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At least 595 records · Page 33Linked to original sources

Estimating inundation of small waterbodies with sub-pixel analysis of Landsat imagery: Long-term trends in surface water area and evaluation of common drought indices

Small waterbodies are numerically dominant in many landscapes and provide several important ecosystem services, but automated measurement of waterbodies smaller than a standard Landsat pixel (0.09 ha) remains challenging. To further evaluate sub‐Landsat pixel techniques for estimating inundation extent of small waterbodies (basin area: 0.06–1.79 ha), we used a partial spectral unmixing method with matched filtering applied to September 1985–2018 Landsat 5 and eight imagery from southern Arizona, USA. We estimated trends in modeled surface water area each September and evaluated the ability of several common drought indices to explain variation in mean water area. Our methods accurately classified waterbodies as dry or inundated (Landsat 5: 91.3%; Landsat 8: 98.9%) and modeled and digitized surface water areas were strongly correlated ( R 2 = 0.70–0.92; bias = −0.024 to −0.015 ha). Estimated surface water area was best explained by the 3‐month seasonal standardized precipitation index (SPI03; July‒September). We found a wide range of estimated relationships between drought indices (e.g. SPI vs. Palmer Drought Severity Index) and estimated water area, even for different durations of the same drought index (e.g. SPI01 vs. SPI12). Mean waterbody surface area decreased by ~14% from September 1985 to September 2018, which matches declines in local annual precipitation and regional trends of reduced inundation extent of larger waterbodies. These results emphasize the importance of understanding local systems when relying on drought indices to infer variation in past or future surface water dynamics. Several challenges remain before widespread application of sub‐pixel methods is feasible, but our results provide further evidence that partial spectral unmixing with matched filtering provides reliable measures of inundation extent of small waterbodies.

Arizona

Neutral genetic and phenotypic variation within and among isolated headwater Brook Trout populations

Isolated populations are challenging to manage and conserve as they are particularly vulnerable to genetic drift, allelic fixation, inbreeding, and may express markedly reduced phenotypic variability. We sought to improve our understanding of how spatial isolation, occupancy range, and restricted gene flow influence contemporary phenotypic variation within and among native populations of Brook Trout Salvelinus fontinalis by examining the neutral genetic and phenotypic characteristics of 35 isolated headwater populations from Great Smoky Mountains National Park. Across a suite of 13 neutral microsatellite loci, we observed high levels of allelic fixation and considerable genetic differentiation among populations, subwatersheds, and watersheds that were consistent with patterns of isolation. We observed significant, positive correlations between allelic diversity and estimates of effective population sizes. In contrast, we observed considerably less phenotypic structure among streams, subwatersheds, and watersheds. Much of the phenotypic variation observed occurred among individuals within populations. Pairwise Mann‐Whitney tests revealed no significant phenotypic differences among the populations of Brook Trout we examined. Similarly, we observed no significant relationship between the amount of phenotypic variation within populations and any of the examined measures of genetic diversity or the amount of occupied habitat sampled, which suggests that unmeasured variables may be influencing morphometric and meristic variation within isolated populations. The observed patterns of isolation, genetic drift, and allelic fixation highlight the importance of enhancing population connectivity, but also suggest considerable phenotypic variability may persist within small, fragmented populations. Our results elucidate some challenges associated with managing and conserving isolated populations of Brook Trout, and reinforce the importance of conducting genetic studies on fragmented populations to inform management decisions.

Transactions of the American Fisheries Society

Setting a pluralist agenda for water governance: Why power and scale matter

Global water systems are facing unprecedented pressures, including climate change-driven drought and escalating flood risk, environmental contamination, and over allocation. Water management and governance typically lack integration across spatial scales, including relationships between surface and ground water systems. They also routinely ignore connectivity across temporal scales, including the need for intergenerational water planning. As a global and interdisciplinary group of scientists, we seek to highlight how power and scale dynamics influence and determine water outcomes. We argue that attending to complex water systems challenges requires understanding the function and influence of power at different temporal and spatial scales. Building this understanding is key to designing multi-scalar, reflexive, and pluralistic policy solutions that avoid ineffective or unintended outcomes. We use a co-learning process to reveal important lessons for the challenge of interdisciplinary research and set a pluralist agenda for understanding power and scale in future water governance.

