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The effect of fire and permafrost interactions on soil carbon accumulation in an upland black spruce ecosystem of interior Alaska: Implications for post-thaw carbon loss

High‐latitude regions store large amounts of organic carbon (OC) in active‐layer soils and permafrost, accounting for nearly half of the global belowground OC pool. In the boreal region, recent warming has promoted changes in the fire regime, which may exacerbate rates of permafrost thaw and alter soil OC dynamics in both organic and mineral soil. We examined how interactions between fire and permafrost govern rates of soil OC accumulation in organic horizons, mineral soil of the active layer, and near‐surface permafrost in a black spruce ecosystem of interior Alaska. To estimate OC accumulation rates, we used chronosequence, radiocarbon, and modeling approaches. We also developed a simple model to track long‐term changes in soil OC stocks over past fire cycles and to evaluate the response of OC stocks to future changes in the fire regime. Our chronosequence and radiocarbon data indicate that OC turnover varies with soil depth, with fastest turnover occurring in shallow organic horizons (∼60 years) and slowest turnover in near‐surface permafrost (>3000 years). Modeling analysis indicates that OC accumulation in organic horizons was strongly governed by carbon losses via combustion and burial of charred remains in deep organic horizons. OC accumulation in mineral soil was influenced by active layer depth, which determined the proportion of mineral OC in a thawed or frozen state and thus, determined loss rates via decomposition. Our model results suggest that future changes in fire regime will result in substantial reductions in OC stocks, largely from the deep organic horizon. Additional OC losses will result from fire‐induced thawing of near‐surface permafrost. From these findings, we conclude that the vulnerability of deep OC stocks to future warming is closely linked to the sensitivity of permafrost to wildfire disturbance.

Alaska

Carnotite resources of the Spud Patch area, San Miguel County, Colorado

The Spud Patch area comprises about 8 square in T. 43 M., R. 18 and 19 W., San Miguel County, Colo., and is about 4 miles northeast of Egnar, Colo. Claims of the United States Vanadium Co. and the Vanadium Corp. of America cover about half the area. Claims of other owners, public land, and patented agricultural land, comprise the remainder of the area. The area is about 38 miles from the Government mill at Montecello, Utah, and 55 miles from the Vanadium Corp. of America mill at Naturita, Colo. Between 1940 and 1951, the Spud Patch area yielded about 24,000 short tons of carnotite ore that probably averaged 0.21 percent U 3 O 8 and 2.2 percent V 2 O 5 . The deposits are in a broad sandstone lens near the top of the Salt Wash member of the Jurassic Morrison formation. Although the deposits mined have been mainly impregnations of sandstone by carnotite and gray vanadium-bearing clay minerals, some of the richer deposits found by Geological Survey drilling have a finely disseminated black uranium mineral but no carnotite. The deposits commonly are thin irregular tabular layers, which locally thicken to form elongate masses called "rolls". These rolls have a dominant northeasterly trend. Geologic features found to be most useful as guides to ore are listed. From November 1949 to May 1952, the U.S. Geological Survey drilled 415 diamond-drill holes totaling 67,215 feet in the Spud Patch area. The purpose of this drilling was to find deposits that would make new mines and to appraise the reserves in the unexplored area. As a result of Geological Survey drilling, indicated and inferred reserves computed at the cutoff of 1 foot or more thick and 0.10 percent U 3 O 8 or 1.0 percent V 2 O 5 total 20,500 short tons, averaging 0.28 percent U 3 O 8 and 2.1 percent V 2 O 5 . These reserves and those computed at a lower grade cutoff of 0.05 percent U 3 O 8 or 0.50 percent V 2 O 5 and the pounds of contained metal are summarized in table 1. Potential reserves, whose existence is based on geologic evidence alone, are predicted to total about 42,000 short tons, averaging 0.25 percent U 3 O 8 and 2.0 percent V 2 O 5 . No additional exploratory-type drilling by the Geological Survey is planned in the Spud Patch area. Recommendations are offered for additional development-type drilling, preferably by claim owners or lessees in specific areas in the vicinity of deposits discovered by Geological Survey drilling.

