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At least 613 records · Page 34Linked to original sources

Unusual geologic evidence of coeval seismic shaking and tsunamis shows variability in earthquake size and recurrence in the area of the giant 1960 Chile earthquake

An uncommon coastal sedimentary record combines evidence for seismic shaking and coincident tsunami inundation since AD 1000 in the region of the largest earthquake recorded instrumentally: the giant 1960 southern Chile earthquake (Mw 9.5). The record reveals significant variability in the size and recurrence of megathrust earthquakes and ensuing tsunamis along this part of the Nazca-South American plate boundary. A 500-m long coastal outcrop on Isla Chiloé, midway along the 1960 rupture, provides continuous exposure of soil horizons buried locally by debris-flow diamicts and extensively by tsunami sand sheets. The diamicts flattened plants that yield geologically precise ages to correlate with well-dated evidence elsewhere. The 1960 event was preceded by three earthquakes that probably resembled it in their effects, in AD 898 - 1128, 1300 - 1398 and 1575, and by five relatively smaller intervening earthquakes. Earthquakes and tsunamis recurred exceptionally often between AD 1300 and 1575. Their average recurrence interval of 85 years only slightly exceeds the time already elapsed since 1960. This inference is of serious concern because no earthquake has been anticipated in the region so soon after the 1960 event, and current plate locking suggests that some segments of the boundary are already capable of producing large earthquakes. This long-term earthquake and tsunami history of one of the world's most seismically active subduction zones provides an example of variable rupture mode, in which earthquake size and recurrence interval vary from one earthquake to the next.

Marine Geology↗

The patchwork governance of ecologically available water: A case study in the Upper Missouri Headwaters, Montana, United States

Institutional authority and responsibility for allocating water to ecosystems (“ecologically available water” [EAW]) is spread across local, state, and federal agencies, which operate under a range of statutes, mandates, and planning processes. We use a case study of the Upper Missouri Headwaters Basin in southwestern Montana, United States, to illustrate this fragmented institutional landscape. Our goals are to (a) describe the patchwork of agencies and institutional actors whose intersecting authorities and actions influence the EAW in the study basin; (b) describe the range of governance mechanisms these agencies use, including laws, policies, administrative programs, and planning processes; and (c) assess the extent to which the collective governance regime creates gaps in responsibility. We find the water governance regime includes a range of nested mechanisms that in various ways facilitate or hinder the governance of EAW. We conclude the current multilevel governance regime leaves certain aspects of EAW unaddressed and does not adequately account for the interconnections between water in different parts of the ecosystem, creating integrative gaps. We suggest that more intentional and robust coordination could provide a means to address these gaps.

Montana↗

Giant submarine canyons: Is size any clue to their importance in the rock record?

Submarine canyons are the most important conduits for funneling sediment from continents to oceans. Submarine canyons, however, are zones of sediment bypassing, and little sediment accumulates in the canyon until it ceases to be an active conduit. To understand the potential importance in the rock record of any given submarine canyon, it is necessary to understand sediment-transport processes in, as well as knowledge of, deep-sea turbidite and related deposits that moved through the canyons. There is no straightforward correlation between the final volume of the sedimentary deposits and size of the associated submarine canyons. Comparison of selected modern submarine canyons together with their deposits emphasizes the wide range of scale differences between canyons and their impact on the rock record. Three of the largest submarine canyons in the world are incised into the Beringian (North American) margin of the Bering Sea. Zhemchug Canyon has the largest cross-section at the shelf break and greatest volume of incision of slope and shelf. The Bering Canyon, which is farther south in the Bering Sea, is first in length and total area. In contrast, the largest submarine fans-e.g., Bengal, Indus, and Amazon-have substantially smaller, delta-front submarine canyons that feed them; their submarine drainage areas are one-third to less than one-tenth the area of Bering Canyon. some very large deep-sea channels and tubidite deposits are not even associated with a significant submarine canyon; examples include Horizon Channel in the northeast Pacific and Laurentian Fan Valley in the North Atlantic. Available data suggest that the size of turbidity currents (as determined by volume of sediment transported to the basins) is also not a reliable indicator of submarine canyon size.

