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At least 613 records · Page 34Linked to original sources

Methodological developments in US state-level Genuine Progress Indicators: toward GPI 2.0

The Genuine Progress Indicator (GPI) has emerged as an important monetary measure of economic well-being. Unlike mainstream economic indicators, primarily Gross Domestic Product (GDP), the GPI accounts for both the benefits and costs of economic production across diverse economic, social, and environmental domains in a more comprehensive manner. Recently, the GPI has gained traction in subnational policy in the United States, with GPI studies being conducted in a number of states and with their formal adoption by several state governments. As the GPI is applied in different locations, new methods are developed, different data sources are available, and new issues of policy relevance are addressed using its component indicators. This has led to a divergence in methods, reducing comparability between studies and yielding results that are of varying methodological sophistication. In this study, we review the “state of the art” in recent US state-level GPI studies, focusing on those from Hawaii, Maryland, Ohio, Utah, and Vermont. Through adoption of a consistent approach, these and future GPI studies could utilize a framework that supports more uniform, comparable, and accurate measurements of progress. We also identify longer-term issues, particularly related to treatment of nonrenewable resource depletion, government spending, income inequality, and ecosystem services. As these issues are successfully addressed and disseminated, a “GPI 2.0” will emerge that better measures economic well-being and has greater accuracy and policy relevance than past GPI measurements. As the GPI expands further into mainstream policy analysis, a more formal process by which methods could be updated, standardized, and applied is needed.

Hawai'i;Maryl;Ohio;Utah;Vermont↗

A framework for sustainable invasive species management: environmental, social and economic objectives

Applying the concept of sustainability to invasive species management (ISM) is challenging but necessary, given the increasing rates of invasion and the high costs of invasion impacts and control. To be sustainable, ISM must address environmental, social, and economic factors (or *pillars*) that influence the causes, impacts, and control of invasive species across multiple spatial and temporal scales. Although these pillars are generally acknowledged, their implementation is often limited by insufficient control options and significant economic and political constraints. In this paper, we outline specific objectives in each of these three *pillars* that, if incorporated into a management plan, will improve the plan's likelihood of sustainability. We then examine three case studies that illustrate how these objectives can be effectively implemented. Each pillar reinforces the others, such that the inclusion of even a few of the outlined objectives will lead to more effective management that achieves ecological goals, while generating social support and long-term funding to maintain projects to completion. We encourage agency directors and policy-makers to consider sustainability principles when developing funding schemes, management agendas, and policy.

Journal of Environmental Management↗

Carbon storage potential in a recently created brackish marsh in eastern North Carolina, USA

Carbon (C) sequestration through accumulated plant biomass and storage in soils can potentially make wetland ecosystems net C sinks. Here, we collected GHG flux, plant biomass, and litter decomposition data from three distinct vegetation zones ( Spartina alterniflora , Juncus roemerianus and Spartina patens ) on a 7-year-old created brackish marsh in North Carolina, USA, and integrate these data into an overall C mass balance budget. The marsh fixed an average of 1.85 g C m −2 day −1 through plant photosynthesis. About 41–46% of the fixed C remained in plants, while 18.4% of the C was decomposed and released back to the atmosphere as CO 2 and CH 4 , and 8.6–13.2% of the decomposed C was stored as soil C. In all, this created marsh sequestered 28.7–44.7 Mg CO 2 year −1 across the 14 ha marsh. Because the brackish marsh emitted only small amounts of CH 4 and N 2 O, the CO 2 equivalent emission of the marsh was −0.87 to −0.56 g CO 2-eq m −2 day −1 , indicating the marsh has a net effect in reducing GHGs to the atmosphere and contributes to cooling. However, resultant CO 2 credit (through the increment of soil C) would be worth only $30.76–$47.90 USD per hectare annually, or $431–$671 per year for the project, which, coupled with other enhanced ecosystem services, could provide landowners with some additional economic incentive for future creation projects. Nevertheless, C mass balance determinations and radiative cooling metrics showed promise in demonstrating the potential of a young created brackish marsh to act as a net carbon sink.