WIREs Water

Ratcheting up rigor in wildlife management decision making

The wildlife management institution has been transforming to ensure relevance and positive conservation outcomes into the future. Continuous improvement of decision making is one aspect of this transformation, but many obstacles hinder systematic approaches to decision making. One can point to examples of formal decision science applications by state and federal agencies in the United States, but generally decision making is not as methodical as the biological, ecological, or social sciences that inform wildlife policy and management decisions. We describe our observations — based on first-hand experiences — with decision making in wildlife management, present reasons why making decisions is difficult, identify challenges faced by wildlife managers at various levels of governance, and address measures wildlife managers can employ to overcome these challenges. We acknowledge that no panacea, simple recipe or one-size-fits-all prescription exists for wildlife management decision making. Nevertheless, we hope the combination of (a) describing how a systematic framework for decision making can benefit stakeholders, managers and conservation outcomes and (b) providing specific suggestions for such a framework will encourage agencies to continue taking steps to improve decision making processes.

Wildlife Society Bulletin

Optimizing surveys of fall-staging geese using aerial imagery and automated counting

Ocular aerial surveys allow efficient coverage of large areas and can be used to monitor abundance and distribution of wild populations. However, uncertainty around resulting population estimates can be large due to difficulty in visually identifying and counting animals from aircraft, as well as logistical challenges in estimating detection probabilities. Photographic aerial surveys can mitigate these challenges and can allow flight at higher altitudes to minimize disturbance of birds and improve safety for surveyors. We evaluated a photographic aerial survey that incorporated a systematic sampling design with automated photo capture and processing for fall-staging geese at Izembek Lagoon, Alaska, in 2017–2019. Ocular aerial surveys have been completed at Izembek Lagoon for >40 years. For the new photo survey, we used a commercial system to automatically trigger cameras at preset points. We then applied a machine-learning algorithm trained to automatically identify and count geese in our photos, manually corrected those counts, and quantified the algorithm's accuracy. We translated corrected counts into density and extrapolated mean density across the entire lagoon to estimate total population size for Pacific brant ( Branta bernicla ) and cackling geese ( B. hutchinsii ). The automated algorithm undercounted geese, but successfully identified the small subset of photos containing geese. Manual correction was therefore needed only for photos automatically identified as containing geese, allowing substantial reduction of workload. Manually-corrected, photo-based estimates of Pacific brant and cackling goose population sizes were larger and more precise than ocular estimates in all 3 years. To reduce costs with little penalty for variance around population estimates, the photographic survey design could be optimized by reducing the number of transects to ~67% of the current number while still manually correcting all photos in which the automated algorithm detected geese. Further years of both ocular and photo surveys would be needed to calibrate the photo estimates against the >40-year timeseries of the ocular survey, after which the photo series could successfully guide management of Pacific brant. As technologies continue to advance, we expect photographic surveys with automated counting to be easily implemented and advantageous to many monitoring programs.

Alaska

Using occupancy models to accommodate uncertainty in the interpretation of aerial photograph data: status of beaver in Central Oregon, USA

Beavers ( Castor canadensis ) influence habitat for many species and pose challenges in developed landscapes. They are increasingly viewed as a cost-efficient means of riparian habitat restoration and water storage. Still, information on their status is rare, particularly in western North America. We used aerial photography to evaluate changes in beaver occupancy between 1942–1968 and 2009 in upper portions of 2 large watersheds in Oregon, USA. We used multiple observers and occupancy modeling to account for bias related to photo quality, observers, and imperfect detection of beaver impoundments. Our analysis suggested a slightly higher rate of beaver occupancy in the upper Deschutes than the upper Klamath basin. We found weak evidence for beaver increases in the west and declines in eastern parts of the study area. Our study presents a method for dealing with observer variation in photo interpretation and provides the first assessment of the extent of beaver influence in 2 basins with major water-use challenges. Published 2015. This article is a U.S. Government work and is in the public domain in the USA.