GSA Special Papers↗

Effect of swimming activity on relative weight and body composition of juvenile rainbow trout

Fisheries managers often assess body condition using relative weight (Wr) because it provides a comparative measure of fish plumpness among individuals and populations. However, it is not known whether the morphological information that Wr summarizes reflects physiological measures, such as relative lipid reserves, in rainbow trout Oncorhynchus mykiss. The purpose of this study was to determine whether swimming activity affects either the Wr or proximate body composition of juvenile (total length, 170-260 mm) rainbow trout. When rainbow trout from a hatchery were fed ad libitum for 147 d, inactive (no current) and active (15 cm/s current velocity) fish did not differ in Wr However, inactive rainbow trout maintained relatively constant lipid levels, whereas active fish declined in lipid content. Relative weight may provide a comparable measure of body form, but it is not an accurate index of lipid content between active and inactive rainbow trout fed an excess ration. For assessing the physiological condition of rainbow trout, measurement of proximate body composition appears to be more accurate than indices based on length and weight.

North American Journal of Fisheries Management↗

Metal prices in the United States through 2010

This report, which updates and revises the U.S. Geological Survey (USGS) (1999) publication, “Metal Prices in the United States Through 1998,” presents an extended price history for a wide range of metals available in a single document. Such information can be useful for the analysis of mineral commodity issues, as well as for other purposes. The chapter for each mineral commodity includes a graph of annual current and constant dollar prices for 1970 through 2010, where available; a list of significant events that affected prices; a brief discussion of the metal and its history; and one or more tables that list current dollar prices. In some cases, the metal prices presented herein are for some alternative form of an element or, instead of a price, a value, such as the value for an import as appraised by the U.S. Customs Service. Also included are the prices for steel, steel scrap, and iron ore—steel because of its importance to the elements used to alloy with it, and steel scrap and iron ore because of their use in steelmaking. A few minor metals, such as calcium, potassium, sodium, strontium, and thorium, for which price histories were insufficient, were excluded. The annual prices given may be averages for the year, yearend prices, or some other price as appropriate for a particular commodity. Certain trade journals have been the source of much of this price information—American Metal Market, ICIS Chemical Business, Engineering and Mining Journal, Industrial Minerals, Metal Bulletin, Mining Journal, Platts Metals Week, Roskill Information Services Ltd. commodity reports, and Ryan’s Notes. Price information also is available in minerals information publications of the USGS (1880–1925, 1996–present) and the U.S. Bureau of Mines (1926–95), such as Mineral Commodity Summaries, Mineral Facts and Problems, Mineral Industry Surveys, and Minerals Yearbook. In addition to prices themselves, these journals and publications contain information relevant to prices, which has been helpful in the preparation of this publication. Prices in this report have been graphed in 1992 constant dollars to show the effects of inflation as measured by the U.S. Bureau of Labor Statistics Consumer Price Index for All Urban Consumers, a widely used measure of overall inflation in the United States. These prices are not tabulated, but a table of the deflators used is given in an appendix. Constant dollar prices can be used to show how prices that producers receive would have less purchasing power.

Scientific Investigations Report↗

Mesozoic magmatism and timing of epigenetic Pb-Zn-Ag mineralization in the western Fortymile mining district, east-central Alaska: Zircon U-Pb geochronology, whole-rock geochemistry, and Pb isotopes