North Carolina↗

The colonial ascidian Didemnum sp. A: current distribution, basic biology and potential threat to marine communities of the northeast and west coasts of North America

Didemnum sp. A is a colonial ascidian with rapidly expanding populations on the east and west coasts of North America. The origin of Didemum sp. A is unknown. Populations were first observed on the northeast coast of the U.S. in the late 1980s and on the west coast during the 1990s. It is currently undergoing a massive population explosion and is now a dominant member of many subtidal communities on both coasts. To determine Didemnum sp. A's current distribution, we conducted surveys from Maine to Virginia on the east coast and from British Columbia to southern California on the west coast of the U.S. between 1998 and 2005. In nearshore locations Didemnum sp. A currently ranges from Eastport, Maine to Shinnecock Bay, New York on the east coast. On the west coast it has been recorded from Humboldt Bay to Port San Luis in California, several sites in Puget Sound, Washington, including a heavily fouled mussel culture facility, and several sites in southwestern British Columbia on and adjacent to oyster and mussel farms. The species also occurs at deeper subtidal sites (up to 81 m) off New England, including Georges, Stellwagen and Tillies Banks. On Georges Bank numerous sites within a 230 km2 area are 50–90% covered by Didemnum sp. A; large colonies cement the pebble gravel into nearly solid mats that may smother infaunal organisms. These observations suggest that Didemnum sp. A has the potential to alter marine communities and affect economically important activities such as fishing and aquaculture.

British Columbia, California, Connecticut, Maine, ↗

Challenge theme 5: Current and future needs of energy and mineral resources in the Borderlands and the effects of their development: Chapter 7 in United States-Mexican Borderlands: Facing tomorrow's challenges through USGS science

Exploration and extraction activities related to energy and mineral resources in the Borderlands—such as coal-fired power plants, offshore drilling, and mining—can create issues that have potentially major economic and environmental implications. Resource assessments and development projects, environmental studies, and other related evaluations help to understand some of these issues, such as power plant emissions and the erosion/denudation of abandoned mine lands. Information from predictive modeling, monitoring, and environmental assessments are necessary to understand the full effects of energy and mineral exploration, development, and utilization. The exploitation of these resources can negatively affect human health and the environment, its natural resources, and its ecological services (air, water, soil, recreation, wildlife, etc.). This chapter describes the major energy and mineral issues of the Borderlands and how geologic frameworks, integrated interdisciplinary (geobiologic) investigations, and other related studies can address the anticipated increases in demands on natural resources in the region.

United States-Mexico Borderlands↗

Global trends in emerging viral diseases of wildlife origin

Fifty years ago, infectious diseases were rarely considered threats to wildlife populations, and the study of wildlife diseases was largely a neglected endeavor. Furthermore, public health leaders at that time had declared that “it is time to close the book on infectious diseases and the war against pestilence won,” a quote attributed to Dr. William H. Stewart in 1967. There is some debate whether he actually said these words; however, they reflect the widespread belief at that time (Spellberg, 2008). Leap forward to today, and the book on infectious diseases has been dusted off. There is general consensus that the global environment favors the emergence of infectious diseases, and in particular, diseases of wildlife origin (Taylor et al., 2001). Examples of drivers of these infectious diseases include climate and landscape changes, human demographic and behavior changes, global travel and trade, microbial adaptation, and lack of appropriate infrastructure for wildlife disease control and prevention (Daszak et al., 2001). The consequences of these emerging diseases are global and profound with increased burden on the public health system, negative impacts on the global economy and food security, declines and extinctions of wildlife species, and subsequent loss of ecosystem integrity. For example, 35 million people are currently living with HIV infection globally (http://www.who.int/gho/hiv/en); 400 million poultry have been culled since 2003 as a result of efforts to control highly pathogenic H5N1 avian influenza (http://www.fao.org/avianflu/en/index.html), and there are increasing biological and ecological consequences. Examples of health threats to biodiversity include the “spillover” of human diseases to great ape populations (Köndgen et al., 2008), the near-extirpation of the black-footed ferret from canine distemper and sylvatic plague (for a review see Abbott et al., 2012), and threats to Hawaiian forest birds from introduced pathogens such as avian malaria and avian pox (van Riper et al., 1986, 2002). There are also newly discovered pathogens or diseases that have resulted in population declines, and global extinctions of several species. Examples include Batrachochytrium dendrobatidis, which causes a cutaneous fungal infection of amphibians and is linked to declines of amphibians globally (Kriger and Hero, 2009); and recently discovered Pseudogymnoascus (Geomyces) destructans, the etiologic agent of white-nose syndrome (WNS), which has caused precipitous declines of North American bat species (Blehert et al., 2009). Furthermore, there is increasing evidence of the subsequent impacts on human and ecosystem health; for example, increasing risk of exposure to Lyme disease as a consequence of decreased biodiversity (LoGiudice et al., 2003) as well as the economic cost of the loss of bats due to decreased insect control services (Boyles et al., 2011). Figure A12-1 is a timeline of important diseases investigated by the U.S. Geological Survey since the 1970s, which illustrates three factors: 1. The unprecedented emergence of new pathogens and geographic spread of known pathogens since the 1990s; 2. Diseases are increasingly causing large-scale, negative impacts on wildlife populations and spreading over larger geographic areas rather than remaining localized; and 3. Diseases are increasingly of concern for multiple sectors, including public health, agriculture and wildlife management agencies. Of increasing concern are these novel diseases such as WNS as they are hard to anticipate, particularly devastating to human health or wildlife populations, challenging to manage, spread over large geographic areas in short time periods, and may result in ecological ripple effects that are difficult to predict. The following article provides examples of recently emerged viral diseases of wildlife origin. The examples have been selected to illustrate the drivers of emerging viral diseases, both novel pathogens and previously known diseases, the impacts of these diseases, as well as the role of wildlife both as “villains” or reservoirs as well as “victims” of these viral diseases. The article also discusses potential management strategies for emerging viral diseases in wildlife populations and future science directions in wildlife health to prevent, prepare, respond to, and recover from these disease events. Finally, the concept of One Health and its potential role in developing solutions to these issues of mutual concern is discussed.

