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At least 631 records · Page 35Linked to original sources

Impacts of grade control structure installations on hydrology and sediment transport as an adaptive management strategy

The goal of this research was to examine the impacts of Grade Control Structure (GCS) installations at the Heard Scout Pueblo (HSP) study site in the City of Phoenix, Arizona, USA. The study site is around a high-use trail system and is comprised of eroded and incised channels that conduct high flows and associated sediments into a residential neighborhood downstream, a noted stormwater control problem. We established baseline conditions associated with rainfall/runoff response before structures were installed so we could have some data for comparison afterwards. Innovative monitoring equipment, including video cameras and pressure transducers (to calculate discharge); digital terrain models, sediment samplers and sediment chains (to measure erosion and deposition); soil moisture sensors in monitoring wells (to document infiltration and potential recharge); and weather stations (to track temperature and relative humidity) were established and a small Unmanned Aircraft System (sUAS) survey was completed by July, 11, 2017, in time for the typical summer monsoon season which officially runs from June 15th to September 30th. Only one pre-GCS installation rain event incurred a significant flow event (October 13, 2018). Natural Channel Design (NCD), a landscape restoration company with decades of experience, was hired through a competitive bid process to develop a novel layout of ~30 GCS installations (sills, modified one-rock dams (ORD), and plugs, as well as a modified Zuni-bowl). The American Conservation Experience (ACE) hand-built the structures based on these designs in the main channel from November 13, 2018 through December 1, 2018. ACE built another ten structures in locations adjacent to the channel from January 15 through January 18, 2019. NCD worked with the landscape forensics to identify a historic channel and reinstate it using GCS. A surface-water model was also applied, using some of the baseline measurements (terrain and hydraulic conductivity) to track the flows of water and potential infiltration associated with rainfall events before GCS installation, to assist NCD in their design. The same model was applied using the installed GCS locations to simulate impacts of the structures on flow and infiltration. Our model was able to predict the slight reduction and delay in peak flows for small events and simulate infiltration, which was measured and occurred in the channel. Results demonstrated that structures could increase infiltration by ~15% over time. More data describing geomorphology and hydrology after repeated rainfall events will allow for increased analyses. Innovative monitoring, including the large‐scale particle image velocimetry (LSPIV) were invaluable to this research. Given the arid-land location and added drought conditions, the water levels were not high enough to compute, even using the continuous slope-area method, so discharge was calculated solely using the LSPIV. The careful redundancy of data acquisition is extremely important when studying dryland hydrology. Weather data indicated that the HSP GCS installations created roughly a three-degree microclimate cooling effect for at least two days following rainfall events, as compared with the untreated channel. The cooling was attributed to increased moisture, evaporation, and latent heat expulsion from the evaporation.