The Mesozoic magmatic history of the North American margin records the evolution from a more segmented assemblage of parautochthonous and allochthonous terranes to the more cohesive northern Cordilleran orogenic belt. We characterize the setting of magmatism, tectonism, and epigenetic mineralization in the western Fortymile mining district, east-central Alaska, where parautochthonous and allochthonous Paleozoic tectonic assemblages are juxtaposed, using sensitive high-resolution ion microprobe (SHRIMP) U-Pb zircon geochronology, whole-rock geochemistry, and feldspar Pb isotopes of Mesozoic intrusions and spatially associated mineral prospects. New SHRIMP U-Pb zircon ages and published U-Pb and 40 Ar/ 39 Ar ages indicate four episodes of plutonism in the western Fortymile district: Late Triassic (216-208 Ma), Early Jurassic (199-181 Ma), mid-Cretaceous (112-94 Ma), and Late Cretaceous (70-66 Ma). All age groups have calc-alkalic arc compositions that became more evolved through time. Pb isotope compositions of feldspars from Late Triassic, Early Jurassic, and Late Cretaceous igneous rocks similarly became more radiogenic with time and are consistent with the magmas being mantle derived but extensively contaminated by upper crustal components with evolving Pb isotopic compositions. Feldspar Pb isotopes from mid-Cretaceous rocks have isotopic ratios that indicate magma derivation from upper crustal sources, probably thickened mid-Paleozoic basement. The origin of the mantle component in Late Cretaceous granitoids suggested by Pb isotopic ratios is uncertain, but we propose that it reflects asthenospheric upwelling following slab breakoff and sinking of an inactive inner subduction zone that delivered the previously accreted Wrangellia composite terrane to the North American continental margin, after the outer Farallon subduction zone was established. Epigenetic Pb-Zn-Ag ± Cu prospects in the western Fortymile district are spatially associated with splays of the northeast-trending Kechumstuk sinistral-normal fault zone and with ca. 68-66 Ma felsic intrusions and dikes. The similarity between Pb isotope compositions of feldspars from the Late Cretaceous igneous bodies and sulfides from the epithermal prospects suggests a Late Cretaceous age for most of the mineralization. Fluid flow along the faults undoubtedly played a major role in mineralization. We interpret displacement on the northeast-trending faults to be a far-field effect of dextral translation along Late Cretaceous plate-scale boundaries and faults that were roughly parallel to the subsequently developed Denali and Tintina fault systems, which currently bound the region.

Alaska↗

Basement and regional structure along strike of the Queen Charlotte Fault in the context of modern and historical earthquake ruptures

The Queen Charlotte fault (QCF) is a dextral transform system located offshore of southeastern Alaska and western Canada, accommodating ∼4.4  cm/yr of relative motion between the Pacific and North American plates. Oblique convergence along the fault increases southward, and how this convergence is accommodated is still debated. Using seismic reflection data, we interpret offshore basement structure, faulting, and stratigraphy to provide a geological context for two recent earthquakes, an M w 7.5 strike‐slip event near Craig, Alaska, and an M w 7.8 thrust event near Haida Gwaii, Canada. We map downwarped Pacific oceanic crust near 54° N, between the two rupture zones. Observed downwarping decreases north and south of 54° N, parallel to the strike of the QCF. Bending of the Pacific plate here may have initiated with increased convergence rates due to a plate motion change at ∼6  Ma. Tectonic reconstruction implies convergence‐driven Pacific plate flexure, beginning at 6 Ma south of a 10° bend the QCF (which is currently at 53.2° N) and lasting until the plate translated past the bend by ∼2  Ma. Normal‐faulted approximately late Miocene sediment above the deep flexural depression at 54° N, topped by relatively undeformed Pleistocene and younger sediment, supports this model. Aftershocks of the Haida Gwaii event indicate a normal‐faulting stress regime, suggesting present‐day plate flexure and underthrusting, which is also consistent with reconstruction of past conditions. We thus favor a Pacific plate underthrusting model to initiate flexure and accommodation space for sediment loading. In addition, mapped structures indicate two possible fault segment boundaries along the QCF at 53.2° N and at 56° N.

Alaska↗

Radiotracer experiments in the Mohawk River, New York, to study sewage path and dilution

Sewage from the Knolls Atomic Power Laboratory near Schenectady, N. Y., was dosed with 4.53 curies of P prior to discharge into the Mohawk River. Its pattern of diffusion was measured in the river with immersible GM‐tubes and by sampling. The initial path of sewage was strongly influenced by differences in density between sewage and river due to temperature. During warm months relatively cold sewage moved on the river bottom perpendicularly to river current. For at least the first 800 ft of travel the maximum sewage concentration decreased logarithmically with distance from outfall. The term ‘half‐distance’ (here about 110 ft) is proposed to describe the concentration change. During cold months sewage rose to the river surface and at times was moved upstream by wind. However, when the river temperature was near freezing, the sewage first rose and then sank as the temperature of the sewage‐river mixture approached 39° F.

