Geology ReportsSearch

SEARCH · Geology Reports

Results for “Geologic Notes”

Search indexed USGS publications on groundwater, aquifers, geologic maps, mineral resources and earthquakes. Explore source records by subject and place.

Quote a phrase for an exact phrase match. Source license links do not imply unrestricted reuse.

At least 595 records · Page 33Linked to original sources

Mars global digital dune database: MC-30

The Mars Global Digital Dune Database (MGD 3 ) provides data and describes the methodology used in creating the global database of moderate- to large-size dune fields on Mars. The database is being released in a series of U.S. Geological Survey Open-File Reports. The first report (Hayward and others, 2007) included dune fields from lat 65° N. to 65° S. ( http://pubs.usgs.gov/of/2007/1158/ ). The second report (Hayward and others, 2010) included dune fields from lat 60° N. to 90° N. ( http://pubs.usgs.gov/of/2010/1170/ ). This report encompasses ~75,000 km 2 of mapped dune fields from lat 60° to 90° S. The dune fields included in this global database were initially located using Mars Odyssey Thermal Emission Imaging System (THEMIS) Infrared (IR) images. In the previous two reports, some dune fields may have been unintentionally excluded for two reasons: (1) incomplete THEMIS IR (daytime) coverage may have caused us to exclude some moderate- to large-size dune fields or (2) resolution of THEMIS IR coverage (100 m/pixel) certainly caused us to exclude smaller dune fields. In this report, mapping is more complete. The Arizona State University THEMIS daytime IR mosaic provided complete IR coverage, and it is unlikely that we missed any large dune fields in the South Pole (SP) region. In addition, the increased availability of higher resolution images resulted in the inclusion of more small (~1 km 2 ) sand dune fields and sand patches. To maintain consistency with the previous releases, we have identified the sand features that would not have been included in earlier releases. While the moderate to large dune fields in MGD 3 are likely to constitute the largest compilation of sediment on the planet, we acknowledge that our database excludes numerous small dune fields and some moderate to large dune fields as well. Please note that the absence of mapped dune fields does not mean that dune fields do not exist and is not intended to imply a lack of saltating sand in other areas. Where availability and quality of THEMIS visible (VIS), Mars Orbiter Camera (MOC) narrow angle, Mars Express High Resolution Stereo Camera, or Mars Reconnaissance Orbiter Context Camera and High Resolution Imaging Science Experiment images allowed, we classified dunes and included some dune slipface measurements, which were derived from gross dune morphology and represent the approximate prevailing wind direction at the last time of significant dune modification. It was beyond the scope of this report to look at the detail needed to discern subtle dune modification. It was also beyond the scope of this report to measure all slipfaces. We attempted to include enough slipface measurements to represent the general circulation (as implied by gross dune morphology) and to give a sense of the complex nature of aeolian activity on Mars. The absence of slipface measurements in a given direction should not be taken as evidence that winds in that direction did not occur. When a dune field was located within a crater, the azimuth from crater centroid to dune field centroid was calculated, as another possible indicator of wind direction. Output from a general circulation model is also included. In addition to polygons locating dune fields, the database includes ~700 of the THEMIS VIS and MOC images that were used to build the database.

Open-File Report

Archive of bathymetry and backscatter data collected in 2014 nearshore Breton and Gosier Islands, Breton National Wildlife Refuge, Louisiana

As part of the Barrier Island Monitoring Project, scientists from the U.S. Geological Survey (USGS) St. Petersburg Coastal and Marine Science Center conducted nearshore geophysical surveys off Breton and Gosier Islands, Louisiana, in July and August of 2014. To assist the United States Fish and Wildlife Service (USFWS) with restoration planning efforts, the USGS was tasked with answering fundamental questions about the physical environment of the southern Chandeleur Islands, including the geology, morphology, and oceanography. Baseline data needed to answer these questions were either insufficient or missing. The USGS conducted a comprehensive geologic investigation in the summer of 2014, collecting geophysical and sedimentological data. Breton Island, located at the southern end of the Chandeleur Island chain in southeastern Louisiana, was recognized as a natural, globally significant nesting sanctuary for several bird species and was established as the Breton National Wildlife Refuge (NWR) in 1904. The areal extent of Breton Island has diminished 90 percent since 1920. Land loss is attributed to ongoing relative sea-level rise, diminished sediment supply, and storm impacts. The bird population on Breton Island has also declined over the years, most notably after Hurricane George in 1998 and after Hurricane Katrina in 2015; the latter completely submerged the island. Despite decreasing habitable acreage, migratory seabirds continue to return and nest on Breton Island. To prevent the island from being submerged in the future, and to protect, stabilize, and provide more nesting and foraging areas for the bird population, the USFWS proposed a restoration effort to rebuild Breton Island to its pre-Katrina footprint. This data series serves as an archive of processed interferometric swath and single-beam bathymetry data, and side-scan sonar data, collected in the nearshore of Breton and Gosier Islands, NWR, Louisiana. The data were collected during two USGS cruises (USGS Field Activity Numbers 2014-314-FA and 2014-317-FA) in July and August 2014. Geographic information system data products include a 100-meter-cell-size interpolated bathymetry grid, trackline maps, and point data files. Additional files include error analysis maps, Field Activity Collection System logs, and formal Federal Geographic Data Committee metadata. NOTE: These data are scientific in nature and are not to be used for navigation. Any use of trade names is for descriptive purposes only and does not imply endorsement by the U.S. Government.

Louisiana

U.S. Geological Survey Streamgage Operation and Maintenance Cost Evaluation...from the National Streamflow Information Program

To help meet the goal of providing earth-science information to the Nation, the U.S. Geological Survey (USGS) operates and maintains the largest streamgage network in the world, with over 7,600 active streamgages in 2010. This network is operated in cooperation with over 850 Federal, tribal, State, and local funding partners. The streamflow information provided by the USGS is used for the protection of life and property; for the assessment, allocation, and management of water resources; for the design of roads, bridges, dams, and water works; for the delineation of flood plains; for the assessment and evaluation of habitat; for understanding the effects of land-use, water-use, and climate changes; for evaluation of water quality; and for recreational safety and enjoyment. USGS streamgages are managed and operated to rigorous national standards, allowing analyses of data from streamgages in different areas and spanning long time periods, some with more than 100 years of data. About 90 percent of USGS streamgages provide streamflow information real-time on the web. Physical measurements of streamflow are made at streamgages multiple times a year, depending on flow conditions, to ensure the highest level of accuracy possible. In addition, multiple reviews and quality assurance checks are performed before the data is finalized. In 2006, the USGS reviewed all activities, operations, equipment, support, and costs associated with operating and maintaining a streamgage program (Norris and others, 2008). A summary of the percentages of costs associated with activities required to operate a streamgage on an annual basis are presented in figure 1. This information represents what it costs to fund a 'typical' USGS streamgage and how those funds are utilized. It should be noted that some USGS streamgages have higher percentages for some categories than do others depending on location and conditions. Forty-one percent of the funding for the typical USGS streamgage is for labor costs of the USGS staff responsible for the measurement of the streamflow in the field and the time in the office to quality assure and finalize the data. It is reasonable that funding for the entire national streamgage network would closely follow the percentages shown in figure 1 as to how the funds are invested in the network. However, actual costs are specific to a particular streamgage and can vary substantially depending on location and operational issues.