Conference Paper↗

Using angler-submitted records to interpret the spatial seasonality of a large predator (Black bass, Micropterus spp.)

In addition to having cultural, social, and economic significance, large predatory fish affect aquatic communities from the top down and serve as markers of ecosystem health. A focus on large predators is critical for managing ecosystems, conserving species, and guaranteeing the sustainability of aquatic resources. Recreational fishing is inherently biased towards large fish, and anglers possess the strength in numbers and geographical dispersion that enable them to sample the upper tiers of size distributions rarely encountered in standard fish surveys. We sought to further understand the ecological requirements and spatial seasonality of exceptionally sized black bass ( Micropterus spp.) via angler catches. Black bass > 3.6 kg were examined across 147 reservoirs in Texas, USA, with 2817 fish recorded by anglers into an online database in 2018–2024. Most fish were caught in late-winter and early-spring in line with spawning activities that included movements in-and-out of shallow water, nest building, and nest defense. Approximately 54 % of fish were caught with bottom-oriented fishing lures and techniques, and 40 % midwater; surface catches were less common. The efficacy of angling techniques varied seasonally. Those effective in winter were midwater, while those effective in summer were bottom or surface. Conversely, a combination of bottom and midwater techniques were effective in the fall and spring, suggesting cyclic habitat transitions. Moreover, the frequency with which fish were caught over various macrohabitats varied seasonally and cyclically. Our findings have the potential to inform habitat management that supports large predators and their migratory relocations. Our findings also underscore the value of using anglers and technology as sources of difficult-to-obtain fish and environmental data that may evade regular monitoring.

Texas↗

A model project for exploring the role of sustainability science in a citizen-centered, collaborative decision-making process

The role of science in society is evolving as we enter the 21st century. The report, Science — The Endless Frontier (Bush 1990[1945]), outlined a model of national scientific research that served the country for 50 years. The contract between science and society established in that report stipulated that science is essential and that basic research meets national needs (Pielke and Byerly 1998). This stipulation and the abundant — seemingly unlimited and unquestioned — funding for research during the Cold War caused many scientists to come to believe that funding for science was an entitlement independent of societal needs. Implicit in this belief is that science alone can solve society’s problems. We now are learning that many policy issues that involve science involve diverse economic, political, social, and aesthetic values as well, and rarely, if ever, is scientific information alone the basis of public policy (e.g., see Sarewitz 1996a, 1996b; Frodeman 1997). Moreover, resources are increasingly more limited and many in society are questioning the value of public-supported science.