Colorado

Land cover characterization and mapping of South America for the year 2010 using Landsat 30 m satellite data

Detailed and accurate land cover and land cover change information is needed for South America because the continent is in constant flux, experiencing some of the highest rates of land cover change and forest loss in the world. The land cover data available for the entire continent are too coarse (250 m to 1 km) for resource managers, government and non-government organizations, and Earth scientists to develop conservation strategies, formulate resource management options, and monitor land cover dynamics. We used Landsat 30 m satellite data of 2010 and prepared the land cover database of South America using state-of-the-science remote sensing techniques. We produced regionally consistent and locally relevant land cover information by processing a large volume of data covering the entire continent. Our analysis revealed that in 2010, 50% of South America was covered by forests, 2.5% was covered by water, and 0.02% was covered by snow and ice. The percent forest area of South America varies from 9.5% in Uruguay to 96.5% in French Guiana. We used very high resolution (<5 m) satellite data to validate the land cover product. The overall accuracy of the 2010 South American 30-m land cover map is 89% with a Kappa coefficient of 79%. Accuracy of barren areas needs to improve possibly using multi-temporal Landsat data. An update of land cover and change database of South America with additional land cover classes is needed. The results from this study are useful for developing resource management strategies, formulating biodiversity conservation strategies, and regular land cover monitoring and forecasting.

Remote Sensing

Conservation of northwestern and southwestern pond turtles: Threats, population size estimates, and population viability analysis

Accurate status assessments of long-lived, widely distributed taxa depend on the availability of long-term monitoring data from multiple populations. However, monitoring populations across large temporal and spatial scales is often beyond the scope of any one researcher or research group. Consequently, wildlife managers may be tasked with utilizing limited information from different sources to detect range-wide evidence of population declines and their causes. When assessments need to be made under such constraints, the research and management communities must determine how to extrapolate from variable population data to species-level inferences. Here, using three different approaches, we integrate and analyze data from the peer-reviewed literature and government agency reports to inform conservation for northwestern pond turtles (NPT) Actinemys marmorata and southwestern pond turtles (SPT) Actinemys pallida . Both NPT and SPT are long-lived freshwater turtles distributed along the west coast of the United States and Mexico. Conservation concerns exist for both species; however, SPT may face more severe threats and are thought to exist at lower densities throughout their range than NPT. For each species, we ranked the impacts of 13 potential threats, estimated population sizes, and modeled population viability with and without long-term droughts. Our results suggest that predation of hatchlings by invasive predators, such as American bullfrogs Lithobates catesbeianus and Largemouth Bass Micropterus salmoides, is a high-ranking threat for NPT and SPT. Southwestern pond turtles may also face more severe impacts associated with natural disasters (droughts, wildfires, and floods) than do NPT. Population size estimates from trapping surveys indicate that SPT have smaller population sizes on average than do NPT ( P = 0.0003), suggesting they may be at greater risk of local extirpation. Population viability analysis models revealed that long-term droughts are a key environmental parameter; as the frequency of severe droughts increases with climate change, the likelihood of population recovery decreases, especially when census sizes are low. Given current population trends and vulnerability to natural disasters throughout their range, we suggest that conservation and recovery actions first focus on SPT to prevent further population declines.

Journal of Fish and Wildlife Management

Green infrastructure in the Great Lakes—Assessment of performance, barriers, and unintended consequences