New York↗

Reintroduction of lake sturgeon in the St. Louis River, western Lake Superior

Lake sturgeon Acipenser fulvescens declined in abundance in Lake Superior's St. Louis River during the late 1800s and were eliminated from the river during the early 1900s because of the combined effects of exploitation, pollution, and habitat alteration. Since then, exploitation in the river and in Lake Superior has been reduced. Furthermore, water quality in the St. Louis River has improved, and its upper-estuary spawning habitat has remained relatively unchanged and adequate. Lake sturgeon have been stocked annually in the St. Louis River since 1983; from 1983 to 1994 stockings included 736,000 fry, 128,000 fingerlings, and 500 yearlings of the Lake Winnebago strain. Relative abundance, distribution, and growth were determined by sampling marked fish in the St. Louis River estuary and western Lake Superior with graded-mesh gill nets and bottom trawls. During 1983–1998, 644 lake sturgeon were caught in 15,486 m of gill net, and 196 were caught in 1,200 trawl tows. Lake sturgeon were sampled most frequently near channelized portions of the St. Louis River and stayed in the estuary up to 5 years before entering Lake Superior. Lake sturgeon were not captured in western Lake Superior prior to stocking, but abundance increased dramatically after 1985. Of 582 lake sturgeon sampled along the Wisconsin shore of Lake Superior from 1985 through 1998 (347,000 m of gill nets), 93% were captured in less than 30 m of water. A total of 93 lake sturgeon were reported from assessment netting conducted along the Minnesota shore of Lake Superior from 1992 through 1997. The current range of stocked lake sturgeon extends from the St. Louis River 145 km east to the apostle Islands in Wisconsin and 110 km northeast to Little Marais in Minnesota. Increases in lake sturgeon abundance were directly attributed to the stocking program. We recommend stocking a minimum of 20 year-classes and the use of a Lake Superior egg source, if possible. Final evaluation of the project will be detection of tagged lake sturgeon successfully spawning at historical spawning areas.

North American Journal of Fisheries Management↗

U.S. Geological Survey landscape science strategy 2020–2030

Across our Nation, multiple Federal, State, Tribal, and local governments are working with stakeholders and landowners to restore, conserve, and manage lands and resources to benefit fish, wildlife, and people. One of the largest Federal efforts is led by the U.S. Department of the Interior (DOI), with multiple DOI agencies working to conserve and manage public lands, resources, and cultural heritage for the benefit and enjoyment of current and future generations. As a science provider within the DOI, the U.S. Geological Survey (USGS) has an important role in developing actionable science products that can inform decision making on public lands and across all of our Nation’s landscapes. Our landscapes and resources are undergoing continual change from a complex and interacting suite of stressors that include traditional and nontraditional land uses, a changing climate, a dynamic economy, and a culturally diverse and ever-changing society. Landscape science seeks to understand how the physical, biological, and social components of ecosystems and landscapes interact with each other and are affected by these stressors across local to global scales. The USGS has developed this landscape science strategy to focus and strengthen the agency’s efforts to inform critical conservation, restoration, and management decisions for American landscapes. The strategy directly supports the overarching 21st-century science strategy of the USGS and expands our perspective and focus on partnerships, including with internal, external, traditional, and nontraditional partners. The vision for USGS landscape science is to integrate multiple disciplines and approaches to create and deliver relevant, timely, and scientifically sound products that enable our partners to make informed decisions about how to manage complex interacting natural and human systems across changing American landscapes. This strategy seeks to leverage the expertise, data, analytical capacity, and tools of the agency and to strengthen integration of science efforts across programs and scales. A cornerstone of the strategy is working closely with landowners and resource managers to identify the science that is needed to inform management actions, and then working collaboratively with those same partners to coproduce science and data products that are timely, practical, and useful for their decision making. Many individual efforts within the USGS already embrace landscape science ideas and practices. With the development of this strategy, we are seeking to build on these efforts and to focus agency attention and expertise on expanding, connecting, and institutionalizing core practices and approaches for landscape science that produces actionable science products and tools that decision makers can use to help conserve and manage American landscapes.