Oregon

Multilevel learning in the adaptive management of waterfowl harvests: 20 years and counting

In 1995, the U.S. Fish and Wildlife Service implemented an adaptive harvest management program (AHM) for the sport harvest of midcontinent mallards ( Anas platyrhynchos ). The program has been successful in reducing long-standing contentiousness in the regulatory process, while integrating science and policy in a coherent, rigorous, and transparent fashion. After 20 years, much has been learned about the relationship among waterfowl populations, their environment, and hunting regulations, with each increment of learning contributing to better management decisions. At the same time, however, much has been changing in the social, institutional, and environmental arenas that provide context for the AHM process. Declines in hunter numbers, competition from more pressing conservation issues, and global-change processes are increasingly challenging waterfowl managers to faithfully reflect the needs and desires of stakeholders, to account for an increasing number of institutional constraints, and to (probabilistically) predict the consequences of regulatory policy in a changing environment. We review the lessons learned from the AHM process so far, and describe emerging challenges and ways in which they may be addressed. We conclude that the practice of AHM has greatly increased an awareness of the roles of social values, trade-offs, and attitudes toward risk in regulatory decision-making. Nevertheless, going forward the waterfowl management community will need to focus not only on the relationships among habitat, harvest, and waterfowl populations, but on the ways in which society values waterfowl and how those values can change over time.

Wildlife Society Bulletin

Integrating fecal DNA and telemetry to estimate wildlife densities in anthropogenic landscapes

Density estimation is central to wildlife management efforts but can be challenging in anthropogenically-dominated landscapes due to small parcel sizes, access restrictions, and limited green space. Reliable density estimates are especially important for managing white-tailed deer ( Odocoileus virginianus ), whose high abundance in urbanized areas increases the need for accurate population assessments to guide management and reduce negative human–wildlife interactions. Herein, we evaluated (a) the use of a plot-based spatial capture-recapture sampling design to estimate deer density in developed landscapes and (b) if integrating telemetry data improved the precision or biological inferences of density estimates. We conducted fecal sampling at 2 study areas reflecting different characteristics of the urbanization gradient in Durham and eastern Orange counties, North Carolina: (1) rural (i.e., forested, large parcels) and (2) suburban (i.e., small parcels, limited continuous access, diversity of landscape features). We collected 223 fecal samples during a 3-week sampling period in July and September 2022, resulting in 157 individual deer detected (112 F:45 M). Rural densities were estimated at 54 deer/km 2 (95% CI = 35–84) and suburban densities at 75 deer/km 2 (95% CI = 48–117). Integrating telemetry data allowed estimation of sex-specific space use and densities, which were not possible from fecal data alone; however, precision of total density estimates was similar across integrated and fecal-only analyses. Overall, our results highlighted key trade-offs inherent to plot-based spatial capture-recapture in suburban landscapes, most notably low recapture rates, accessibility challenges to maintain optimal trap spacing, and the importance of considering auxiliary data streams as part of the study design.

North Carolina

Developing a low-cost drone-based method for deploying and retrieving autonomous recording units in inaccessible areas

Autonomous Recording Units (ARUs) are increasingly used in research to support passive acoustic monitoring, but deployment in remote or inaccessible locations remains logistically challenging. Traditional manual placement is labor-intensive, time-consuming, potentially hazardous, and often limited to habitat edges, creating sampling biases and restricting spatial coverage. To address placement limitations in wetland systems, we developed and field-tested a low-cost, lightweight floating platform paired with a drone-based deployment and retrieval system. The drone-deployable ARU platform, constructed from inexpensive, off-the-shelf materials (~US $21 per unit), weighed ~560 g and was mounted with an ARU (AudioMoth) at ~1.2 m above water. The platform was designed for stability, portability, and compliance with Federal Aviation Administration Part 107 regulations. Field trials were conducted across 50 operations in various types of historical rice-field impoundments along the South Carolina coast, which provide critical habitat for secretive marsh birds such as rails (e.g ., Rallus, Laterallus , and Porzana ) and bitterns (e.g ., Botaurus and Ixobrychus ). All 50 deployments and retrievals were successful, demonstrating the robustness of the method under diverse hydrologic and vegetative conditions. Deployment times were significantly shorter than retrieval times (median 6 vs. 9 min), with retrieval requiring greater precision for hook engagement. Operation times scaled predictably with distance: deployment increased by 0.93 min/100 m (R 2 = 0.94) and retrieval by 1.17 min/100 m (R 2 = 0.95). No platform damage or displacement was observed, as emergent vegetation was likely providing natural anchoring. Our approach offers an affordable and effective solution for expanding ARU coverage in large, inaccessible wetlands, reducing sampling bias and enhancing biodiversity monitoring. With continued advances in drone payload capacity, battery endurance, and beyond-visual-line-of-sight flight regulations, our workflow could be adapted for deploying multi-sensor platforms (e.g., ARUs, eDNA samplers, water and air quality sensors, plant sample collectors, insect traps, and trail cameras) to support integrated biodiversity monitoring in challenging landscapes worldwide.