The Great Lakes Basin covers around 536,393 square kilometers, and the Great Lakes hold more than 5,400 cubic miles of water, accounting for more than 20 percent of the world’s fresh surface water supply. The Great Lakes provide a source of drinking water to tens of millions of people in Canada and the United States and support one of the most diverse ecosystems in the world. Increasing urbanization combined with aging infrastructure and more extreme storm events because of changing weather patterns creates stormwater management challenges for communities across the Great Lakes region. A variety of green infrastructure (GI) practices, designed to decrease runoff and improve water quality, have been implemented throughout the region in response to these challenges; however, implementation often remains limited to local efforts and with little coordination among various levels of government because of, at least in part, a lack of clear standards for stormwater, limited funding, and a general uncertainty in the type and expected performance of these practices. City planners, engineers, and political leaders often see GI investment as riskier than other alternatives despite studies that determined, in most cases, practices can either reduce or not affect costs. This report summarizes selected published reports and data sources from studies done in Great Lakes states and compares the measured effects of various GI practices and their applicability in different settings around the Great Lakes. By summarizing selected published reports and data sources from studies done in Great Lakes states, this report provides foundational information for U.S. Geological Survey scientists and their local and national partners to assess the ability of GI to reduce stormwater runoff in Great Lakes urban areas. GI includes a variety of stormwater management techniques designed to mimic natural hydrologic processes like infiltration and evapotranspiration, which can decrease the volume of water running into sewers and streams. It can also improve water quality by trapping sediment, nutrients, and other contaminants. A variety of landscape practices can be incorporated into urban areas as GI, but the discussion here is limited to vegetated basins, vegetated channels, permeable pavement, urban tree canopy, and green roofs. Other types of GI, such as downspout disconnection, rainwater harvesting, and wet and dry detention basins were not included because hydrologic function and associated components are not widely monitored or evaluated in literature.

Illinois, Indiana, Michigan, Minnesota, New York,

Bioaccumulation kinetics of model pharmaceuticals in the freshwater unionid pondmussel, Sagittunio subrostratus

Bioaccumulation of ionizable pharmaceuticals has been increasingly studied, with most reported aquatic tissue concentrations in field or laboratory experiments being from fish. However, higher levels of antidepressants have been observed in bivalves compared with fish from effluent-dominated and dependent surface waters. Such observations may be important for biodiversity because approximately 70% of freshwater bivalves in North America are considered to be vulnerable to extinction. Because experimental bioaccumulation information for freshwater bivalves is lacking, we examined accumulation dynamics in the freshwater pondmussel, Sagittunio subrostratus , following exposure to a model weak acid, acetaminophen (mean (±SD) = 4.9 ± 1 µg L –1 ), and a model weak base, sertraline (mean (±SD) = 1.1 ± 1.1 µg L –1 ) during 14-day uptake and 7-day depuration experiments. Pharmaceutical concentrations were analyzed in water and tissue using isotope dilution liquid chromatography–tandem mass spectrometry. Mussels accumulated two orders of magnitude higher concentrations of sertraline (31.7 ± 9.4 µg g –1 ) compared to acetaminophen (0.3 ± 0.1 µg g –1 ). Ratio and kinetic-based bioaccumulation factors of 28,836.4 (L kg –1 ) and 34.9 (L kg –1 ) were calculated for sertraline and for acetaminophen at 65.3 (L kg –1 ) and 0.13 (L kg –1 ), respectively. However, after 14 days sertraline did not reach steady-state concentrations, although it was readily eliminated by S. subrostratus . Acetaminophen rapidly reached steady-state conditions but was not depurated over a 7-day period. Future bioaccumulation studies of ionizable pharmaceuticals in freshwater bivalves appear warranted. Environ Toxicol Chem 2023;00:1–7. © 2023 SETAC. This article has been contributed to by U.S. Government employees and their work is in the public domain in the USA.

Missouri

Neonicotinoid insecticide concentrations in agricultural wetlands and associations with aquatic invertebrate communities