Fact Sheet

Methods of analysis by the U.S. Geological Survey National Water Quality Laboratory-Processing, taxonomy, and quality control of benthic macroinvertebrate samples

Qualitative and quantitative methods to process benthic macroinvertebrate (BMI) samples have been developed and tested by the U.S. Geological Survey?s National Water Quality Laboratory Biological Group. The qualitative processing method is based on visually sorting a sample for up to 2 hours. Sorting focuses on attaining organisms that are likely to result in taxonomic identifications to lower taxonomic levels (for example, Genus or Species). Immature and damaged organisms are also sorted when they are likely to result in unique determinations. The sorted sample remnant is scanned briefly by a second person to determine if obvious taxa were missed. The quantitative processing method is based on a fixed-count approach that targets some minimum count, such as 100 or 300 organisms. Organisms are sorted from randomly selected 5.1- by 5.1-centimeter parts of a gridded subsampling frame. The sorted remnant from each sample is resorted by a second individual for at least 10 percent of the original sort time. A large-rare organism search is performed on the unsorted remnant to sort BMI taxa that were not likely represented in the sorted grids. After either qualitatively or quantitatively sorting the sample, BMIs are identified by using one of three different types of taxonomic assessment. The Standard Taxonomic Assessment is comparable to the U.S. Environmental Protection Agency Rapid Bioassessment Protocol III and typically provides Genus- or Species-level taxonomic resolution. The Rapid Taxonomic Assessment is comparable to the U.S. Environmental Protection Agency Rapid Bioassessment Protocol II and provides Familylevel and higher taxonomic resolution. The Custom Taxonomic Assessment provides Species-level resolution whenever possible for groups identified to higher taxonomic levels by using the Standard Taxonomic Assessment. The consistent use of standardized designations and notes facilitates the interpretation of BMI data within and among water-quality studies. Taxonomic identifications are quality assured by verifying all referenced taxa and randomly reviewing 10 percent of the taxonomic identifications performed weekly by Biological Group taxonomists. Taxonomic errors discovered during this review are corrected. BMI data are reviewed for accuracy and completeness prior to release. BMI data are released phylogenetically in spreadsheet format and unprocessed abundances are corrected for laboratory and field subsampling when necessary.

Open-File Report

Volcano hazards in the San Salvador region, El Salvador

San Salvador volcano is one of many volcanoes along the volcanic arc in El Salvador (figure 1). This volcano, having a volume of about 110 cubic kilometers, towers above San Salvador, the country’s capital and largest city. The city has a population of approximately 2 million, and a population density of about 2100 people per square kilometer. The city of San Salvador and other communities have gradually encroached onto the lower flanks of the volcano, increasing the risk that even small events may have serious societal consequences. San Salvador volcano has not erupted for more than 80 years, but it has a long history of repeated, and sometimes violent, eruptions. The volcano is composed of remnants of multiple eruptive centers, and these remnants are commonly referred to by several names. The central part of the volcano, which contains a large circular crater, is known as El Boquerón, and it rises to an altitude of about 1890 meters. El Picacho, the prominent peak of highest elevation (1960 meters altitude) to the northeast of the crater, and El Jabali, the peak to the northwest of the crater, represent remnants of an older, larger edifice. The volcano has erupted several times during the past 70,000 years from vents central to the volcano as well as from smaller vents and fissures on its flanks [1] (numerals in brackets refer to end notes in the report). In addition, several small cinder cones and explosion craters are located within 10 kilometers of the volcano. Since about 1200 A.D., eruptions have occurred almost exclusively along, or a few kilometers beyond, the northwest flank of the volcano, and have consisted primarily of small explosions and emplacement of lava flows. However, San Salvador volcano has erupted violently and explosively in the past, even as recently as 800 years ago. When such eruptions occur again, substantial population and infrastructure will be at risk. Volcanic eruptions are not the only events that present a risk to local communities. Another concern is a landslide and an associated debris flow (a watery flow of mud, rock, and debris--also known as a lahar) that could occur during periods of no volcanic activity. An event of this type occurred in 1998 at Casita volcano in Nicaragua when extremely heavy rainfall from Hurricane Mitch triggered a landslide that moved down slope and transformed into a rapidly moving debris flow that destroyed two villages and killed more than 2000 people. Historical landslides up to a few hundred thousand cubic meters in volume have been triggered on San Salvador volcano by torrential rainstorms and earthquakes, and some have transformed into debris flows that have inundated populated areas down stream. Destructive rainfall- and earthquake-triggered landslides and debris flows on or near San Salvador volcano in September 1982 and January 2001 demonstrate that such mass movements in El Salvador have also been lethal. This report describes the kinds of hazardous events that occur at volcanoes in general and the kinds of hazardous geologic events that have occurred at San Salvador volcano in the past. The accompanying volcano-hazards-zonation maps show areas that are likely to be at risk when hazardous events occur again.

San Salvador

Depositional setting, petrology and chemistry of Permian coals from the Paraná Basin: 2. South Santa Catarina Coalfield, Brazil