South Carollina

Attaching transmitters to waterbirds using one versus two subcutaneous anchors: Retention and survival trade-offs

A major challenge of wildlife telemetry is choosing an attachment technique that maximizes transmitter retention while minimizing negative side effects. For waterbirds, attachment of transmitters with subcutaneous anchors has been an effective and well-established technique, having been used on >40 species. This method was recently modified to include a second subcutaneous anchor, presumably increasing transmitter retention beyond that of single-anchor attachments. This putative benefit may be offset, however, by increased health risks related to additional incisions and subcutaneous protrusions. To test this potential trade-off, we attached radiotransmitters to molting and wintering surf ( Melanitta perspicillata ) and white-winged scoters ( M. fusca ) during 2008 and 2009 in Washington State and southeast Alaska, USA, using single- (121 scoters) and double-anchor (128 scoters) attachment techniques. We estimated daily probabilities of survival and radio retention for each group, this being apparent retention for wintering scoters because we could not differentiate shed transmitters from flighted emigration. For scoters during the flightless remigial molt, we found that addition of a second anchor increased cumulative retention probability (±SE) over a 49-day period from 0.69 ± 0.11 for single-anchor to 0.88 ± 0.07 for double-anchor attachments, while having no effect on survival. However, during winter, scoters with double-anchor attachments experienced no improvement in apparent retention, while having significantly lower survival during their first 14 days following transmitter attachment; of 15 mortalities during this period, 11 had 2 subcutaneous anchors. From day 15 onward, winter survival rates were nearly identical for single- versus double-anchor attachments, indicating that adverse effects of subcutaneous anchors were mainly limited to the 14-day postattachment period. Overall, given that the survival cost of adding a second subcutaneous anchor was substantial for wintering scoters—decreasing 14-day survival by 12% for adults and 23% for juveniles—we recommend that researchers opt for single-anchor attachments under most circumstances, especially during winter when birds may be energetically challenged.

Wildlife Society Bulletin

Fish DNA vaccine against infectious hematopoietic necrosis virus: efficacy of various routes of immunization

The DNA vaccine, pIHNVw-G, contains the gene for the glycoprotein (G) of the rhabdovirus infectious hematopoietic necrosis virus (IHNV), a major pathogen of salmon and trout. The relative efficacy of various routes of immunisation with pIHNVw-G was evaluated using 1.8 g rainbow trout fry vaccinated via intramuscular injection, scarification of the skin, intraperitoneal injection, intrabuccal administration, cutaneous particle bombardment using a gene gun, or immersion in water containing DNA vaccine-coated beads. Twenty-seven days after vaccination neutralising antibody titres were determined, and 2 days later groups of vaccinated and control unvaccinated fish were subjected to an IHNV immersion challenge. Results of the virus challenge showed that the intramuscular injection and the gene gun immunisation induced protective immunity in fry, while intraperitoneal injection provided partial protection. Neutralising antibodies were not detected in sera of vaccinated fish regardless of the route of immunisation used, suggesting that cell mediated immunity may be at least partially responsible for the observed protection.