Human Ecology Review↗

Assessment and management of dead-wood habitat

The Bureau of Land Management (BLM) is in the process of revising its resource management plans for six districts in western and southern Oregon as the result of the settlement of a lawsuit brought by the American Forest Resource Council. A range of management alternatives is being considered and evaluated including at least one that will minimize reserves on O&C lands. In order to develop the bases for evaluating management alternatives, the agency needs to derive a reasonable range of objectives for key issues and resources. Dead-wood habitat for wildlife has been identified as a key resource for which decision-making tools and techniques need to be refined and clarified. Under the Northwest Forest Plan, reserves were to play an important role in providing habitat for species associated with dead wood (U.S. Department of Agriculture Forest Service and U.S. Department of the Interior Bureau of Land Management, 1994). Thus, the BLM needs to: 1) address the question of how dead wood will be provided if reserves are not included as a management strategy in the revised Resource Management Plan, and 2) be able to evaluate the effects of alternative land management approaches. Dead wood has become an increasingly important conservation issue in managed forests, as awareness of its function in providing wildlife habitat and in basic ecological processes has dramatically increased over the last several decades (Laudenslayer et al., 2002). A major concern of forest managers is providing dead wood habitat for terrestrial wildlife. Wildlife in Pacific Northwest forests have evolved with disturbances that create large amounts of dead wood; so, it is not surprising that many species are closely associated with standing (snags) or down, dead wood. In general, the occurrence or abundance of one-quarter to one-third of forest-dwelling vertebrate wildlife species, is strongly associated with availability of suitable dead-wood habitat (Bunnell et al., 1999; Rose et al., 2001). In Oregon and Washington, approximately 150 species of wildlife are reported to use dead wood in forests (O’Neil et al., 2001). Forty-seven sensitive and special-status species are associated with dead wood (Appendix A). These are key species for management consideration because concern over small or declining populations is often related to loss of suitable dead-wood habitat (Marshall et al., 1996). Primary excavators (woodpeckers) also are often the focus of dead-wood management, because they perform keystone functions in forest ecosystems by creating cavities for secondary cavity-nesters (Martin and Eadie, 1999; Aubry and Raley, 2002). A diverse guild of secondary cavity-users (including swallows, bluebirds, several species of ducks and owls, ash-throated flycatcher, flying squirrel, bats, and many other species) is unable to excavate dead wood, and therefore relies on cavities created by woodpeckers for nesting sites. Suitable nest cavities are essential for reproduction, and their availability limits population size (Newton, 1994). Thus, populations of secondary cavity-nesters are tightly linked to the habitat requirements of primary excavators. Although managers often focus on decaying wood as habitat for wildlife, the integral role dead wood plays in ecological processes is an equally important consideration for management. Rose et al. (2001) provide a thorough review of the ecological functions of dead wood in Pacific Northwest forests, briefly summarized here. Decaying wood functions in: soil development and productivity, nutrient cycling, nitrogen fixation, and carbon storage. From ridge tops, to headwater streams, to estuaries and coastal marine ecosystems, decaying wood is fundamental to diverse terrestrial and aquatic food webs. Wildlife species that use dead wood for cover or feeding are linked to these ecosystem processes through a broad array of functional roles, including facilitation of decay and trophic interactions with other organisms (Marcot, 2002; Marcot, 2003). For example, by puncturing bark and fragmenting sapwood, woodpeckers create sites favorable for wood-decaying organisms (Farris et al., 2004), which in turn create habitat for other species and facilitate nutrient cycling. Small mammals that use down wood for cover function in the dispersal of plant seeds and fungal spores (Carey et al., 1999). Resident cavitynesting birds may regulate insect populations by preying on overwintering arthropods (Jackson, 1979; Kroll and Fleet, 1979). These examples illustrate how dead wood not only directly provides habitat for a large number of wildlife species, but also forms the foundation of functional webs that critically influence forest ecosystems (Marcot, 2002; Marcot, 2003). The important and far-reaching implications of management of decaying wood highlight the need for conservation of dead-wood resources in managed forests. Consideration of the key ecological functions of species associated with dead wood can help guide management of dead wood in a framework consistent with the paradigm of ecosystem management (Marcot and Vander Heyden, 2001; Marcot, 2002.) As more information is revealed about the ecological and habitat values of decaying wood, concern has increased over a reduction in the current amounts of dead wood relative to historic levels (Ohmann and Waddell, 2002). Past management practices have tended to severely reduce amounts of dead wood throughout all stages of forest development (Hansen et al., 1991). The large amounts of legacy wood that characterize young post-disturbance forests are not realized in managed stands, because most of the wood volume is removed at harvest for economic and safety reasons. Mid-rotation thinning is used to “salvage” some mortality that might otherwise occur due to suppression, so fewer snags are recruited in mid-seral stages. Harvest rotations of 80 years or less truncate tree size in managed stands, and thus limit the production of large-diameter wood. As a consequence of these practices, dead wood has been reduced by as much as 90% after two rotations of managed Douglas-fir (Rose et al., 2001). Large legacy deadwood is becoming a scarce, critical habitat that will take decades to centuries to replace. Furthermore, management continues to have important direct and indirect effects on the amount and distribution of dead wood in forests. Current guidelines for managing dead wood may be inadequate to maintain habitat for all associated species because they largely focus on a single use of dead wood (nesting habitat) by a small suite of species (cavity-nesting birds), and may under represent the sizes and amounts of dead wood used by many wildlife species (Rose et al., 2001, Wilhere, 2003).