In Brazil economically important coal deposits occur in the southern part of the Paraná Basin, where coal seams occur in the Permian Rio Bonito Formation, with major coal development in the states of Rio Grande de Sul and Santa Catarina. The current paper presents results on sequence stratigraphic interpretation of the coal-bearing strata , and petrological and geochemical coal seam characterization from the South Santa Catarina Coalfield, Paraná Basin. In terms of sequence stratigraphic interpretation the precursor mires of the Santa Catarina coal seams formed in an estuarine-barrier shoreface depositional environment , with major peat accumulation in a high stand systems tract (Pre-Bonito and Bonito seams), a lowstand systems tract (Ponta Alta seam, seam A, seam B) and a transgressive systems tract (Irapuá, Barro Branco and Treviso seams). Seam thicknesses range from 1.70 to 2.39 m, but high proportions of impure coal (coaly shale and shaley coal), carbonaceous shale and partings reduce the net coal thickness significantly. Coal lithoypes are variable, with banded coal predominant in the Barro Branco seam, and banded dull and dull coal predominantly in Bonito and Irapuá seams, respectively. Results from petrographic analyses indicate a vitrinite reflectance range from 0.76 to 1.63 %Rrandom (HVB A to LVB coal). Maceral group distribution varies significantly, with the Barro Branco seam having the highest vitrinite content (mean 67.5 vol%), whereas the Irapuá seam has the highest inertinite content (33.8 vol%). Liptinite mean values range from 7.8 vol% (Barro Branco seam) to 22.5 vol% (Irapuá seam). Results from proximate analyses indicate for the three seams high ash yields (50.2 – 64.2 wt.%). Considering the International Classification of in-Seam Coals, all samples are in fact classified as carbonaceous rocks (> 50 wt.% ash). Sulfur contents range from 3.4 to 7.7 wt.%, of which the major part occurs as pyritic sulfur. Results of X-ray diffraction indicate the predominance of quartz and kaolinite (also pyrite). Gypsum , gibbsite , jarosite and calcite were also identified in some samples. Feldspar was noted but is rare. The major element distribution in the three seams (coal basis) is dominated by SiO 2 (31.3 wt.%, mean value), Al 2 O 3 (14.5 wt.%, mean value) and Fe 2 O 3 (6.9 wt.%, mean value). Considering the concentrations of trace elements that are of potential environmental hazards the Barro Branco, Bonito and Irapuá seams (coal base) are significantly enriched in Co (15.7 ppm), Cr (54.5 ppm), Li (59.3 ppm), Mn (150.4 ppm), Pb (58.0 ppm) and V (99.6 ppm), when compared to average trace elements contents reported for U. S. coals. Hierarchical cluster analysis identified, based on similarity levels, three groups of major elements and seven groups of trace elements. Applying discriminant analyses using trace and major element distribution, it could be demonstrated that the three seams from Santa Catarina show distinct populations in the discriminant analyses plots, and also differ from the coals of Rio Grande do Sul analyzed in a previous study.

Santa Catarina

Structured decision-making workshop: Chronic wasting disease management in free-ranging cervids in Massachusetts

This document describes the results of a 2.5-day rapid decision prototype workshop that evaluated management activities for chronic wasting disease (CWD) in Massachusetts (MA) that were either proactive (i.e., actions taken prior to CWD arrival/detection) or reactive (i.e., actions taken after CWD arrival/detection). The workshop was led by members of the Wildlife Section of the MA Division of Fisheries and Wildlife (hereafter referred to as MassWildlife) and included a group of agency communications specialists and district managers. U. S. Geological Survey staff and a volunteer acted as decision facilitators and led the analysis of the decision. Chronic wasting disease is an always fatal neurological disease that has spread across much of North America and threatens the health of deer populations in locations where it occurs (reviewed by Escobar et al. 2020). CWD can spread into new areas via two general mechanisms: (1) natural spread (e.g., dispersal of CWD-infected male white-tailed deer [Odocoileus virginianus]), and (2) anthropogenic spread (e.g., CWD spread facilitated by human intervention; Leiss et al. 2017, Escobar et al. 2020). Once CWD arrives in a state, natural resources agencies spend eight times more on CWD than agencies with no known cases; to cover these new CWD-related management activities, the natural resources agencies are typically forced to reallocate money from existing conservation priorities (Chiavacci, 2022). As of May 2024, there were 34 U.S. states and five Canadian provinces that had detected CWD positive free-ranging and/or captive animals in the family Cervidae (collectively referred to as ‘cervid’ hereafter), and the number of new states/provinces that are detecting CWD for the first time continues to grow (U. S. Geological Survey, May 2024). As of February 2024, the closest CWD positive state to MA with CWD detected in free-ranging white-tailed deer is Pennsylvania. To date, there have been no detections of CWD in MA, but testing has been limited in MA since 2012. The growing number of CWD positive states suggests that there may be increasing risk of CWD entering and establishing in MA as the number of CWD cases increases across North America. According to a 2023 survey of hunters in MA conducted by MassWildlife, 68% of hunters were concerned about CWD entering MA, and 88% of respondents said that it was at least moderately important to keep CWD out of MA; these survey results indicate that most hunters may support CWD risk reduction actions (Martin Feehan, Massachusetts Division of Fisheries and Wildlife, oral communication, 12 Feb 2024). In addition, 23.1% of responding deer hunters in MA have hunted for cervids in CWD-positive states/provinces in the last five years (not including states/provinces that have been able to successfully eradicate CWD following a positive detection). Participants of the survey were also asked, “how many deer have you harvested that tested positive for CWD?”. A total of three respondents said that they had one deer test positive for CWD, which, when extended to the whole population of MA deer hunters, results in an estimated 32 CWD positive deer harvested in CWD-positive states and imported into MA in the last five years. When asked about how they transport harvested deer from out of state into MA, the three participants indicated either “already processed & packaged” or “not applicable.” Note, that in MA, it is a violation of regulation to import whole carcasses or high-risk parts (e.g., head, brain, spinal tissues, bones) of any member of the Cervidae family (wild or captive) from a state/province that has detected CWD; it is legal to bring in deboned meat, cleaned skull caps, hides without the head, or a fixed taxidermy mount (Massachusetts Division of Fisheries and Wildlife, 2024a). To date, testing for CWD has been limited in MA since 2012. However, the data collected from the 2023 MA hunter survey suggests that there is a real risk of CWD being imported by a MA resident who has hunted in a CWD positive state. Therefore, given the higher costs of CWD management post arrival, the potential natural spread of CWD from nearby states, and the risk of CWD introduction via humanmediated cervid movement, MassWildlife is motivated to take actions that minimize the risk of CWD introduction and spread in MA with the ultimate goal of managing thriving wildlife populations and maximizing hunter and general public satisfaction, which are both parts of the MassWildlife mission. A 2.5-day rapid prototyping structured decision making workshop was held with MassWildlife staff to develop a decision framework for CWD management in MA. During the workshop, we defined the context and extent of CWD management activities in MA. Next, we identified four fundamental objectives that help achieve the mission of MassWildlife and that address stakeholder concerns. The fundamental objectives included: (1) maximizing hunter satisfaction and participation, (2) maximizing public satisfaction (non-consumptive), (3) maximizing health and sustainability of cervids, and (4) maximizing the efficiency of CWD management. Then, we generated a list of five alternatives (i.e., strategies) that varied the intensity of proactive and reactive actions. The five strategies were: (1) minimal proactive and minimal reactive actions, (2) intermediate proactive and intermediate reactive actions, (3) intensive proactive and intermediate reactive actions, (4) minimal proactive and intensive reactive actions, and (5) intensive proactive and intensive reactive actions. Lastly, we estimated the performance of each strategy on the fundamental objectives and assessed the overall performance of strategies relative to one another. We did so by first estimating the consequences of each alternative strategy on fundamental objectives using expert elicitation, and then, we elicited objective weights from MassWildlife staff to incorporate the relative importance of different fundamental objectives. Given that it is unknown when CWD will arrive in MA, we evaluated the performance of alternative strategies against fundamental objectives given three distinct scenarios for time to arrival of CWD: introduction in 2.5, 7.5, or 10+ years. The preliminary results of the rapid prototype indicate that the performance of the CWD management strategies that we evaluated depends on when CWD first arrives in MA. If CWD were to arrive in 2.5 or 7.5 years from now (February, 2024), then the ‘minimal proactive and minimal reactive’ strategy performs the best on both the deer population and cost fundamental objectives (fundamental objectives 3 & 4), but the ‘intensive proactive and intensive reactive’ strategy performs best on both of the human dimensions fundamental objectives (fundamental objectives 1 & 2) as well as the minimize CWD prevalence objective (also related to fundamental objective 3). We also found that public trust is likely to remain high across all five alternative strategies if CWD arrives after year 10, but public trust decreases if CWD arrives in year 2.5 or 7.5. After incorporating objective weights, we found that in scenarios where CWD arrives in the near-term (in years 2.5 or 7.5), an intermediate strategy (e.g., ‘intermediate proactive and intermediate reactive’ or ‘intensive proactive and intermediate reactive’) performed best, and the ‘minimal proactive and intensive reactive’ strategy performed worst. Conversely, if CWD were to arrive after 10 years, then the ‘minimal proactive and minimal reactive’ and ‘minimal proactive and intensive reactive’ strategies performed best. Collectively, these results suggest that the decision on which alternative strategy to employ is sensitive to when CWD arrives in MA. Following the discussion of the preliminary results, we identified the following four next steps. First, we discussed how a more detailed communications plan is needed and would likely alter the performance estimates of the alternative strategies on fundamental objectives 1 & 2, which were hunter and public satisfaction, respectively. The development of the communication plan would likely be easier once the alternative actions have been identified along with the audience and message. Second, a surveillance plan could be a useful tool to inform CWD management. Surveillance for CWD was performed in MA annually from 2002 to 2012 (n = 4,356 wild white-tailed deer and moose [Alces alces] samples). Limited surveillance was conducted from 2013 to 2022; and in 2023, 242 wild samples were collected. It is not clear whether MA needs a robust or minimal surveillance plan (e.g., is a minimal surveillance plan enough to detect the pathogen at the threshold that would trigger action?), or what type of invasion event the surveillance plan should target (e.g., natural vs anthropogenic spread events). The use of decision trees and a formal risk assessment may help answer these questions. Third, some of the elicited estimates from experts during this rapid prototype could be replaced with empirical data. Lastly, given that the decision was sensitive to when CWD arrived in MA and a surveillance plan would rely on the mode of introduction, forecasting and predicting the CWD invasion front and/or the likelihood of different incursion events across MA would provide valuable insights.