Fish and Shellfish Immunology

Role of social media and networking in volcanic crises and communication

The growth of social media as a primary and often preferred news source has contributed to the rapid dissemination of information about volcanic eruptions and potential volcanic crises as an eruption begins. Information about volcanic activity comes from a variety of sources: news organisations, emergency management personnel, individuals (both public and official) and volcano monitoring agencies. Once posted, this information is easily shared, increasing the reach to a much broader population than the original audience. The onset and popularity of social media as a vehicle for eruption information dissemination has presented many benefits as well as challenges, and points towards a need for a more unified system for information. This includes volcano observatories using social media as an official channels to distribute activity statements, forecasts and predictions on social media, in addition to the archiving of images and data activity. This chapter looks at two examples of projects that collect / disseminate information regarding volcanic crises and eruptive activity utilizing social media sources. Based on those examples, recommendations are made to volcanic observatories in relation to the use of social media as a two-way communication tool. These recommendations include: using social media as a two-way dialogue to communicate and receive information directly from the public and other sources; stating that the social media account is from an official source; and, posting types of information that the public are seeking such as images, videos and figures.

Book chapter

Volcanic unrest and hazard communication in Long Valley Volcanic Region, California

The onset of volcanic unrest in Long Valley Caldera, California, in 1980 and the subsequent fluctuations in unrest levels through May 2016 illustrate: (1) the evolving relations between scientists monitoring the unrest and studying the underlying tectonic/magmatic processes and their implications for geologic hazards, and (2) the challenges in communicating the significance of the hazards to the public and civil authorities in a mountain resort setting. Circumstances special to this case include (1) the sensitivity of an isolated resort area to media hype of potential high-impact volcanic and earthquake hazards and its impact on potential recreational visitors and the local economy, (2) a small permanent population (~8000), which facilitates face-to-face communication between scientists monitoring the hazard, civil authorities, and the public, and (3) the relatively frequent turnover of people in positions of civil authority, which requires a continuing education effort on the nature of caldera unrest and related hazards. Because of delays associated with communication protocols between the State and Federal governments during the onset of unrest, local civil authorities and the public first learned that the U.S. Geological Survey was about to release a notice of potential volcanic hazards associated with earthquake activity and 25-cm uplift of the resurgent dome in the center of the caldera through an article in the Los Angeles Times published in May 1982. The immediate reaction was outrage and denial. Gradual acceptance that the hazard was real required over a decade of frequent meetings between scientists and civil authorities together with public presentations underscored by frequently felt earthquakes and the onset of magmatic CO 2 emissions in 1990 following a 11-month long earthquake swarm beneath Mammoth Mountain on the southwest rim of the caldera. Four fatalities, one on 24 May 1998 and three on 6 April 2006, underscored the hazard posed by the CO 2 emissions. Initial response plans developed by county and state agencies in response to the volcanic unrest began with “The Mono County Volcano Contingency Plan” and “Plan Caldera” by the California Office of Emergency Services in 1982–84. They subsequently became integrated in the regularly updated County Emergency Operation Plan. The alert level system employed by the USGS also evolved from the three-level “Notice-Watch-Warning” system of the early 1980s through a five level color-code to the current “Normal-Advisory-Watch-Warning” ground-based system in conjunction with the international 4-level aviation color-code for volcanic ash hazards. Field trips led by the scientists proved to be a particularly effective means of acquainting local residents and officials with the geologically active environment in which they reside. Relative caldera quiescence from 2000 through 2011 required continued efforts to remind an evolving population that the hazards posed by the 1980–2000 unrest persisted. Renewed uplift of the resurgent dome from 2011 to 2014 was accompanied by an increase in low-level earthquake activity in the caldera and beneath Mammoth Mountain and continues through May 2016. As unrest levels continue to wax and wane, so will the communication challenges.

Book chapter

The use of boundary-spanning organizations to bridge the knowledge-action gap in North America

The goals of boundary-spanning organizations include communicating among researchers, stakeholders, and resource managers to improve decision-making. These efforts span public agencies, environmental non-governmental organizations, and private stakeholders and occur throughout Canada, the USA, and Mexico. We describe how the core philosophy of boundary-spanning organizations may help address conservation challenges in these countries. We profile a subset of the more than 100 boundary-spanning organizations, identifying some of their core accomplishments and the challenges they face. Scientific information generally is acknowledged as useful to resource management by recipients of the information. It is more difficult to infer whether the information transmitted by boundary-spanning organizations contributed to conservation decisions or whether the outcomes of those decisions differed from the potential outcomes in the absence of such information. Several examples of sustained enthusiasm for boundary-spanning efforts indicate that the organizations help to bridge the knowledge to action gap in North America.