Arizona↗

Twenty-three years of vegetation change in a fly-ash leachate impacted meadow

1. Blag Slough, located in Indiana Dunes National Lakeshore, has received leachates from nearby fly-ash ponds for 13 years (1967-1980). We have monitored vegetation and sediment of Blag Slough since 1982, two years after the sealing of the fly-ash ponds and one year after the substrate was first exposed. The pH of the soil has increased one order of magnitude from 3.0 to 4.0 over the 23 years (1982-2005). If the pH further increases the solubility of many heavy metals will decrease, except for arsenic. We provide evidence that boron and zinc were bioaccumulating in the leaves of woody plants in 1984. The ratio of leaf concentration and soil concentration of aluminum suggests this element was not bioaccumulating in woody plants in 1984. 2. Soil concentrations of iron, aluminum, arsenic, and strontium were higher nearest the fly-ash ponds in 2005. The southwest corner of Blag Slough and middle position of transect X had the highest elevated levels of these metals and correlated with the occurrence of mixed spikerush association (dominated by Eleocharis olivacea). 3. Only a few exotic species occurred in the Blag Slough. Common reed (Phragmites australis) was among such species that occurred in three large clones. Other exotic species included dandelion (Taraxacum officinale), mullein (Verbascum thapsis), Jerusalem oak goosefoot (Chenopodium botrys), and sheep sorrel (Rumex acetosella). Ruderal species have occurred including thistle (Cirsium spp.), fire weed (Erechtites hieracifolium), and horseweed (Conyza canadensis). While occasional cattail (Typha) have been sampled and mapped in Blag Slough they have never persisted for very long. 4. Species richness leveled off between 1991 and 2005, except for Transect X that had a peak in 1986-7. After an extreme rainfall event in August 18, 1990, Transect V had an average water depth of 0.70 cm, W had 7.1 cm, and X had 26.90 cm. Richness in Transect X declined to a low level in 1990 and 1991 after the extreme flooding event because this transect had the deepest surface water. 5. Typical late successional vegetation associations developed since 1991 include blue joint grass (Calamagrostis canadensis) and buttonbush (Cephalanthus occidentalis), but large areas consist of disturbance-dependent mosaics of rush (Juncus effusus) and other species. The large expanses of woolly sedge (Scirpus cyperinus) that dominated in the 1980’s was replaced by rush. 6. Late-successional associations (Glyceria canadensis and Calamagrostis canadensis) were closer to the wetland edge compared to the other associations after the dewatering. This pattern occurred because wet meadow vegetation persisted at the wetland edge during the period of industrial flooding, but since then these associations expanded greatly into the north half of Blag Slough. 7. Richness, diversity, and floristic quality index (FQI) increased with time at the plot, association, association trajectories, and wetland levels; whereas mean conservatism scores (mean C), the basis of FQI calculation, decreased in time. The high C values, assigned to coastal plain disjunct species and shrubs by judgment of botanists based on their empirical xii experience including regional or state level plant conservation designations are largely responsible for the contradicted trend between FQI and C. Such contradiction highlights a problem with the subjective assignment of C values, and thus the inadequacy of application of FQI in these wetland systems. 8. Occurrence of interveinal clearing in winged sumac (Rhus copallina), late boneset (Eupatorium serotinum), and black dewberry (Rubus occidentalis) suggest a potential phytotoxicity by heavy metals. However, cause-effect relationship between the metals and the plants are yet to be investigated. Nevertheless, boron and zinc accumulation ratios in leaves of woody plants (Betula populifolia, Populus tremuloides, Rhus copallina, and Rubus sp.) in 1984 suggest that boron and zinc were bioaccumulating in those species. Known toxicity effects of aluminum suggest that plants with vein clearing may be experiencing toxic effects of aluminum despite leaf concentrations 58 to 193 ppm. 9. In a greenhouse experiment, rye (Secale cereale) and radish (Raphanus sativus) germinated poorly in the sediments from Blag Slough having high concentrations of heavy metals (ZN, Mn, B, and NH4+) compared to potting soil. However, rye and radish plants grown in Blag Slough soil had shorter shoots and roots, lower root and shoot mass, and lower root to shoot mass ratios compared to plants grown in potting soil. These results suggest some effect of the soil constituents on rye and radish growth. 10. Positive signs in the recovery of Blag Slough include the increase in soil pH, the increasing dominance of late successional grasses, and the establishment of wetland zonation relative to seasonal water depth. Some areas of Blag Slough near the fly-ash ponds that continue to have high concentrations of heavy metals continue to be devoid of vegetation or are dominated by early successional species such as green spikerush. Localized heavy metal concentrations, evidence for zinc and boron bioaccumulation in 1984, vein clearing that persists today, effects of soil on rye and racish growth, and slow succession in the southern portion of Blag Slough suggest further toxicity study is necessary to better assess the impacts on this wetland ecosystem and identify restoration actions.

Indiana↗

Characterization of water quality and biological communities, Fish Creek, Teton County, Wyoming, 2007-2011