Neonicotinoids are considered a superior insecticide for agricultural pest management, although their impacts on non-target insects is a rising concern. Aside from laboratory and mesocosm studies, limited research has been directed towards the role neonicotinoids may have in structuring aquatic invertebrate communities in field settings. Therefore, we simultaneously collected aquatic invertebrate and surface water samples from 26 wetlands within a highly modified agricultural landscape of Nebraska’s Rainwater Basin during spring 2015. Water samples were tested for six different neonicotinoids, nutrients, and physical properties. Trace levels of clothianidin and imidacloprid were the only neonicotinoids detected, occurring in 85% and 15%, respectively, of wetlands sampled. All measurements for clothianidin and imidacloprid were below chronic toxicity benchmarks set by the United States Environmental Protection Agency. Neonicotinoid concentrations were significantly lower (W 26, 0.05 = 42.5) at wetlands with vegetative buffer strips > 50 m wide compared to wetlands with vegetative buffers strips <50 m. Although neonicotinoids were below benchmark concentrations proposed by government regulations, a significant negative association between neonicotinoid concentrations and aquatic invertebrate biomass was observed across all wetlands studied (Parameter Estimate = -0.031; SE = 0.014).

Nebraska

Direct and size-mediated effects of temperature and ration-dependent growth rates on energy reserves in juvenile anadromous alewives (Alosa pseudoharengus)

Growth rate and energy reserves are important determinants of fitness and are governed by endogenous and exogenous factors. Thus, examining the influence of individual and multiple stressors on growth and energy reserves can help estimate population health under current and future conditions. In young anadromous fishes, freshwater habitat quality determines physiological state and fitness of juveniles emigrating to marine habitats. We tested how temperature and food availability affect survival, growth, and energy reserves in juvenile anadromous alewives ( Alosa pseudoharengus ), a forage fish distributed along the eastern North American continent. Field-collected juvenile anadromous A. pseudoharengus were exposed for 21 days to one of two temperatures (21°C and 25°C) and one of two levels of food rations (1% or 2% tank biomass daily) and compared for differences in final size, fat mass-at-length, lean mass-at-length, and energy density. Increased temperature and reduced ration both led to lower growth rates and the effect of reduced ration was greater at higher temperature. Fat mass-at-length decreased with dry mass and energy density increased with total length, suggesting size-based endogenous influences on energy reserves. Lower ration also directly decreased fat mass-at-length, lean mass-at-length and energy density. Given the fitness implications of size and energy reserves, temperature and food availability should be considered important indicators of nursery habitat quality and incorporated in A. pseudoharengus life history models to improve forecasting of population health under climate change.

Journal of Fish Biology

The Outer Banks of North Carolina

The Outer Banks of North Carolina are excellent examples of the nearly 300 barrier islands rimming the Atlantic and Gulf coasts of the United States. These low, sandy islands are among the most dynamic natural landscapes occupied by man. Beach sands move offshore, onshore, and along the shore in the direction of the prevailing longshore currents. In this way, sandy coasts continuously adjust to different tide, wave, and current conditions and to rising sea level that causes the islands to migrate landward. Despite such changes, barrier islands are of considerable environmental importance. The Outer Banks are home to diverse natural ecosystems that are adapted to the harsh coastal environment. Native species tend to be robust and many are specifically adapted to withstand salt spray, periodic saltwater flooding, and the islands’ well-drained sandy soil. The Outer Banks provide an important stopover for birds on the Atlantic flyway, and many species inhabit the islands year round. In addition, Outer Banks beaches provide an important nesting habitat for five endangered or threatened sea turtle species. European explorers discovered North Carolina’s barrier islands in the 16th century, although the islands were not permanently settled until the middle 17th century. By the early 19th century, shipbuilding and lumber industries were among the most successful, until forest resources were depleted. Commercial fishing eventually followed, and it expanded considerably after the Civil War. By the Great Depression, however, little industry existed on the Outer Banks. In response to the effects of a severe hurricane in 1933, the National Park Service and the Civilian Conservation Corps proposed a massive sand-fixation program to stabilize the moving sand and prevent storm waves from sweeping across the entire width of some sections of the islands. Between 1933 and 1940, this program constructed sand fencing on 185 kilometers (115 miles) of beach and planted grass seedlings, trees, and shrubs. In 1937, Congress authorized the Cape Hatteras National Seashore, which was established in 1953. The national seashore preserved one of the world’s best examples of a barrier island environment, and minimized the effect of erosion that was becoming a serious problem. In 1966, Congress authorized the Cape Lookout National Seashore to ensure that Core and Shackleford Banks would not undergo major development and could be preserved in their natural state. The rate of population growth along the Outer Banks in recent decades has been among the highest in North Carolina. More important, however, has been the growth in vacationers—in 2008, more than a quarter of a million visitors during a typical week. Municipalities now need to provide services to a transient population as much as six times as large as their permanent resident population. Although human activities have dominated the landscape changes observed on the Outer Banks for the past century or two, these changes must be understood in the context of the prevailing atmospheric, oceanic, and geologic processes that have governed the form and function of these islands for thousands of years. It is these natural processes that imbue the Outer Banks with their unique and dichotomous qualities of tranquility and tumult. In the presence of human occupation, it is these same processes that make the islands one of the highest natural-hazard risk zones along the Eastern Seaboard of the United States.

