VI). Within the context of monitoring shore-based noncommercial fishing, we review the use of electronic data entry/processing systems with geospatial and image capabilities, field cameras, drones, smart buoys, citizen science apps, data mining social media, artificial intelligence and machine learning. We highlight several of the challenges and considerations when implementing these technologies into creel surveys and provide a synthesis of options that could be used to better estimate spearfishing. The general conclusion of this assessment is that the DAR roving creel survey program is collecting valuable data that supplement the existing HMRFS efforts. However, there are a number of areas that could be improved to make these efforts a more effective tool for decision-making processes in resource management and conservation: 1) Establishment of clear statewide and island objectives for the Statewide Creel Survey Dataset. Currently, data collection efforts are focused towards addressing a very broad purpose – supplementing the HMRFS data collection efforts. However, the results of the preliminary analyses conducted as part of this project suggest that the data could be used to address other areas of need if these objectives were clearly defined. Further, the design of the creel survey would benefit from greater standardization of survey protocols between islands and an effort to define a) the acceptable margins of error associated with the estimates generated by these data and b) the minimum level of change that the surveys would need to detect to be useful to managers. 2) Centralization of data entry, data quality assessment, and data accessibility. Currently, each DAR office manages data entry, checks the data for errors, and is responsible for managing and storing the data. Instituting a centralized data entry system, particularly an online database that can receive survey data from tablets or smartphones running a standardized data collection application would improve efficiency, reduce data entry errors, and accelerate the availability of data to managers. A substantial amount of time and effort from the project described in this report was devoted to checking the dataset for errors. The development and application of data quality assurance protocols would ensure that the data are reliable and available in a timely fashion to support management decisions. 3) Address lingering questions regarding the efficacy of current survey protocols to capture and characterize the spearfishing component of the noncommercial fishery. The results presented in the report suggest that the current creel survey protocols do a good job detecting spearfishers when present but are not capturing sufficient data about their catch or total effort. There are also questions remaining as to whether the survey times and sites are sufficiently capturing the behavior of spearfishers in Hawai‘i. A more thorough assessment – whether through additional research, alteration of survey design, or review of data by representatives of the spearfishing community – would provide insight on how to use the Statewide Creel Survey Database to inform management of spearfishing. 4) Investigate the integration of technological advancements into the creel survey methods. As priorities and needs are developed and formalized, it would be valuable to consider how various technological advancements might enhance and streamline data collection or open new avenues of inquiry.

Hawaii

Constraining fault constitutive behavior with slip and stress heterogeneity

We study how enforcing self-consistency in the statistical properties of the preshear and postshear stress on a fault can be used to constrain fault constitutive behavior beyond that required to produce a desired spatial and temporal evolution of slip in a single event. We explore features of rupture dynamics that (1) lead to slip heterogeneity in earthquake ruptures and (2) maintain these conditions following rupture, so that the stress field is compatible with the generation of aftershocks and facilitates heterogeneous slip in subsequent events. Our three-dimensional fmite element simulations of magnitude 7 events on a vertical, planar strike-slip fault show that the conditions that lead to slip heterogeneity remain in place after large events when the dynamic stress drop (initial shear stress) and breakdown work (fracture energy) are spatially heterogeneous. In these models the breakdown work is on the order of MJ/m2, which is comparable to the radiated energy. These conditions producing slip heterogeneity also tend to produce narrower slip pulses independent of a slip rate dependence in the fault constitutive model. An alternative mechanism for generating these confined slip pulses appears to be fault constitutive models that have a stronger rate dependence, which also makes them difficult to implement in numerical models. We hypothesize that self-consistent ruptures could also be produced by very narrow slip pulses propagating in a self-sustaining heterogeneous stress field with breakdown work comparable to fracture energy estimates of kJ/M2. Copyright 2008 by the American Geophysical Union.