Book chapter

Numerical modeling of debris flows: A conceptual assessment

Real-world hazard evaluation poses many challenges for the development and application of numerical models of debris flows. In this chapter we provide a conceptual overview of physically based, depth-averaged models designed to simulate debris-flow motion across three-dimensional terrain. When judiciously formulated and applied, these models can provide useful information about anticipated depths, speeds, and extents of debris-flow inundation as well as debris interactions with structures such as levees and dams. Depth-averaged debris-flow models can differ significantly from one another, however. Some of the greatest differences result from simulation of one-phase versus two-phase flow, use of parsimonious versus information-intensive initial and boundary conditions, use of tuning coefficients versus physically measureable parameters, application of dissimilar numerical solution techniques, and variations in computational speed and model accessibility. This overview first addresses these and related attributes of depth-averaged debris-flow models. It then describes model testing and application to hazard evaluation, with a focus on our own model, D-Claw. The overview concludes with a discussion of outstanding challenges for development of improved debris-flow models and suggestions for prospective model users.

Book chapter

Polar bears and sea ice habitat change

The polar bear ( Ursus maritimus ) is an obligate apex predator of Arctic sea ice and as such can be affected by climate warming-induced changes in the extent and composition of pack ice and its impacts on their seal prey. Sea ice declines have negatively impacted some polar bear subpopulations through reduced energy input because of loss of hunting habitats, higher energy costs due to greater ice drift, ice fracturing and open water, and ultimately greater challenges to recruit young. Projections made from the output of global climate models suggest that polar bears in peripheral Arctic and sub-Arctic seas will be reduced in numbers or become extirpated by the end of the twenty-first century if the rate of climate warming continues on its present trajectory. The same projections also suggest that polar bears may persist in the high-latitude Arctic where heavy multiyear sea ice that has been typical in that region is being replaced by thinner annual ice. Underlying physical and biological oceanography provides clues as to why polar bear in some regions are negatively impacted, while bears in other regions have shown no apparent changes. However, continued declines in sea ice will eventually challenge the survival of polar bears and efforts to conserve them in all regions of the Arctic.

Book chapter

Canada Basin

Perennial sea-ice cover over much of Canada Basin of the Arctic Ocean has hampered geoscientific studies, but concerted efforts over the past decade– particularly with the use of two ice-breakers working collaboratively – has led to new seismic and sample acquisitions. These studies have revealed extensive non-oceanic basement beneath Canada Basin that coincides with proof of a central spreading axis and limited oceanic crust. Additionally, seismic reflection studies have shown its sedimentologic history and stratigraphic development. High resolution subbottom and multibeam detail have revealed its more recent geologic past, including the extent of ice margins during the Pleistocene and the role of submarine landslides and ocean currents within the basin. Despite this new information, there are still significant challenges in understanding the basin. These challenges result from the fact that the basin did not form by a simple rift/extension scenario, but rather more likely through a complexity of events that included variably oriented extension, trans-tension and transform tectonics. Additionally, emplacement of the high arctic magnetic domain (Alpha Ridge and Mendeleev Rise) masks underlying tectonic structures, and lack of age control inhibits correlation with global events.

Canada Basin

Fires and landscape conservation in mediterranean ecosystems

Protected areas are some of the last remaining areas on Earth where fire can play its natural role at a landscape-scale. The International Union for Conservation of Nature (IUCN) has developed a system for categorizing protected areas. The role fire can play in the various categories depends on the management objectives of the category, the size of the individual units, and the laws and policies of the country in which the unit is located. An analysis of all the IUCN protected areas showed that 505 areas had the potential for conserving landscape fire. Areas in Europe, Africa, South America, Australia, and North America show promise for being able to include fire in the conservation of landscapes. Examples from South Africa, Australia, and the United States show how fire can be incorporated at the landscape scale. Future challenges include increasing urban encroachment, climate change, and air pollution. Society will have to deal with these challenges if fire is to continue its essential ecological role in Mediterranean ecosystems.

Book chapter