Massachusetts

Trends In Nutrient and Sediment Concentrations and Loads In Major River Basins of the South-Central United States, 1993-2004

Nutrient and sediment data collected at 115 sites by Federal and State agencies from 1993 to 2004 were analyzed by the U.S. Geological Survey to determine trends in concentrations and loads for selected rivers and streams that drain into the northwestern Gulf of Mexico from the south-central United States, specifically from the Lower Mississippi, Arkansas-White-Red, and Texas-Gulf Basins. Trends observed in the study area were compared to determine potential regional patterns and to determine cause-effect relations with trends in hydrologic and human-induced factors such as nutrient sources, streamflow, and implementation of best management practices. Secondary objectives included calculation of loads and yields for the study period as a basis for comparing the delivery of nutrients and sediment to the northwestern Gulf of Mexico from the various rivers within the study area. In addition, loads were assessed at seven selected sites for the period 1980-2004 to give hydrologic perspective to trends in loads observed during 1993-2004. Most study sites (about 64 percent) either had no trends or decreasing trends in streamflow during the study period. The regional pattern of decreasing trends in streamflow during the study period appeared to correspond to moist conditions at the beginning of the study period and the influence of three drought periods during the study period, of which the most extreme was in 2000. Trend tests were completed for ammonia at 49 sites, for nitrite plus nitrate at 69 sites, and for total nitrogen at 41 sites. For all nitrogen constituents analyzed, no trends were observed at half or more of the sites. No regional trend patterns could be confirmed because there was poor spatial representation of the trend sites. Decreasing trends in flow-adjusted concentrations of ammonia were observed at 25 sites. No increasing trends in concentrations of ammonia were noted at any sites. Flow-adjusted concentrations of nitrite plus nitrate decreased at 7 sites and increased at14 sites. Flow-adjusted concentrations of total nitrogen decreased at 2 sites and increased at 12 sites. Improvements to municipal wastewater treatment facilities contributed to the decline of ammonia concentrations at selected sites. Notable increasing trends in nitrite plus nitrate and total nitrogen at selected study sites were attributed to both point and nonpointsources. Trend patterns in total nitrogen generally followed trend patterns in nitrite plus nitrate, which was understandable given that nitrite plus nitrate loads generally were 70-90 percent of the total nitrogen loads at most sites. Population data were used as a surrogate to understand the relation between changes in point sources and nutrient trends because data from wastewater treatment plants were inconsistent for this study area. Although population increased throughout the study area during the study period, there was no observed relation between increasing trends in nitrogen in study area streams and increasing trends in population. With respect to other nitrogen sources, statistical results did suggest that increasing trends in nitrogen could be related to increasing trends in nitrogen from either commercial fertilizer use and/or land application of manure. Loads of ammonia, nitrite plus nitrate, and total nitrogen decreased during the study period, but some trends in nitrogen loads were part of long-term decreases since 1980. For example, ammonia loads were shown to decrease at nearly all sites over the past decade, but at selected sites, these decreasing trends were part of much longer trends since 1980. The Mississippi and Atchafalaya Rivers contributed the highest nitrogen loads to the northwestern Gulf of Mexico as expected; however, nitrogen yields from smaller rivers had similar or higher yields than yields from the Mississippi River. Trend tests were completed for orthophosphorus at 34 sites and for total phosphorus at 52 sites. No trends were observed in abo

Scientific Investigations Report

Characterization of sediment transport upstream and downstream from Lake Emory on the Little Tennessee River near Franklin, North Carolina, 2014–15