Circular↗

Introduction

The Mohave ground squirrel ( Xerospermophilus mohavensis ), named just over a century ago (Merriam 1889), is precinctive to the western Mojave Desert in California, USA, and occupies portions of Kern, Los Angeles, Inyo and San Bernardino counties (Best 1995). Early estimates of the geographic range of the squirrel are just 20,000 km 2 in area (Hall 1981, Zeiner et al. 1988‐ 1990), one of the smallest distributions among North American ground squirrel species (Hoyt 1972, P. Leitner – pers. obs.). The closest living relative of the Mohave ground squirrel (MGS) is the round‐tailed ground squirrel ( Xerospermophilus tereticaudus ). Mohave ground squirrels have a “shorter tail with distichous hairs and white undersurface”, but visual differences between the two species are subtle (Hafner and Yates 1983). Speciation likely occurred when portions of the parent population were isolated 4‐1.6 million years ago during the accelerated uplift of the Sierra Nevada, the Transverse Ranges and the Mojave River system, resulting in separation and isolation with MGS evolving in refugia (Hafner 1992, Bell et al. 2009). Subsequently, fluvial‐ lacustrine systems in the Mojave River basin provided vicariance features during the Pleistocene (Hafner 1992, Bell et al. 2009). Responding to previous climate change, the two species potentially migrated into their current ranges from southern refugia after the Last Glacial Maximum, eventually abutting each other along the Mojave River (Hafner and Yates 1983). The species are capable of hybridizing, but intercrosses appear to be rare, and sampling near the zones of potential hybridization remains limited (Bell and Matocq 2011). The only other similar sized squirrel occupying the range of MGS is the white‐tailed antelope ground squirrel ( Ammospermophilus leucurus ) whose range entirely overlaps MGS, but is easily distinguished by its bright white dorso‐lateral stripes (Best 1995)

California↗

Fish entrainment rates through towboat propellers in the Upper Mississippi and Illinois rivers

A specially designed net was used to study fish entrainment and injury through towboat propellers in 13 pools of the Upper Mississippi and Illinois rivers. The net was attached to the stern of a 48.8‐m‐long towboat with twin propellers (in Kort propulsion nozzles), and sampling typically took place while the towboat pushed 15 loaded barges upstream at a time. In total, 254 entrainment samples over 894 km of the 13 study pools were collected. The sampling efforts produced 16,005 fish representing 15 families and at least 44 species; fish ranged in total length from 3 to 123 cm, but only 12.5‐cm or longer fish were analyzed because smaller fish could escape through the mesh of the trawl. Clupeidae (68% of total catch) and Sciaenidae (21%) were the dominant families. We detected no effects of towboat operation variables (speed and engine [i.e., propeller] revolutions per minute [RPM]) on entrainment rate (i.e., fish/km), but entrainment rate showed a wedge‐shaped distribution relative to hydraulic and geomorphic characteristics of the channel. Entrainment rate was low (<1 fish/km) in wide sections of the river, deep water, and swift current (or time periods characterized by faster flow); however, entrainment in narrow sections with shallow, slow water was highly variable and occasionally reached high levels (>30 fish/km). Although total entrainment rate was not related to engine RPM, the probability of being struck by a propeller increased with fish length and engine RPM. Limits on engine RPM in narrow, shallow, and sluggish reaches could reduce entrainment impact, particularly for large‐bodied fish.

Iowa, Illinois, Missouri, Wisconsin↗

Understanding the influence of predation by introduced fishes on juvenile salmonids in the Columbia River Basin: Closing some knowledge gaps. Interim Report of Research 2010