Open-File Report↗

Research is needed to inform environmental management of hydrothermally inactive and extinct polymetallic sulfide (PMS) deposits

Polymetallic sulfide (PMS) deposits produced at hydrothermal vents in the deep sea are of potential interest to miners. Hydrothermally active sulfide ecosystems are valued for the extraordinary chemosynthetic communities that they support. Many countries, including Canada, Portugal, and the United States, protect vent ecosystems in their Exclusive Economic Zones. When hydrothermal activity ceases temporarily (dormancy) or permanently (extinction), the habitat and associated ecosystem change dramatically. Until recently, so-called “inactive sulfide” habitats, either dormant or extinct, received little attention from biologists. However, the need for environmental management of deep-sea mining places new imperatives for building scientific understanding of the structure and function of inactive PMS deposits. This paper calls for actions of the scientific community and the emergent seabed mining industry to i) undertake fundamental ecological descriptions and study of ecosystem functions and services associated with hydrothermally inactive PMS deposits, ii) evaluate potential environmental risks to ecosystems of inactive PMS deposits through research, and iii) identify environmental management needs that may enable mining of inactive PMS deposits. Mining of some extinct PMS deposits may have reduced environmental risk compared to other seabed mining activities, but this must be validated through scientific research on a case-by-case basis.

Marine Policy↗

Flying fish habitat and co-occurrence with seabirds in the northern Gulf of Mexico

Flying fish (family Exocoetidae ) play an important role in marine food webs, linking sub-surface and aerial predators. The association of seabirds with sub-surface predators in subtropical and tropical regions through facilitated foraging events is a well-known phenomenon and is sometimes used to identify fishing grounds for flying fish, flying fish roe, and tunas. In the northern Gulf of Mexico (nGoM), few studies have assessed flying fish distribution, and none have directly evaluated flying fish–seabird co-occurrence. Using vessel-based observations of surfacing flying fish flights, we characterized the distribution of flying fish and their co-occurrence patterns with seabirds in the nGoM. We modeled the distribution and relative density of flying fish flights using Generalized Additive Models. We then assessed co-occurrence patterns of flying fish with all seabird species seen in the area, encompassing the footprint of flying fish detections. Flying fish were detected across the U.S. Exclusive Economic Zone, with flight densities greater on the mid-continental shelf and into pelagic waters south of Louisiana, and greater flight densities were associated with regionally low chlorophyll- a and warm water. Flying fish flights were greatest in spring months through early fall months. Sooty terns ( Onychoprion fuscatus ), considered near-obligate commensals with tuna, contributed a much higher percent of the cumulative density of the seabirds co-occurring with versus without flying fish. Flying fish could be an ecological attractant for high abundances of visually conspicuous sooty terns, the presence of which may lead to the formation of ephemeral facilitated foraging events consisting of mixed-species seabird flocks.

Fisheries Oceanography↗

Climate change and the Rocky Mountains

Rural landscapes in the Andes are characterized by an impressive diversity of natural environments and by multiple resource assets. This is particularly the case in the tropical realm where the ecological altitudinal zones of the tierra caliente, the tierra templada, the tierra fria and the tierra helada offer a remarkable range of agricultural potential. This is complemented by a multitude of topographic, hydrographic and climatic niches. The landscape is further overlaid by a cultural mosaic and by the recent impact of political ecology parameters. These agricultural ‘archipelagos’ and ‘overlapping patchworks’ (Zimmerer 1999) of human utilization also represent fragile and potentially vulnerable regions exposed to environmental risks and to socioeconomic or political threats. The external natural and human stimulators or stressors affecting the environment and people are complemented by new challenges and changes within the rural societies. Thus, farming and human settlement in the Andes have millennia tradition of an ‘open’ rural system, constantly adapting to an array of changing environmental, political, cultural, social and economic conditions (Stadel 2003b, Stadel 2008).