North Carolina

Puerto Rico’s state of the climate 2014-2021

The climate of Puerto Rico is influenced by the changing global climate. The following chapters present the current knowledge of the geophysical and chemical drivers and signals of global climate change as they affect the climate of Puerto Rico and influence the climate-dependent services, risks, and vulnerabilities that govern human well-being. These include sustainable economic development, delivery of ecosystem services, the conservation of natural and cultural resources, resiliency in built and natural systems, and food security. The chapters draw on global expertise of land, atmosphere, and ocean geophysical interactions associated with increasing greenhouse gases that drive global warming and on local scientific expertise, data, observations, and modeled projections. They present the global warming scenario (section 1), the contribution of Puerto Rico to global climate change as GHG emissions and aerosols (section 2), the context of natural climate variability (section 3), observed and projected trends in temperature (section 4), rainfall (section 5), sea level rise (section 6), ocean acidification and sea surface warming (section 7), and the expected implications of warming climate on tropical cyclones affecting Puerto Rico (section 8).

Puerto Rico

The global Landsat archive: Status, consolidation, and direction

New and previously unimaginable Landsat applications have been fostered by a policy change in 2008 that made analysis-ready Landsat data free and open access. Since 1972, Landsat has been collecting images of the Earth, with the early years of the program constrained by onboard satellite and ground systems, as well as limitations across the range of required computing, networking, and storage capabilities. Rather than robust on-satellite storage for transmission via high bandwidth downlink to a centralized storage and distribution facility as with Landsat-8, a network of receiving stations, one operated by the U.S. government, the other operated by a community of International Cooperators (ICs), were utilized. ICs paid a fee for the right to receive and distribute Landsat data and over time, more Landsat data was held outside the archive of the United State Geological Survey (USGS) than was held inside, much of it unique. Recognizing the critical value of these data, the USGS began a Landsat Global Archive Consolidation (LGAC) initiative in 2010 to bring these data into a single, universally accessible, centralized global archive, housed at the Earth Resources Observation and Science (EROS) Center in Sioux Falls, South Dakota. The primary LGAC goals are to inventory the data held by ICs, acquire the data, and ingest and apply standard ground station processing to generate an L1T analysis-ready product. As of January 1, 2015 there were 5,532,454 images in the USGS archive. LGAC has contributed approximately 3.2 million of those images, more than doubling the original USGS archive holdings. Moreover, an additional 2.3 million images have been identified to date through the LGAC initiative and are in the process of being added to the archive. The impact of LGAC is significant and, in terms of images in the collection, analogous to that of having had two additional Landsat-5 missions. As a result of LGAC, there are regions of the globe that now have markedly improved Landsat data coverage, resulting in an enhanced capacity for mapping, monitoring change, and capturing historic conditions. Although future missions can be planned and implemented, the past cannot be revisited, underscoring the value and enhanced significance of historical Landsat data and the LGAC initiative. The aim of this paper is to report the current status of the global USGS Landsat archive, document the existing and anticipated contributions of LGAC to the archive, and characterize the current acquisitions of Landsat-7 and Landsat-8. Landsat-8 is adding data to the archive at an unprecedented rate as nearly all terrestrial images are now collected. We also offer key lessons learned so far from the LGAC initiative, plus insights regarding other critical elements of the Landsat program looking forward, such as acquisition, continuity, temporal revisit, and the importance of continuing to operationalize the Landsat program.