Project overview Predation on juvenile salmonids by fish in the Columbia River Basin (CRB) has impacted salmon survival and is a topic that has received considerable attention over the last three decades. Some of the earliest and most detailed research focused on the food habits, consumption rates, abundance, and distribution of predaceous northern pikeminnow Ptychocheilus oregonensis , smallmouth bass Micropterus dolomieu , walleye Sander vitreus , and channel catfish Ictalurus punctatus in John Day Reservoir (Beamesderfer and Rieman 1991; Poe et al. 1991; Vigg et al. 1991). This group of researchers also estimated the loss of juvenile salmonids to predation by some of these predators (Rieman et al. 1991). Since this pioneering effort, others have evaluated various aspects of predation-related mortality on juvenile salmonids in the CRB, focusing mostly on northern pikeminnow and smallmouth bass (e.g., Tabor et al. 1993; Zimmerman 1999; Naughton et al. 2004). Perhaps the most significant finding coming from this body of research was that the native northern pikeminnow was the dominant predator of juvenile salmonids in the CRB. Indeed, Beamesderfer et al. (1996) estimated that northern pikeminnow consumed about 16 million (8%) of the estimated 200 million juvenile salmonids emigrating annually in the CRB, far surpassing the consumption of smallmouth bass, walleye, and channel catfish combined. Because of this, large-scale management fisheries (i.e., the northern pikeminnow management program, or NPMP; see Rieman and Beamesderfer 1990; Beamesderfer et al. 1996) have been implemented in the CRB since 1990 to achieve a 10%&ndash;20% exploitation rate on northern pikeminnow and reduce predation on juvenile salmonids. The NPMP has been a success, resulting in up to 38% potential reductions in predation (Friesen and Ward 1999; Knutsen and Ward 1999; Ward and Zimmerman 1999;). In contrast to the NPMP, Oregon and Washington state fish and wildlife agencies manage and enhance recreational fisheries for smallmouth bass and walleye by implementing size and harvest limit regulations. Recently, many biologists and fish managers have become concerned about the impact of non-native predaceous fishes on juvenile salmonid survival. For example, Poe et al. (1994) warned that smallmouth bass, walleye, and channel catfish were expanding their populations in some areas, that these fish could be significant predators on juvenile salmonids, and that they may compete with northern pikeminnow for common prey items, resulting in higher consumption rates of salmonids by the native predator. Sanderson et al. (2009) reported that the impact of non-indigenous species (including piscivorous fishes) on salmon survival within the CRB can be severe and suggested that managing nonindigenous species may be imperative for salmon recovery. Assessing the current ecological impacts of introduced fishes throughout the CRB will fill information gaps associated with their impact on salmonid survival and contribute to the description of CRB food webs. In response to these recent concerns about the potential predatory impact of non-native piscivores on salmon survival, the Bonneville Power Administration (BPA) and the Columbia Basin Fish and Wildlife Authority (CBFWA) co-hosted a workshop to address predation on juvenile salmonids in the CRB by non-native fish (Halton 2008). The purpose of the workshop was to review, evaluate, and develop strategies to reduce predation by non-native fishes on juvenile salmonids. In the end, discussion at the workshop and at subsequent meetings considered two potential ideas to reduce predation by non-native fish on juvenile salmonids; (1) understanding the role of juvenile American shad Alosa sapidissima in the diet of non-native predators in the fall; and (2) the effects of localized, intense reductions of smallmouth bass in areas of particularly high salmonid predation. In this report, we describe initial efforts to understand the influence of juvenile American shad as a prey item for introduced predators in the middle Columbia River. Our first objective, addressed in Chapter 1, was to evaluate the efficacy of nonlethal methods to describe the physiological condition of smallmouth bass, walleye, and channel catfish from late summer through late fall. Such information will be used to understand the contribution of juvenile American shad to the energy reserves of predaceous fish prior to winter. In Chapter 2, we describe the results of some limited sampling to document the food habits of smallmouth bass, walleye, and channel catfish in three reservoirs of the middle Columbia River during late fall. Collectively, we hope to increase our understanding of the contribution of juvenile American shad to the diets of introduced predators and the contribution of this diet to their energy reserves, growth, and perhaps over-winter survival. Managers should be able to use this information for deciding whether to control the population of American shad in the CRB or for managing introduced predaceous fish in the CRB.