Rocky Mountains↗

Wetland biomass and productivity in Coastal Louisiana: Base line data (1976-2015) and knowledge gaps for the development of spatially explicit models for ecosystem restoration and rehabilitation initiatives

Coastal Louisiana host 37% of the coastal wetland area in the conterminous US, including one of the deltaic coastal regions more susceptible to the synergy of human and natural impacts causing wetland loss. As a result of the construction of flood protection infrastructure, dredging of channels across wetlands for oil/gas exploration and maritime transport activities, coastal Coastal Louisiana hosts 37% of the coastal wetland area in the conterminous US, including one of the deltaic coastal regions more susceptible to the synergy of human and natural impacts causing wetland loss. As a result of the construction of flood protection infrastructure, dredging of channels across wetlands for oil/gas exploration and maritime transport activities, coastal Louisiana has lost approximately 4900 km2 of wetland area since the early 1930s. Despite the economic relevance of both wetland biomass and net primary productivity (NPP) as ecosystem services, there is a lack of vegetation simulation models to forecast the trends of those functional attributes at the landscape level as hydrological restoration projects are implemented. Here, we review the availability of peer-reviewed biomass and NPP wetland data (below and aboveground) published during the period 1976–2015 for use in the development, calibration and validation of high spatial resolution (<200 m × 200 m) vegetation process-based ecological models. We discuss and list the knowledge gaps for those species that represent vegetation community associations of ecological importance, including the long-term research issues associated to limited number of paired belowground biomass and productivity studies across hydrological basins currently undergoing different freshwater diversions management regimes and hydrological restoration priorities.

Louisiana↗

Evaluation of daily stream temperature predictions (1979-2021) across the contiguous United States using a spatiotemporal aware machine learning algorithm

Stream temperature controls a variety of physical and biological processes that affect ecosystems, human health, and economic activities. We used 42 years (1979–2021) of data to predict daily summary statistics of stream temperature across >50,000 stream reaches in the contiguous United States using a recurrent graph convolution network. We comprehensively documented the performance – both across all reaches and by stream type (e.g., reservoir or groundwater influence) – as a baseline for future improvement. The model showed reach-level RMSE of <2 °C with 90 % prediction intervals that contain 90.7 % of observations. We also assessed how the model captured variability in ecologically relevant metrics (e.g., R 2 for annual 7-day maximum = 0.76; R 2 for days exceeding 25 °C = 0.75). This model does not outperform state-of-the-art machine learning efforts (e.g., RMSE ≤1.5 °C) due to a limited input set but does provide the most spatially complete modeling to date to support water availability assessments.

contiguous United States↗

Mapping perceived social values to support a respondent-defined restoration economy: Case study in southeastern Arizona, USA

Investment in conservation and ecological restoration depends on various socioeconomic factors and the social license for these activities. Our study demonstrates a method for targeting management of ecosystem services based on social values, identified by respondents through a collection of social survey data. We applied the Social Values for Ecosystem Services (SolVES) geographic information systems (GIS)-based tool in the Sonoita Creek watershed, Arizona, to map social values across the watershed. The survey focused on how respondents engage with the landscape, including through their ranking of 12 social values (eg, recreational, economic, or aesthetic value) and their placement of points on a map to identify their associations with the landscape. Additional information was elicited regarding how respondents engaged with water and various land uses, as well as their familiarity with restoration terminology. Results show how respondents perceive benefits from the natural environment. Specifically, maps of social values on the landscape show high social value along streamlines. Life-sustaining services, biological diversity, and aesthetics were the respondents’ highest rated social values. Land surrounding National Forest and private lands had lower values than conservation-based and state-owned areas, which we associate with landscape features. Results can inform watershed management by allowing managers to consider social values when prioritizing restoration or conservation investments.