Journal of Geophysical Research B: Solid Earth

Enhanced surveillance strategies for detecting and monitoring chronic wasting disease in free-ranging cervids

The purpose of this document is to provide wildlife management agencies with the foundation upon which they can build scientifically rigorous and cost-effective surveillance and monitoring programs for chronic wasting disease (CWD) or refine their existing programs. The first chapter provides an overview of potential demographic and spatial risk factors of susceptible wildlife populations that may be exploited for CWD surveillance and monitoring. The information contained in this chapter explores historic as well as recent developments in our understanding of CWD disease dynamics. It also contains many literature references for readers who may desire a more thorough review of the topics or CWD in general. The second chapter examines methods for enhancing efforts to detect CWD on the landscape where it is not presently known to exist and focuses on the efficiency and cost-effectiveness of the surveillance program. Specifically, it describes the means of exploiting current knowledge of demographic and spatial risk factors, as described in the first chapter, through a two-stage surveillance scheme that utilizes traditional design-based sampling approaches and novel statistical methods to incorporate information about the attributes of the landscape, environment, populations and individual animals into CWD surveillance activities. By accounting for these attributes, efficiencies can be gained and cost-savings can be realized. The final chapter is unique in relation to the first two chapters. Its focus is on designing programs to monitor CWD once it is discovered within a jurisdiction. Unlike the prior chapters that are more detailed or prescriptive, this chapter by design is considerably more general because providing comprehensive direction for creating monitoring programs for jurisdictions without consideration of their monitoring goals, sociopolitical constraints, or their biological systems, is not possible. Therefore, the authors draw upon their collective experiences implementing disease-monitoring programs to present the important questions to consider, potential tools, and various strategies for those wildlife management agencies endeavoring to create or maintain a CWD monitoring program. Its intent is to aid readers in creating efficient and cost-effective monitoring programs, while avoiding potential pitfalls. It is hoped that these three chapters will be useful tools for wildlife managers struggling to implement efficient and effective CWD disease management programs.

Open-File Report

North American Bat Monitoring Program regional protocol for surveying with stationary deployments of echolocation recording devices: Narrative version 1.0, Pacific Northwestern US

The outbreak of white-nose syndrome (WNS) and the growing awareness of the risks to bats from wind power generating facilities have driven radical changes to North American bat conservation. Over the last decade, formerly common species such as the little brown myotis (Myotis lucifugus) and hoary bat (Lasiurus cinereus) have experienced unprecedented mortality rates and are now facing non-trivial extinction risk. In response to this change, federal land management agencies such as the US National Park Service, US Fish and Wildlife Service, US Forest Service, US Bureau of Land Management and state wildlife management agencies such as the Oregon Department of Fish and Wildlife and Idaho Fish and Game have invested in collaborative, interagency bat monitoring to close the gap in information about bat welfare and to inform bat conservation strategies. Bats are notoriously difficult to track and study and there remains a paucity of fundamental information about the seasonal patterns of bat activity and habitat use and population distributions and abundances. Moreover, because bats are so highly mobile and difficult to survey (e.g., nocturnal flight), this information needs to be contextualized at broad regional (e.g., 10,000 km2) and range-wide extents. Delimiting bat populations at local scales (e.g., 100 km2) is very difficult and it is not clear, for example, how a declining trend in local (e.g., a small park unit) patterns of bat activity or relative abundance should be interpreted without broader context. In recognition of these challenges, a plan for coordinated continental-scale monitoring of bats, the North American Bat Monitoring Program (NABat) was developed (Loeb et al. 2015). The centerpiece of the plan is the use of a spatially-balanced randomized master sample of grid-cell sample units from a grid-based sampling frame to provide the architecture for collaboration and the statistical foundation for making inferences about bat populations across broad regions and entire bat geographic ranges. The plan outlines general goals, survey design, and field methods for both summertime acoustic surveys of bats as well as winter and summer counts of bats in hibernacula and maternity colonies but it does not provide field-level protocol and standard operating procedures for consistent and efficient implementation. This regional protocol provides these details for one component of NABat, the deployment of stationary acoustic detectors to record bats during summer, as is called for by the NABat plan. This protocol was written specifically to provide guidance and consistency across the Pacific Northwestern US (N. California [California Department of Fish and Wildlife Northern Region], Idaho, Washington, and Oregon; US Fish and Wildlife Service Region 1 and portion of Region 8 [in Northern California and Klamath Basin]; US Forest Service Region 6 and portions of Regions 1 and 5 in Idaho; and the Upper Columbia Basin, North Coast Cascades, and Klamath Networks of the National Park Service). This region has internal cohesion, sharing a distinct bat faunal assemblage of 15 species (with several additional species occurring on the southern periphery of the region), and a long history of collaborative bat monitoring beginning with the interagency Bat Grid Program which operated from 2003-2010 across Oregon and Washington (US Forest Service Region 6). This protocol will be coordinated and implemented by the Northwestern Bat Hub, on behalf of the collective interagency partnership. The Northwestern Bat Hub is housed on the Oregon State University-Cascades campus and leverages pooled partner funds and resources to maintain a small staff that coordinates and conducts monitoring, provides training and oversight, ensures high-quality data quality and control, and analyzes data and reports on results.