Remote Sensing of Environment

Principles for urban stormwater management to protect stream ecosystems

Urban stormwater runoff is a critical source of degradation to stream ecosystems globally. Despite broad appreciation by stream ecologists of negative effects of stormwater runoff, stormwater management objectives still typically center on flood and pollution mitigation without an explicit focus on altered hydrology. Resulting management approaches are unlikely to protect the ecological structure and function of streams adequately. We present critical elements of stormwater management necessary for protecting stream ecosystems through 5 principles intended to be broadly applicable to all urban landscapes that drain to a receiving stream: 1) the ecosystems to be protected and a target ecological state should be explicitly identified; 2) the postdevelopment balance of evapotranspiration, stream flow, and infiltration should mimic the predevelopment balance, which typically requires keeping significant runoff volume from reaching the stream; 3) stormwater control measures (SCMs) should deliver flow regimes that mimic the predevelopment regime in quality and quantity; 4) SCMs should have capacity to store rain events for all storms that would not have produced widespread surface runoff in a predevelopment state, thereby avoiding increased frequency of disturbance to biota; and 5) SCMs should be applied to all impervious surfaces in the catchment of the target stream. These principles present a range of technical and social challenges. Existing infrastructural, institutional, or governance contexts often prevent application of the principles to the degree necessary to achieve effective protection or restoration, but significant potential exists for multiple co-benefits from SCM technologies (e.g., water supply and climate-change adaptation) that may remove barriers to implementation. Our set of ideal principles for stream protection is intended as a guide for innovators who seek to develop new approaches to stormwater management rather than accept seemingly insurmountable historical constraints, which guarantee future, ongoing degradation.

Freshwater Science

U.S. Geological Survey cooperative water-resources programs in Chester County, Pennsylvania

Since 1969, the U.S. Geological Survey (USGS) has had a cooperative water-resources investigation program with Chester County to measure and describe the water resources of the County. Generally, the USGS provides one-half of the program funding, and local cooperators are required to provide matching funds. Cooperation has been primarily with the Chester County Water Resources Authority (CCWRA), with participation from the Chester County Health Department and funding from the Chester County Board of Commissioners. Municipalities and the Red Clay Valley Association also have provided part of the funding for several projects. This report describes how the long-term partnership between the USGS and Chester County, Pa., provides the County with the information that it needs for sound water-resources management. The CCWRA was created in 1961, primarily for land acquisition and planning for flood-control and water-supply projects. With the backing of the Brandywine Valley Association, the CCWRA started its first cooperative project with the USGS in 1969. It was a study of the water-quality condition of Chester County streams with an emphasis on benthic macroinvertebrates and stream chemistry. The kinds of projects and data collection conducted by the USGS have changed with the needs of Chester County and the mission of the CCWRA. Chester County is experiencing rapid population growth (it had the tenth-highest rate of growth in the nation from 1980 to 1990). This growth places considerable stress on water resources and has caused the CCWRA to broaden its focus from flood control to water-supply planning, water quality, and ground-water and surface-water management. The results of USGS studies are used by the CCWRA and other County agencies, including the Planning Commission, Health Department, and Parks and Recreation Department, for conducting day-to-day activities and planning for future growth. The results also are used by the CCWRA to provide guidance and technical assistance to municipalities, water suppliers, industrial dischargers, watershed and conservancy associations and other civic organizations, state and Federal agencies, river basin commissions, and the private sector. The cooperative water-resources program, which is described in the following sections, benefits not only the citizens of Chester County but also serves the interests of the Federal Government. Innovative studies conducted in Chester County provide methods and interpretations that often can be used nationwide, and the headwaters of several interstate drainages lie within the County. Major program thrusts include collection of surface-water, ground-water, and water-quality data and interpretive studies. The use of this information also is described.