Federal, State, and local agencies and organizations have expressed concerns regarding the detrimental effects of excessive sediment transport on aquatic resources and endangered species populations in the upper Little Tennessee River and some of its tributaries. In addition, the storage volume of Lake Emory, which is necessary for flood control and power generation, has been depleted by sediment deposition. To help address these concerns, a 2-year study was conducted in the upper Little Tennessee River Basin to characterize the ambient suspended-sediment concentrations and suspended-sediment loads upstream and downstream from Lake Emory in Franklin, North Carolina. The study was conducted by the U.S. Geological Survey in cooperation with Duke Energy. Suspended-sediment samples were collected periodically, and time series of stage and turbidity data were measured from December 2013 to January 2016 upstream and downstream from Lake Emory. The stage data were used to compute time-series streamflow. Suspended-sediment samples, along with time-series streamflow and turbidity data, were used to develop regression models that were used to estimate time-series suspended-sediment concentrations for the 2014 and 2015 calendar years. These concentrations, along with streamflow data, were used to compute suspended-sediment loads. Selected suspended-sediment samples were collected for analysis of particle-size distribution, with emphasis on high-flow events. Bed-load samples were also collected upstream from Lake Emory. The estimated annual suspended-sediment loads (yields) for the upstream site for the 2014 and 2015 calendar years were 27,000 short tons (92 short tons per square mile) and 63,300 short tons (215 short tons per square mile), respectively. The annual suspended-sediment loads (yields) for the downstream site for 2014 and 2015 were 24,200 short tons (75 short tons per square mile) and 94,300 short tons (292 short tons per square mile), respectively. Overall, the suspended-sediment load at the downstream site was about 28,300 short tons greater than the upstream site over the study period. As expected, high-flow events (the top 5 percent of daily mean flows) accounted for the majority of the sediment load; 80 percent at the upstream site and 90 percent at the downstream site. A similar relation between turbidity (the top 5 percent of daily mean turbidity) and high loads was also noted. In general, when instantaneous streamflows at the upstream site exceeded 5,000 cubic feet per second, increased daily loads were computed at the downstream site. During low to moderate flows, estimated suspended-sediment loads were lower at the downstream site when compared to the upstream site, which suggests that sediment deposition may be occurring in the intervening reach during those conditions. During the high-flow events, the estimated suspended-sediment loads were higher at the downstream site; however, it is impossible to say with certainty whether the increase in loading was due to scouring of lake sediment, contributions from the additional source area, model error, or a combination of one or more of these factors. The computed loads for a one-week period (December 24–31, 2015), during which the two largest high-flow events of the study period occurred, were approximately 52 percent of the 2015 annual sediment load (36 percent of 2-year load) at the upstream site and approximately 72 percent of the 2015 annual sediment load (57 percent of 2-year load) at the downstream site. Six bedload samples were collected during three events; two high-flow events and one base-flow event. The contribution of bedload to the total sediment load was determined to be insignificant for sampled flows. In general, streamflows for long-term streamgages in the study area were below normal for the majority of the study period; however, flows during the last 3 months of the study period were above normal, including the extreme events during the last week of the study period.

North Carolina

U.S. Geological Survey activities related to American Indians and Alaska Natives: Fiscal years 2007 and 2008

In the late 1800s, John Wesley Powell, the second director of the U.S. Geological Survey (USGS), followed his interest in the tribes of the Great Basin and Colorado Plateau and studied their cultures, languages, and surroundings. From that early time, the USGS has recognized the importance of Native knowledge and living in harmony with nature as complements to the USGS mission to better understand the Earth. Combining traditional ecological knowledge with empirical studies allows the USGS and Native American governments, organizations, and people to increase their mutual understanding and respect for this land. The USGS is the earth and natural science bureau within the U.S. Department of the Interior (DOI) and is not responsible for regulations or land management. Climate change is a major current issue affecting Native lives and traditions throughout the United States. Climate projections for the coming century indicate an increasing probability for more frequent and more severe droughts in the Southwest, including the Navajo Nation. Erosion has claimed Native homes in Alaska. Fish have become inedible due to diseases that turn their flesh mushy. Native people who rely on or who are culturally sustained by hunting, fishing, and using local plants are living with climate change now. The traditional knowledge of Native peoples enriches and confirms the work of USGS scientists. The results are truly synergistic-greater than the sum of their parts. Traditional ecological knowledge is respected and increasingly used in USGS studies-when the holders of that knowledge choose to share it. The USGS respects the rights of Native people to maintain their patrimony of traditional ecological knowledge. The USGS studies can help Tribes, Native organizations, and natural resource professionals manage Native lands and resources with the best available unbiased data and information that can be added to their traditional knowledge. Wise Native leaders have noted that traditional ecological knowledge includes the connections between Earth and her denizens. From this perspective, it is the connections among these ?relatives? that needs to be nurtured. This perspective on nature is finding new adherents among Natives and non-Natives as understanding of climate change and other environmental conditions deepens. Although this report uses the term ?resources,? the USGS, through its interdisciplinary research, acknowledges the interconnectedness of the Earth and the things that live upon it.

Circular

Total dissolved gas and water temperature in the lower Columbia River, Oregon and Washington, 2003: Quality-assurance data and comparison to water-quality standards

Significant Findings When water is released through the spillways of dams, air is entrained in the water, increasing the concentration of total dissolved gas. Excess dissolved-gas concentrations can have adverse effects on freshwater aquatic life. The U.S. Geological Survey (USGS), in cooperation with the U.S. Army Corps of Engineers, collected total- dissolved-gas and water-temperature data at seven sites on the lower Columbia River in 2003. Significant findings from the data include: For the seven monitoring sites in water year 2003, an average of 98.9% of the total-dissolved-gas data were received in real time by the USGS satellite downlink and were within 1% saturation of the expected value, based on calibration data, replicate quality-control measurements in the river, and comparison to ambient river conditions at adjacent sites. Most field checks of total-dissolved-gas sensors with a secondary standard were within plus or minus 1% saturation. Field checks of barometric pressure and water temperature were usually within plus or minus 1 millimeter of mercury and plus or minus 0.1 degree Celsius, respectively. The variances to the States of Oregon and Washington water-quality standards for total dissolved gas were exceeded at six of the seven monitoring sites. The sites at Camas and Bonneville forebay had the most days exceeding the variance of 115% saturation. The forebay exceedances may have been the result of the cumulative effects of supersaturated water moving downstream through the lower Columbia River. Apparently, the levels of total dissolved gas did not decrease rapidly enough downstream from the dams before reaching the next site. From mid-July to mid-September, water temperatures were usually above 20 degrees Celsius at each of the seven lower Columbia River sites. According to the Oregon water-quality standard, when the temperature of the lower Columbia River exceeds 20 degrees Celsius, no measurable temperature increase resulting from anthropogenic activities is allowed. Transient increases of about 1 degree Celsius were noted at the John Day forebay site, due to localized solar heating.