California, Idaho, Oregon, Washington

Fish beta diversity associated with hydrologic and anthropogenic disturbance gradients in contrasting stream flow regimes

Understanding the role of hydrologic variation in structuring aquatic communities is crucial for successful conservation and sustainable management of native freshwater biodiversity. Partitioning beta diversity into the additive components of spatial turnover and nestedness can provide insight into the forces driving variability in fish assemblages across stream flow regimes. We examined stream fish beta diversity across hydrologic and anthropogenic disturbance gradients using long-term (1916–2016) site occurrence records ( n = 17,375) encompassing 252 species. We assessed total beta diversity (Sørensen dissimilarity), spatial turnover, and nestedness of fish assemblages in contrasting stream flow regimes across a gradient of decreasing flow stability: groundwater stable ( n = 77), groundwater ( n = 67), groundwater flashy ( n = 175), perennial runoff ( n = 141), runoff flashy ( n = 255), and intermittent ( n = 63) streams. Differences in total beta diversity among the stream flow regimes were driven predominantly (>86 %) by spatial turnover (i.e. species replacement) as opposed to nestedness (i.e. species loss or gain). Total fish beta diversity and spatial turnover were highest in streams with intermediate flow stability (groundwater flashy), while more flow-stable streams (groundwater stable and groundwater) had lower turnover and higher nestedness. Species turnover was also strongly associated with seasonal variation in hydrology across all flow regimes, but these relationships were most evident for assemblages in intermittent streams. Distance-based statistical comparisons showed significant correlations between beta diversity and anthropogenic disturbance variables, including dam density, dam storage volume and water withdrawals in catchments of groundwater stable streams, while hydrologic variables were more strongly correlated with beta diversity in streams with runoff-dominated and flashy flow regimes. The high spatial turnover of species implies that fish conservation actions would benefit from watershed-focused approaches targeting multiple streams with wide spatial distribution, as opposed to simply focusing on preserving sites with the greatest number of species.

Science of the Total Envionrment

Ecoregions and stream morphology in eastern Oklahoma

Broad-scale variables (i.e., geology, topography, climate, land use, vegetation, and soils) influence channel morphology. How and to what extent the longitudinal pattern of channel morphology is influenced by broad-scale variables is important to fluvial geomorphologists and stream ecologists. In the last couple of decades, there has been an increase in the amount of interdisciplinary research between fluvial geomorphologists and stream ecologists. In a historical context, fluvial geomorphologists are more apt to use physiographic regions to distinguish broad-scale variables, while stream ecologists are more apt to use the concept of an ecosystem to address the broad-scale variables that influence stream habitat. For this reason, we designed a study using ecoregions, which uses physical and biological variables to understand how landscapes influence channel processes. Ecoregions are delineated by similarities in geology, climate, soils, land use, and potential natural vegetation. In the fluvial system, stream form and function are dictated by processes observed throughout the fluvial hierarchy. Recognizing that stream form and function should differ by ecoregion, a study was designed to evaluate how the characteristics of stream channels differed longitudinally among three ecoregions in eastern Oklahoma, USA: Boston Mountains, Ozark Highlands, and Ouachita Mountains. Channel morphology of 149 stream reaches was surveyed in 1st- through 4th-order streams, and effects of drainage area and ecoregion on channel morphology was evaluated using multiple regressions. Differences existed (?????0.05) among ecoregions for particle size, bankfull width, and width/depth ratio. No differences existed among ecoregions for gradient or sinuosity. Particle size was smallest in the Ozark Highlands and largest in the Ouachita Mountains. Bankfull width was larger in the Ozark Highlands than in the Boston Mountains and Ouachita Mountains in larger streams. Width/depth ratios of the Boston Mountains and Ozark Highlands were not statistically different. Significant differences existed, however, between the Boston Mountains and Ozark Highlands when compared individually to the Ouachita Mountains. We found that ecoregions afforded a good spatial structure that can help in understanding longitudinal trends in stream reach morphology surveyed at the reach scale. The hierarchy of the fluvial system begins within a broad, relatively homogenous setting that imparts control on processes that affect stream function. Ecoregions provide an adequate regional division to begin a large-scale geomorphic study of processes in stream channels. ?? 2010 Elsevier B.V.

Geomorphology