Pennsylvania

Acidification in the U.S. Southeast: Causes, potential consequences and the role of the Southeast Ocean and Coastal Acidification Network

Coastal acidification in southeastern U.S. estuaries and coastal waters is influenced by biological activity, run-off from the land, and increasing carbon dioxide in the atmosphere. Acidification can negatively impact coastal resources such as shellfish, finfish, and coral reefs, and the communities that rely on them. Organismal responses for species located in the U.S. Southeast document large negative impacts of acidification, especially in larval stages. For example, the toxicity of pesticides increases under acidified conditions and the combination of acidification and low oxygen has profoundly negative influences on genes regulating oxygen consumption. In corals, the rate of calcification decreases with acidification and processes such as wound recovery, reproduction, and recruitment are negatively impacted. Minimizing the changes in global ocean chemistry will ultimately depend on the reduction of carbon dioxide emissions, but adaptation to these changes and mitigation of the local stressors that exacerbate global acidification can be addressed locally. The evolution of our knowledge of acidification, from basic understanding of the problem to the emergence of applied research and monitoring, has been facilitated by the development of regional Coastal Acidification Networks (CANs) across the United States. This synthesis is a product of the Southeast Coastal and Ocean Acidification Network (SOCAN). SOCAN was established to better understand acidification in the coastal waters of the U.S. Southeast and to foster communication among scientists, resource managers, businesses, and governments in the region. Here we review acidification issues in the U.S. Southeast, including the regional mechanisms of acidification and their potential impacts on biological resources and coastal communities. We recommend research and monitoring priorities and discuss the role SOCAN has in advancing acidification research and mitigation of and adaptation to these changes.

Florida, Georgia, North Carolina, South Carolina

Arsenic speciation and reactivity in poultry litter

Recent U.S. government action to lower the maximum concentration levels (MCL) of total arsenic (As) (10 ppb) in drinking water has raised serious concerns about the agricultural use of As-containing biosolids such as poultry litter (PL). In this study, solid-state chemical speciation, desorbability, and total levels of As in PL and long-term amended soils were investigated using novel synchrotron-based probing techniques (microfocused (μ) synchrotron X-ray fluorescence (SXRF) and μ-X-ray absorption near-edge structure (XANES) spectroscopies) coupled with chemical digestion and batch experiments. The total As levels in the PL were as high as ≈50 mg kg - 1 , and As(II/III and V) was always concentrated in abundant needle-shaped microscopic particles (≈20 μm × 850 μm) associated with Ca, Cu, and Fe and to a lesser extent with S, Cl, and Zn. Post-edge XANES features of litter particles are dissimilar to those of the organo-As(V) compound in poultry feed (i.e., roxarsone), suggesting possible degradation/transformation of roxarsone in the litter and/or in poultry digestive tracts. The extent of As desorption from the litter increased with increasing time and pH from 4.5 to 7, but at most 15% of the total As was released after 5 d at pH 7, indicating the presence of insoluble phases and/or strongly retained soluble compounds. No significant As accumulation (<15 mg kg - 1 ) was found in long-term PL-amended agricultural surface soils. This suggests that As in the PL may have undergone surface and subsurface transport processes. Our research results raise concerns about long-term PL amendment effects on As contamination in surrounding soil−water environments.

Environmental Science & Technology

Water quality of Alimagnet, Farquar, and Long Lakes in Apple Valley, Minnesota

Alimagnet, Farquar, and Long Lakes, in Apple Valley, Minnesota, were sampled from 1973-79 to determine their physical and chemical characteristics. A storm-sewer inlet to Alimagnet Lake was also sampled during two storms in 1978. The 1976-77 drought caused a more noticeable effect on the quality of the lakes than any other factor. Chloride concentrations were 10 to 15 milligrams per liter before the drought, but increased 2 to 4 times during the drought. Dissolved solids reacted similarly. Dissolved oxygen and pH were governed mainly by biological activity. In February 1977, dissolved-oxygen concentration was less than 0.5 milligrams per liter in the three lakes. Ratios between mean total nitrogen and mean total phosphorus ranged from 22:1 to 26:1. Trophic-state indices indicate that the lakes are eutrophic. Blue-green algae dominated the phytoplankton populations. Storms sampled at a storm-sewer inlet to Alimagnet Lake showed higher concentrations of chromium, copper, nickel, and zinc than of lead, arsenic, cadmium, and mercury. Total phosphorus for the September 1978 storm had a concentration of 1.7 milligrams per liter, which means that approximately 29 pounds entered the lake during the 5.5-hour sampling period.