Oregon, Washington

Geologic map of the MTM 85080 Quadrangle, Chasma Boreale Region of Mars

The polar deposits on Mars probably record martian climate history over the last 107 to 109 years (for example, Thomas and others, 1992). The area shown on this map includes polar layered deposits and polar ice, as well as some outcrops of older, underlying terrain. This quadrangle was mapped using Viking Orbiter images in order to study the relations among erosional and depositional processes on the north polar layered deposits and to compare them with the results of previous 1:500,000-scale mapping of the south polar layered deposits. Published geologic maps of the north polar region of Mars are based on images acquired by Mariner 9 and the Viking Orbiters. The extent of the layered deposits and other units varies among previous maps, in particular within Chasma Boreale. The present map agrees most closely with the map by Dial and Dohm (1994): the mantle material is exposed farther north than mapped by Tanaka and Scott (1987). The polar ice cap, areas of partial frost cover, the layered deposits, and two nonvolatile surface units-dust mantle and dark material-were mapped in the south polar region by Herkenhoff and Murray (1990a) at 1:2,000,000 scale using a color mosaic of Viking Orbiter images. Viking Orbiter rev 726, 768, and 771 color mosaics (taken during the northern summer of 1978) were constructed and used to identify similar color/albedo units in the north polar region, including the dark, saltating material that appears to have sources within the layered deposits. However, no dark material has been recognized in this map area. No significant difference in color exists between the layered deposits and the mantle material mapped by Dial and Dohm (1994), indicating that they are either composed of the same materials or are both covered by eolian debris. Therefore, in this map area the color mosaics are most useful for identifying areas of partial frost cover. Because the resolution of the color mosaics is not sufficient to map the color/albedo units in detail at 1:500,000-scale, contacts between them were recognized and mapped using higher resolution black-and-white Viking Orbiter images. The Viking Orbiter 2 images used to construct the map base were taken during the northern summer of 1976 (mostly Ls=133?-135?), with resolutions typically around 60 m/pixel. As noted on the published base, errors of up to 5 km exist in the placement of images in the base map; such errors are evident upon comparison of sheet 1 (summer) and sheet 2 (spring). Therefore, a new photomosaic base was created during map production and the linework was edited to match the new base. No craters have been found in the north polar layered deposits or polar ice cap. The observed lack of craters larger than 300 m implies that the surfaces of these units are no more than 100,000 years old or that they have been resurfaced at a rate of at least 2.3 mm/yr. The recent cratering flux on Mars is poorly constrained, so inferred resurfacing rates and ages of surface units are uncertain by at least a factor of 2.

IMAP

Annotated bibliography of scientific research on Ventenata dubia published from 2010 to 2020

Integrating recent science into management decisions supports effective natural resource management and can lead to better resource outcomes. However, finding and accessing science information can be time consuming and costly. To assist in this process, the U.S. Geological Survey (USGS) is creating a series of annotated bibliographies on topics of management concern for western lands. Previously published reports introduced a methodology for preparing annotated bibliographies to facilitate the integration of recent, peer-reviewed science into resource management decisions. Therefore, relevant text from those efforts is reproduced here to frame the presentation. Invasive annual grasses are widely distributed throughout the western United States and threaten native ecosystems by altering fire regimes, replacing native plants, and altering grazing patterns, often with tremendous associated costs. One invasive annual grass, Ventenata dubia (hereafter, ventenata), was first introduced to the United States in the 1950s and has recently been identified as a management concern. Ventenata has a wide native geographic range, from Africa to northern Europe, and could thus potentially spread widely in the United States if left unmanaged. We compiled and summarized peer-reviewed journal articles, government reports, and data products on ventenata published between January 1, 2010, and August 27, 2020. We first conducted a systematic search of three reference databases and three government databases using the search phrase: “ventenata” OR “Ventenata dubia.” We refined the initial list of products by removing (1) duplicates, (2) products not written in English, (3) publications that were not focused in North America, (4) publications that were not published as research, data products, or scientific review articles in peer-reviewed journals or as formal technical reports, and (5) products for which ventenata was not a research focus or for which the study did not present new data or findings about ventenata. We summarized each product using a consistent structure (background, objectives, methods, location, findings, and implications) and identified the management topics (for example, species and population characteristics, habitat, control and management efforts) addressed by each product. We also noted which publications included new geospatial data. The review process for this annotated bibliography included an initial internal colleague review of each summary, requesting input on each summary from an author of the original publication, and a formal peer review. Our initial searches resulted in 505 total products, of which 29 met our criteria for inclusion. Nonnative invasive plants; weed management; behavior or demographics; dispersal, spread, vectors and pathways; site-scale habitat characteristics; survival; and weed management subtopic: herbicides were the management topics most commonly addressed. The online version of this annotated bibliography will be searchable by topic, location, and year; it will also include links to each original publication, where available. The studies compiled and summarized here may inform planning and management actions that seek to maintain and restore landscapes and control nonnative invasive species across the western United States.

Open-File Report

Water quality of Rob Roy Reservoir and Lake Owen, Albany County, and Granite Springs and Crystal Lake Reservoirs, Laramie County, Wyoming, 1997-98

The water quality of four reservoirs was assessed during 1997 and 1998 as a cooperative project between the Cheyenne Board of Public Utilities and the U. S. Geological Survey. The four reservoirs, Rob Roy, Lake Owen, Granite Springs, and Crystal Lake, provide approximately 75 percent of the public water supply for Cheyenne, Wyoming. Samples of water and bottom sediment were collected and analyzed for selected physical, chemical, and biological characteristics to provide data about the reservoirs. Water flows between the reservoirs through a series of pipelines and stream channels. The reservoirs differ in physical characteristics such as elevation, volume, and depth. Profiles of temperature, dissolved oxygen, specific conductance, and pH were examined. Three of the four reservoirs exhibited stratification during the summer. The profiles indicate that stratification develops in all reservoirs except Lake Owen. Stratification developed in Rob Roy, Granite Springs, and Crystal Lake Reservoirs by mid-July in 1998 and continued until September, with the thickness of the epilimnion increasing during that time. Secchi disk readings indicated Rob Roy Reservoir had the clearest water of the four reservoirs studied. The composition of the phytoplankton community was different in the upper two reservoirs from that in the lower two reservoirs. Many of the species found in Rob Roy Reservoir and Lake Owen are associated with oligotrophic, nutrient-poor conditions. In contrast, many of the species found in Granite Springs and Crystal Lake Reservoirs are associated with mesotrophic or eutrophic conditions. The total number of taxa identified also increased downstream. The chemical water type in the reservoirs was similar, but dissolved-solids concentrations were greater in the downstream reservoirs. Water in all four reservoirs was a calcium-bicarbonate type. In the fall of 1997, Rob Roy Reservoir had the lowest dissolved-solids concentration (19 milligrams per liter), whereas Crystal Lake Reservoir had the highest concentration (63 milligrams per liter). Relatively little differences in the concentrations of major-ion species were noted between samples collected near the surface and near the bottom of the same reservoir. In contrast, iron and manganese concentrations generally were higher in samples collected near the bottom of a reservoir than in near-surface samples collected from the same reservoir. Composite bottom-sediment samples from all four reservoirs contained similar concentrations of bulk constituents such as aluminum, iron, phosphorus and titanium, but varied in concentrations of trace elements. Trace-element concentrations in Rob Roy Reservoir and Lake Owen were similar to the crustal average, whereas in Granite Springs and Crystal Lake Reservoirs the concentrations were similar to granitic rocks.