Oregon, Washington↗

Contaminants in tropical island streams and their biota

Environmental contamination is problematic for tropical islands due to their typically dense human populations and competing land and water uses. The Caribbean island of Puerto Rico (USA) has a long history of anthropogenic chemical use, and its human population density is among the highest globally, providing a model environment to study contaminant impacts on tropical island stream ecosystems. Polycyclic Aromatic Hydrocarbons, historic-use chlorinated pesticides, current-use pesticides, Polychlorinated Biphenyls (PCBs), and metals (mercury, cadmium, copper, lead, nickel, zinc, and selenium) were quantified in the habitat and biota of Puerto Rico streams and assessed in relation to land-use patterns and toxicological thresholds. Water, sediment, and native fish and shrimp species were sampled in 13 rivers spanning broad watershed land-use characteristics during 2009–2010. Contrary to expectations, freshwater stream ecosystems in Puerto Rico were not severely polluted, likely due to frequent flushing flows and reduced deposition associated with recurring flood events. Notable exceptions of contamination were nickel in sediment within three agricultural watersheds (range 123–336 ppm dry weight) and organic contaminants (PCBs, organochlorine pesticides) and mercury in urban landscapes. At an urban site, PCBs i n several fish species (Mountain Mullet Agonostomus monticola [range 0.019–0.030 ppm wet weight] and American Eel Anguilla rostrata [0.019–0.031 ppm wet weight]) may pose human health hazards, with concentrations exceeding the U.S. Environmental Protection Agency (EPA) consumption limit for 1 meal/month. American Eel at the urban site also contained dieldrin (range < detection-0.024 ppm wet weight) that exceeded the EPA maximum allowable consumption limit. The Bigmouth Sleeper Gobiomorous dormitor , an important piscivorus sport fish, accumulated low levels of organic contaminants in edible muscle tissue (due to its low lipid c ontent) and may be most suitable for human consumption island-wide; only mercury at one site (an urban location) exceeded EPA's consumption limit of 3 meals/month for this species. These results comprise the first comprehensive island-wide contaminant assessment of Puerto Rico streams and biota and provide natural resource and public health agencies here and in similar tropical islands elsewhere with information needed to guide ecosystem and fisheries conservation and management and human health risk assessment.

Environmental Research↗

The role of the North American Breeding Bird Survey in conservation

The North American Breeding Bird Survey (BBS) was established in 1966 in response to a lack of quantitative data on changes in the populations of many bird species at a continental scale, especially songbirds. The BBS now provides the most reliable regional and continental trends and annual indices of abundance available for >500 bird species. This paper reviews some of the ways in which BBS data have contributed to bird conservation in North America over the past 50 yr, and highlights future program enhancement opportunities. BBS data have contributed to the listing of species under the Canadian Species at Risk Act and, in a few cases, have informed species assessments under the U.S. Endangered Species Act. By raising awareness of population changes, the BBS has helped to motivate bird conservation efforts through the creation of Partners in Flight. BBS data have been used to determine priority species and locations for conservation action at regional and national scales through Bird Conservation Region strategies and Joint Ventures. Data from the BBS have provided the quantitative foundation for North American State of the Birds reports, and have informed the public with regard to environmental health through multiple indicators, such as the Canadian Environmental Sustainability Indicators and the U.S. Environmental Protection Agency's Report on the Environment. BBS data have been analyzed with other data (e.g., environmental, land cover, and demographic) to evaluate potential drivers of population change, which have then informed conservation actions. In a few cases, BBS data have contributed to the evaluation of management actions, including informing the management of Mourning Doves ( Zenaida macroura ), Wood Ducks ( Aix sponsa ), and Golden Eagles ( Aquila chrysaetos ). Improving geographic coverage in northern Canada and in Mexico, improving the analytical approaches required to integrate data from other sources and to address variation in detectability, and completing the database, by adding historical bird data at each point count location and pinpointing the current point count locations would further enhance the survey's value.

Condor↗

Effect of rotenone treatment on alpine stream invertebratecommunities in Colorado