Minnesota

Desert tortoises in the Mojave and Colorado deserts

The desert tortoise ( Gopherus agassizii ) is a widespread species of the southwestern United States and Mexico. Within the United States, desert tortoises live in the Mojave, Colorado, and Sonoran deserts of southeastern California, southern Nevada, southwestern Utah, and western Arizona (Fig. 1). A substantial portion of the habitat is on lands administered by the U.S. Department of the Interior. The U.S. government treats the desert tortoise as an indicator or umbrella species to measure the health and well-being of the ecosystems it inhabits. The tortoise functions well as an indicator because it is long-lived, takes 12-20 years to reach reproductive maturity, and is sensitive to changes in the environment. In 1990 the U.S. Fish and Wildlife Service listed the species as threatened in the northern and western parts of its geographic range (Fig. 1) because of widespread population declines and overall habitat loss, deterioration, and fragmentation. Because some populations exhibit significant genetic, morphologic (see glossary), and behavioral differences, the Desert Tortoise Recovery Team identified six distinctive population segments (Fig. 1) for critical habitat protection and long-term conservation within the Mojave and Colorado deserts (e.g., Lamb et al. 1989; USFWS 1994). The population segments are representative of distinctive climatic, floristic, and geographic regions.

Arizona, California, Nevada, Utah

Proceedings of the U.S. Geological Survey 2004 Mercury Workshop - Mercury research and its relation to Department of the Interior resource management

Introduction As part of the Department of the Interior (DOI) program Science on the DOI Landscape Initiative, the U.S. Geological Survey (USGS), Eastern Region, held a workshop during August 17–18, 2004, in Reston, VA, on mercury in the environment as it relates to DOI resource management. DOI bureaus manage millions of acres of land and offshore resources subject to mercury deposition and to the effects of mercury on ecosystems and human health. The goals of the workshop were to (1) summarize information on mercury sources and cycling on DOI lands in the eastern United States, (2) learn the perspectives of the DOI bureaus regarding mercury on DOI lands, (3) provide information to DOI land managers about monitoring mercury and minimizing mercury accumulation in wildlife and humans, and (4) consider future directions for mercury monitoring and research on DOI lands. The workshop focused on mercury research as it relates to DOI resource-management issues primarily in the eastern part of the United States (east of the Mississippi River). Topics included the influence of ecosystem setting on mercury biogeochemical transformation, land- and air-management practices as they affect mercury in the environment, mercury source issues, and effects of mercury on humans and wildlife. Mercury research topics were addressed by 24 invited oral presentations and 30 contributed posters. The perspectives of the DOI bureaus and land managers were addressed through a panel of scientists from the DOI resource-management bureaus and a Chippewa Indian Tribe of Minnesota. Discussion at the conclusion of the workshop was directed toward goals and long-term strategies for mercury research that will benefit DOI resource management. The panel, presentations, and discussions were videotaped and are available at the following URL, along with the slides presented: http://www.usgs.gov/mercury/2004workshop/ Abstracts from the presentations and posters are included in this report, together with summaries of each presentation session. The abstracts in this volume that were written by U.S. Geological Survey authors were reviewed and approved for publication by the Survey. Abstracts submitted by researchers from academia and from state and other federal agencies are published as part of these proceedings, but do not necessarily reflect the Survey’s policies and views. The use of trade, product, or firm names is for descriptive purposes only and does not imply endorsement by the U.S. Government.

Open-File Report