Wyoming

Cerro Prieto geothermal field, Mexico; chemical analyses and other data for 58 samples collected in 1977-1979

This report releases the results of selected chemical analyses by the USGS of fluids collected from geothennal power production wells at the Cerro Prieto Geothennal Field, Mexico. Cerro Prieto, the world's largest producing hot-water geothennal field, is located 32 km southeast of Mexicali, Baja California. Comision Federal de Electricidad de Mexico (CFE) gave permission for, and assisted in, sample collection. Data collection and reported analyses was made by the U.S. Geological Survey. Data collected in 1977 and 1978 where published previously by Ball and Jenne (1983) which was about half the data given here. This report also includes samples collected in 1979 which were not previously released. These activities, including this data release, are supported by the U.S. Department of Energy. Analyses given in the following section were made by James W. Ball and E.A. Jenne. The data have been reviewed with the assistance of Cathy Janik, USGS, Menlo Park. Some, but not all, details from Ball and Jenne (1983) concerning collection, and preservation and analytical procedures are repeated here. Nehring and Trusdell (1977) also provide an outline of some of the issues involved in the difficult task of collecting samples from geothermal wells. The initial intent of the study was to provide basic data for use in determining how these fluids should be managed either in disposal or in reinjection. Some of the hot, corrosive brines were separated as two-phase (water and steam) samples under pressure using a coiled condenser tube submerged in an ice/water mixture (called "condensed" samples). It is not known if these were total flow samples. Other samples were collected from the brine sampling valve of the separators (called "flashed" samples). Analyses given in the following section area sorted by (1) well number, (2) date, and (3) sample type(s). Analysis was by a Spectraspan III d.c. argon plasma emission spectrometer with a Spectraject III torch (Ball and Jenne, 1983). Elements were determined in two groups using interchangeable cassettes. Group one included B, Mn, Cu, Zn, Si, Zr, Be, Mn, Sr, Ti, Ca, Fe, Ba, K, Na, Rb, and Al. Group two included As, Se, Bi, Zn, Cd, Sb, Cu, Ni, Hg, Mo, Co, Cr, Fe, V, Tl, Li, and Pb. Ball and Jenne (1983) noted that analysis of B, Ca, Mg, Ba, and Sr generally gave precise results. Movement of the plasma or grating was observed to affect sensitivity over short time periods even while the instrument was carefully standardized and optimized. Sensitivity was also a function of sample concentration. All samples at the time of analysis contained a white precipitate (perhaps colloidal silica) thus the reported concentrations may not accurately represent the concentrations present at the time of collection (Ball and Jenne, 1983). Additional details about specific elements are given in the section on "Evaluation of data" (Bliss, this volume) following the data table.

Open-File Report

Insights and strategic opportunities from the USGS 2024 Per- and Polyfluoroalkyl Substances (PFAS) Interagency Workshop

Introduction In 2021, the U.S. Geological Survey (USGS) published Circular 1490 titled, “Integrated Science for the Study of Perfluoroalkyl and Polyfluoroalkyl Substances (PFAS) in the Environment: A Strategic Science Vision for the U.S. Geological Survey” (Tokranov and others, 2021). Circular 1490 was created to be a resource for USGS scientists prioritizing and planning research related to per- and polyfluoroalkyl substances (PFAS) and to be a guide for developing partnerships with other scientists, State and Federal agencies, and stakeholders engaged in PFAS research and management and mitigation of the environmental and human-health effects of PFAS. This USGS PFAS Strategic Science Vision document was intended to be the foundation for a “living strategic vision,” periodically providing updates on the state of USGS PFAS research, emerging PFAS data gaps and needs, and progress on interagency and stakeholder PFAS partnerships and priorities. To meet this objective, the USGS planned to host an Interagency and Stakeholder PFAS Workshop every 2–3 years. During September 10–12, 2024, the USGS hosted the first Interagency and Stakeholder PFAS Workshop in Reston, Virginia. The Workshop brought together experts from other Federal agencies (U.S. Environmental Protection Agency, National Institute of Environmental Health Sciences, Food and Drug Administration, Department of Defense [Air Force, Army]), State agencies (Washington Fish and Wildlife, Virginia Department of Transportation), and academia (Harvard University, University of Maryland) to address key challenges relating to the measurement and modeling of PFAS and the implications for environmental health. Participants engaged in in-depth discussions centered around six pivotal topics related to PFAS: (1) sampling protocols, methods and interpretation; (2) environmental sources, source apportionment, and occurrence; (3) environmental fate and transport; (4) human and wildlife exposure routes and risk; (5) bioconcentration, bioaccumulation, and biomagnification; and (6) ecotoxicology and effects. Each topic had three breakout sessions. A recurrent theme of workshop discussions was how data on a nationwide scale for PFAS occurrence in various environmental matrices, including air, water, food crops, biota, soil, and streambed sediment could help to advance scientific understanding. Participants noted significant geospatial data gaps, particularly in the midwestern and southern United States and the Pacific Northwest. PFAS data collection tends to be more robust along the eastern seaboard and in California. Participants stressed how enhancing the integration of large and small datasets across various agencies could help to support national scale understanding of PFAS. To address these gaps, attendees suggested leveraging datasets from Federal entities like the USGS and the U.S. Department of Defense, State agencies, and municipal utility services to develop predictive contaminant detection and transport models. Improved coordination between water quality programs and USGS research could help to facilitate access to valuable data, leading to comprehensive databases that inform PFAS point (wastewater treatment plants and landfills) and nonpoint (runoff from land, atmospheric deposition, food packaging) sources, environmental transport mechanisms, environmental detection and concentrations, potential exposure routes, and health effects on different biota, including humans. A specific request was made to develop a map demarking the depth of modern (1953 or later) groundwater, which is susceptible to surface-derived anthropogenic (that is, human-made) contamination, based on tritium-age dating. Emphasis was placed on incorporation of hydrology, groundwater flow paths, groundwater–surface water interactions, and landscape factors in predictive statistical models as a step to improve contaminant source identification and tracking. Molecular fingerprinting approaches garnered attention as techniques to link specific PFAS mixtures detected in a sample to environmental sources and levels in biota (Dávila-Santiago and others, 2022). Integrating data from abiotic (that is, water, soil, and air) and biotic (that is, living organisms) systems identified as a research opportunity. For example, understanding the composition of soils and sediments, which include a mixture of mineral, plant, and animal components, could advance understanding of exposure pathways. The discussions highlighted opportunities to explore and understand the potential redistribution and biotic exposures of PFAS from biosolid and wastewater treatment plant effluent land application practices, in addition to atmospheric releases and discharges from landfill and wastewater treatment plants. Participants identified research gaps surrounding how these sources may contribute to contamination and may affect surrounding ecosystems, including a better definition of anthropogenic background concentrations. Moving forward, the collection of co-occurrence data was noted as a means to improve understanding of complex mixtures and to leverage companion modeling efforts focused on areas with high and low contamination levels to identify areas of concern and unaffected resources. Participants emphasized how centralized USGS databases and the establishment of sample-metadata archives can help to ensure that samples are preserved and accessible for future research. In conclusion, the workshop participants identified opportunities to bridge data gaps and improve measurement techniques, modeling frameworks, databases, and communication, to enhance the understanding of PFAS and their effects on environmental and human health. Upon completion of the workshop, participants indicated an interest in developing strategic data collection, modeling, and analytical approaches to address these challenges.