Arizona↗

Research in coal paleobotany since 1943

The varied applications of paleobotany to coal resource studies, coal technology, and to fundamental physical and chemical research on coal are briefly indicated. The usual conception of paleobotany is not as broad as this, and many of the studies of fossil plants have been conducted without reference to the part the plant materials assume in composing coal. The interrelationship of paleobotany with the physical constitution and petrography of coal is an intimate one. which is too involved for treatment in the present paper. Chief emphasis is devoted to review of plant microfossil investigations during the past several years.The consistent abundance of plant microfossils in coal and its associated rocks is now generally recognized. One of the greatest difficulties in using this material for correlation and for extending our knowledge of the plant composition of coal has been in systematic (taxonomic) treatment of the materials. The reviews of recent literature are presented chiefly with reference to the diverse systematic approaches of various authors. The contrast between essentially nonbotanical or morphologic classification schemes, which are simpler to apply and which may serve adequately for local correlational studies, and those studies conceived on a more fundamental basis of plant taxonomy, for paleogeographic and ecologic interpretation of botanically related groups, is presented. Both viewpoints should be kept clearly in mind, since differing circumstances of study and differing objectives may suggest the advisability of using one rather than the other method of systematic treatment of these fossils. No other fossils are so conveniently available from the coal deposits of primary interest.

Economic Geology↗

Integrating ecological impacts: Perspectives on drought in the Upper Missouri Headwaters, Montana, United States

Drought is a complex challenge experienced in specific locations through diverse impacts, including ecological impacts. Different professionals involved in drought preparedness and response approach the problem from different points of view, which means they may or may not recognize ecological impacts. This study examines the extent to which interviewees perceive ecological drought in the Upper Missouri Headwaters basin in southwestern Montana. Through semistructured interviews, this research investigates individuals’ perceptions of drought by analyzing how they define drought, how they describe their roles related to drought, and the extent to which they emphasize ecological impacts of drought. Results suggest that while most interviewees have an integrated understanding of drought, they tend to emphasize either ecological or nonecological impacts of drought. This focus was termed their drought orientation. Next, the analysis considers how participants understand exposure to drought. Results indicate that participants view drought as a complex problem driven by both human and natural factors. Last, the paper explores understandings of the available solution space by examining interviewees’ views on adaptive capacity, particularly factors that facilitate or hinder the ability of the Upper Missouri Headwaters region to cope with drought. Participants emphasized that adaptive capacity is both helped and hindered by institutional, cultural, and economic factors, as well as by available information and past resource management practices. Understanding how interviewees perceive the challenges of drought can shape drought preparedness and response, allowing those designing programs to better align their efforts to the perceptions of their target audience.

Montana↗

Transboundary movement of airborne pollutants — A methodology for integrating spaceborne images and ground based data

The availability of relevant and accurate environmental information is essential for environmental policy-makers. Recent improvements in satellite remote sensing technologies, groundbased monitors, and data access have resulted in the ability to observe and assess major atmospheric and ecological events around the world on a timely basis Each of these monitoring technologies reveals different and useful information, yet rarely are the resulting data sets used together in an integrated manner. The U.S. Environmental Protection Agency (EPA) and the United Nations Environment Programme (UNEP) Global Resource Information Database (GRID) office in Sioux Falls identified an environmental issue of global interest as a test case for applying an integrated approach: the transboundary movement of atmospheric pollutants. Transboundary movement of atmospheric pollutants has ramifications for human and environmental health, as well as economic impacts. As a result, it is the focus of many bilateral, regional, and international policy efforts. A central question with atmospheric pollutant transport is how to monitor pollutant movement and how to merge different monitoring datasets into useful information. Highly visible regional plumes of dust, smoke, and urban haze can be seen with satellite sensors, while ground-based monitoring of air pollutants such as fine particulates, SO2 , and toxics occurs at the local level. Integration of these two kinds of measurements allows the user to remotely observe large environmental effects in many areas of the world, while obtaining more detailed information from ground-based monitors. Hence, the combination of satellite-based sensor data and ground-based monitoring data promotes greater understanding of the movement of pollutants than either data set alone. Combined data sets are important for use by both scientists and international policy-makers. A standard methodology did not exist to guide and encourage integrated use of satellite images and ground-based data to monitor and understand major pollution events, such as air pollution. Thus, a small team was assembled to develop a methodology for the integration of satellite images and ground-based data. First, we conducted a literature and project review covering past and current integrated remote and ground-based data projects, a literature search of published work, and a search of data sets and technologies that could be used in a combined form. Second, based on this search and documentation, a general methodology was developed for using integrated spaceborne and ground-based data sets, intended as a guide for general scientists and policy-makers. Third, we found an existing project that was willing to be a pilot for testing the methodology: a U.S. EPANOAA project that was using aerial and ground-based sampling to learn more about the airborne sources of mercury deposition in the Florida Everglades. This document presents the results of the literature and project review, the complete methodology, and the outcome of the Florida Everglades pilot project.

Report↗