Objective: Introduction of non-native salmonids to western United States streams has resulted in extirpation and even extinction of native cutthroat trout. Once thought to be extinct, a genetically verified population of Greenback Cutthroat Trout (GBCT) Oncorhynchus virginalis stomias was identified and used for population re-establishment efforts. To restore native trout habitat, stream reaches above a dispersal barrier are typically treated with a piscicide (i.e., rotenone) to remove non-native trout before reintroduction of natives. One concern with this method is the possible impact to non-target invertebrates, which are an important food source for trout, and a drastic disturbance to invertebrates following rotenone treatment could negatively affect native trout establishment. Methods: Two alpine streams were treated with liquid rotenone via drip stations during two consecutive days. Invertebrate communities were sampled for six years in two streams where GBCT was reintroduced. Pre- and posttreatment sampling allowed for examination of short-term, intermediate, and long-term responses to invertebrate communities. Results: Negative short-term responses were detected for total taxa richness, EPT richness, and percent Heptageniidae density immediately following rotenone application. However, most community metrics returned to pretreatment values within 1 to 2 years posttreatment. Invertebrate community changes between pretreatment and 3 to 5 years posttreatment were observed with increased percent Chironomidae density and decreased percent EPT (Ephemeroptera, Plecoptera, Trichoptera) density. Conclusion: This study provides insight into invertebrate community response to rotenone treatment in high alpine streams and adds to the current literature which displays short-term declines in invertebrates following rotenone and recovery of most aspects of the initial invertebrate community within one year posttreatment. Lay Summary Rotenone application for cutthroat trout habitat restoration negatively affected invertebrate communities in the 1 to 2 months following treatment; however, most community values recovered to pretreatment levels within 1 to 2 years. Keywords: native fish, cutthroat trout, fish management, invertebrate community, habitat restoration

Colorado↗

Relative abundance and lengths of Kendall Warm Springs dace captured from different habitats in a specially designed trap

A trap was designed to capture endangered Kendall Warm Springs dace Rhinichthys osculus thermalis (a subspecies of speckled dace Rhinichthys osculus ) without being destructive to the habitat of the fish in Kendall Warm Springs Creek, Wyoming. Four experiments were conducted to determine differences in catch per unit effort (CPUE) and length frequencies of fish among differing habitat types. The CPUE was highest in channel habitats with current, and one experiment indicated that it was particularly high at vertical interfaces with vegetation. Longer fish were captured in channel habitats away from vegetation than in vegetated areas. The CPUE was significantly greater during the day than at night during one experiment, but no significant differences were observed among the other three experiments. The traps were easy and inexpensive to construct, could be used in a variety of stream habitats, and may have applications in other small streams for sampling small, benthic fishes.

Wyoming↗

Conservation status of the American horseshoe crab, (Limulus polyphemus): A regional assessment

Horseshoe crabs have persisted for more than 200 million years, and fossil forms date to 450 million years ago. The American horseshoe crab ( Limulus polyphemus ), one of four extant horseshoe crab species, is found along the Atlantic coastline of North America ranging from Alabama to Maine, USA with another distinct population on the coasts of Campeche, Yucatán and Quintana Roo in the Yucatán Peninsula, México. Although the American horseshoe crab tolerates broad environmental conditions, exploitation and habitat loss threaten the species. We assessed the conservation status of the American horseshoe crab by comprehensively reviewing available scientific information on its range, life history, genetic structure, population trends and analyses, major threats, and conservation. We structured the status assessment by six genetically-informed regions and accounted for sub-regional differences in environmental conditions, threats, and management. The transnational regions are Gulf of Maine (USA), Mid-Atlantic (USA), Southeast (USA), Florida Atlantic (USA), Northeast Gulf of México (USA), and Yucatán Peninsula (México). Our conclusion is that the American horseshoe crab species is vulnerable to local extirpation and that the degree and extent of risk vary among and within the regions. The risk is elevated in the Gulf of Maine region due to limited and fragmented habitat. The populations of horseshoe crabs in the Mid-Atlantic region are stable in the Delaware Bay area, and regulatory controls are in place, but the risk is elevated in the New England area as evidenced by continuing declines understood to be caused by over-harvest. The populations of horseshoe crabs in the Southeast region are stable or increasing. The populations of horseshoe crabs in the Florida Atlantic region show mixed trends among areas, and continuing population reductions at the embayment level have poorly understood causes. Within the Northeast Gulf of Mexico, causes of population trends are poorly understood and currently there is no active management of horseshoe crabs. Horseshoe crabs within México have conservation protection based on limited and fragmented habitat and geographic isolation from other regions, but elevated risk applies to the horseshoe crabs in the Yucatán Peninsula region until sufficient data can confirm population stability. Future species status throughout its range will depend on the effectiveness of conservation to mitigate habitat loss and manage for sustainable harvest among and within regions.

Reviews in Fish Biology and Fisheries↗