Open-File Report

Notes on the early history of water-well drilling in the United States

The standard cable-tool drilling rig was invented and developed in drilling salt wells in the West Virginia-Ohio-Pennsylvania region during the twenty years following the successful completion of the first drilled well in 1808 by the Ruffnet brothers at the Great Buffalo Lick near Charleston, West Virginia. Some time previous to 1823, Levi Disbrow studied the drilling methods used in the western salt industry and came east to become the first professional water well driller in the states north of the Potomac River. Possibly the first artesian water well in the United States was constructed in 1820 in Charleston, South Carolina, by sinking an iron pipe through a clay bed. Auger boring for artesian water appears to have been first used in Charleston, South Carolina, in 1823; however, the first successful auger-bored well was not completed in that city until after 1825. The drilling methods and tools were copied from a description of a well bored in London, England. Between 1821 and 1833 auger boring of artesian wells began in the Black Belt of Alabama and possibly in Mississippi. The process of jetting wells, invented in 1884, became the chief method of sinking artesian wells in the Atlantic and Gulf Coastal Plain by the end of the century. The first successful artesian wells in Georgia and Florida were put down during the period 1880-1882. © 1943 Society of Economic Geologists, Inc.

Economic Geology

Wake Atoll vessel movement biosecurity program efficacy

Executive Summary The purpose of this Wake Atoll Vessel Movement Biosecurity Program Efficacy document is to provide the United States Air Force (USAF) with an unbiased review of the current (2015; hereafter referred to as the 2015 Biosecurity Plan) biosecurity plan for the military base Wake Island Airfield (WIA) on Wake Atoll (hereafter Wake). Periodic reviews are an integral step for evaluating plan efficacy and updating plans with new information for improving plan effectiveness. The U.S. Geological Survey (USGS) acted as an external expert to provide the first unbiased assessment of the program and observe how it was being implemented. The USAF 2015 Wake Island Biosecurity Management Plan goes beyond sea vessel and container biosecurity; however, those aspects were not included in this evaluation. We used several methods for a quality assurance evaluation of the 2015 sea vessel and shipping container biosecurity program specified in the Biosecurity Plan. Our evaluation included real-time observations in Hawai`i and at Wake. We surveyed cargo staging areas and empty shipping containers before supply shipment and the containers, barge, and marina at Wake after shipment. We used various detection tools and techniques (for example, visual encounter surveys, glue boards, chew cards, camera traps, and so on). We carried out an insect mortality experiment trial using one of the required shipping container biosecurity tools (dichlorvos impregnated pest strips). We also included a table-top review of documentation (largely the 2015 Biosecurity Plan) with respect to our observations to provide an assessment of how well the Biosecurity Plan protocols were carried out and how well they serve their intended purpose. We observed biosecurity concerns in each focal area and stage of cargo handling (before and after barge movement) across all surveys of containers, flat racks, break bulk, warehouses, and dock areas. Using visual inspections, we recorded biosecurity concerns for every empty container we inspected before it was to be stuffed with cargo. Most containers had structural integrity issues (such as holes and damaged floorboards) and sanitation concerns, including live animals and plant matter or seeds. About one third of the containers had mold and a few had wet floorboards or standing water. We detected live animals on the break bulk, and flat racks were in poor condition. Next, we inspected cargo staging areas and noted extensive permeability of the building where cargo was staged for the 2018 resupply shipment and the building that had typically been used. We included the adjacent dock area used for staging break bulk, shipping containers and mooring the barge. We detected more than 5,000 individuals of 105 species. We also detected seeds in each location and scattered vegetation in the dock area, including growing in from the area outside separated by a chain link fence. During surveys at Wake, we observed that 100 percent of the shipping containers, including all containers sent with required biosecurity tools, had live animals. The barge had only one unsecured snap trap for intercepting rodents aboard, we saw areas with fairly deep layers of dirt (or soil; we did not examine it to determine its properties), and there was plant matter with seed heads on the barge gangway that could easily be transported onto the barge. There was also only one snap trap station that was improperly placed on the dock. We also observed piled wood and vegetation nearby that could provide refuge to potential stowaway animals escaping. Combined, surveys of the containers, staging areas, barges, and receiving area in Hawai`i and at Wake resulted in detection of more than 9,000 individuals of 131 animal species; nearly 4,000 individuals of 62 species were detected in surveys of containers once they had arrived at Wake. None of the species identified are known to be native to Wake. Our preliminary risk analysis of all species detected included eight species that we scored as high risk of potentially negative effects to biodiversity, infrastructure, or human health should they arrive at Wake and become established. Six of these species were only recorded using tools not clearly required by the Biosecurity Plan or being used to implement the plan. We observed that the required biosecurity tools intended to intercept animals in the cargo staging area did not target the suite nor number of species present. Our analysis also indicated the required biosecurity tools intended to intercept animals in shipping containers were inadequate to handle the volume of organisms that were in the containers. The insect mortality trial experiment showed the pest strips were highly effective for only one of the three species tested, leaving uncertainty about how effective they are across the suite of potential species stowing away in cargo and containers. Base Operating Support (BOS) did not carry out all Biosecurity Plan actions, but we also noted the document uses terminology such as “recommendation” as opposed to “requirement” which may lead contractors to consider those actions as optional. However, USAF provided evidence of BOS training and follow up; this included detailed identification of specific requirements for some of the biosecurity actions that we did not observe being carried out. The 2015 Biosecurity Plan contains critical and useful components that seem to be well carried out. However, we also saw discrepancies, weaknesses, or both across methods and protocols currently used for Wake Atoll biosecurity. We observed shortcomings at each stage of our survey as well as in the plan as written, and we suggest general modifications to the Biosecurity Plan for consideration to potentially strengthen biosecurity overall. Prevention is the most efficient and cost-effective biosecurity measure. Based on our findings, we see possible solutions to improve existing preventative biosecurity efforts and reduce potential incursion at Wake. These potential solutions include creating and implementing the following: Minimum cargo staging area sanitation and permeability standards, Minimum shipping container integrity and sanitation standards, Stand-alone inspection protocols, Inspection checklists, Monitoring protocols, Accountability reporting, Horizon scanning for prioritizing and targeting species of highest concern, Expansion of educational materials and outreach, Schedules for biosecurity plan reviews and updates Management of invasive species enhances capability to protect human health and the environment as well as to advance mission accomplishment. Biosecurity plans are an integral component for addressing invasive species. Periodic evaluation of the efficacy of these plans is useful for identifying elements that are working well and for illuminating those that can be improved. Evaluations encourage consideration of new tools and adaptation of processes to achieve better outcomes and accommodate potential future threats more efficiently and more cost effectively.

Open-File Report