Fish Creek, an approximately 25-kilometer-long tributary to Snake River, is located in Teton County in western Wyoming near the town of Wilson. Fish Creek is an important water body because it is used for irrigation, fishing, and recreation and adds scenic value to the Jackson Hole properties it runs through. Public concern about nuisance growths of aquatic plants in Fish Creek has been increasing since the early 2000s. To address these concerns, the U.S. Geological Survey conducted a study in cooperation with the Teton Conservation District to characterize the hydrology, water quality, and biologic communities of Fish Creek during 2007–11. The hydrology of Fish Creek is strongly affected by groundwater contributions from the area known as the Snake River west bank, which lies east of Fish Creek and west of Snake River. Because of this continuous groundwater discharge to the creek, land-use activities in the west bank area can affect the groundwater quality. Evaluation of nitrate isotopes and dissolved-nitrate concentrations in groundwater during the study indicated that nitrate was entering Fish Creek from groundwater, and that the source of nitrate was commonly a septic/sewage effluent or manure source, or multiple sources, potentially including artificial nitrogen fertilizers, natural soil organic matter, and mixtures of sources. Concentrations of dissolved nitrate and orthophosphate, which are key nutrients for growth of aquatic plants, generally were low in Fish Creek and occasionally were less than reporting levels (not detected). One potential reason for the low nutrient concentrations is that nutrients were being consumed by aquatic plant life that increases during the summer growing season, as a result of the seasonal increase in temperature and larger number of daylight hours. Several aspects of Fish Creek’s hydrology contribute to higher productivity and biovolume of aquatic plants in Fish Creek than typically observed in streams of its size in Wyoming. Especially in the winter, the proportionately large, continuous gain of groundwater into Fish Creek in the perennial section keeps most of the creek free of ice. Because sunlight can still reach the streambed in Fish Creek and the water is still flowing, aquatic plants continue to photosynthesize in the winter, albeit at a lower level of productivity. Additionally, the cobble and large gravel substrate in Fish Creek provides excellent attachment points for aquatic plants, and when combined with Fish Creek’s channel stability allows rapid growth of aquatic plants once conditions allow during the spring. The aquatic plant community of Fish Creek was different than most streams in Wyoming in that it contains many different macrophytes—including macroalgae such as long streamers of Cladophora , aquatic vascular plants, and moss; most other streams in the state contain predominantly algae. From the banks of Fish Creek, the bottom of the stream sometimes appeared to be a solid green carpet. A shift was observed from higher amounts of microalgae in April/May to higher amounts macrophytes in August and October, and differences in the relative abundance of microalgae and macrophytes were statistically significant between seasons. Differences in dissolved-nitrate concentrations and in the nitrogen-to-phosphorus ratio were significantly different between seasons, as concentrations of dissolved nitrate decreased from April/May to August and October. It is likely that dissolved-nitrate concentrations in Fish Creek were lower in August and October because macrophytes were quickly utilizing the nutrient, and a negative correlation between macro-phytes and nitrate was found. Macroinvertebrates also were sampled because of their role as indicators of water quality and their documented responses to perturbation such as degradation of water quality and habitat. Statistically significant seasonal differences were noted in the macroinvertebrate community. Taxa richness and relative abundance of Ephemeroptera, Plecoptera, and Trichoptera, which tend to be intolerant of water-quality degradation, decreased from April/May to August; the same time period saw a corresponding increase in Diptera and noninsects, particularly Oligochaeta (worms) that are more tolerant. Seasonal changes in macroinvertebrate functional feeding groups were significantly different. The relative abundance of gatherer-collector and scraper feeding groups decreased from April/May to August, accompanied by an increase in filterer-collector and shredders feeding groups. Seasonal changes in feeding groups might be due to the seasonal shift in aquatic plant communities, as indicated by comparison with other streams in the area that had fewer aquatic macrophytes than Fish Creek. Statistical tests of macroinvertebrate metrics indicated few differences between years or biological sampling sites on Fish Creek, although the site farthest upstream sometimes was different not only in terms of macroinvertebrates but also in streamflow, water quality, and aquatic plants. Potential effects of contributions of additional nutrients to the Fish Creek ecosystem beyond the conditions sampled during the study period are not known. However, because virtually all of the detectable dissolved nitrate commonly was consumed by aquatic plants in August (leaving dissolved nitrate less than the reporting level in water samples), it is possible that increased nutrient contributions could cause increased growth of aquatic plants. Additional long-term monitoring of the stream, with concurrent data analysis and interpretation would be needed to determine the effects of additional nutrients on the aquatic plant community and on higher levels of the food chain.

Wyoming↗

Mid-contract management alters conservation reserve program vegetation in the central and western United States

Disturbances such as grazing, fire, and burrowing are historically important in North American grasslands, and plans for restoring disturbance regimes are often required for successful restoration. The U.S. Department of Agriculture’s Conservation Reserve Program (CRP) has become the dominant grassland restoration mechanism in many areas, and requires planned disturbances known as mid-contract management (MCM). We recorded evidence of MCM in CRP fields across a 14-state region of the western and central United States, then revisited fields after one to five years to characterize bare ground and vegetative cover and composition using edge-of-road visual surveys. We found a reduced cover of grasses up to five years after MCM, and a concomitant increased cover of flowering forbs and diversity of pollinator-friendly forbs. There was little measurable change in overall plant cover or bare ground cover between one and five years after MCM, though bare soil cover did increase slightly. Baseline tree and shrub covers were very low on average but highly variable due to outliers with high woody cover. After MCM, the presence of woody vegetation remained low and relatively constant. Grazing and haying resulted in a lower probability of noxious grass presence than mowing or disking, but haying and disking were better for inhibiting the presence of noxious forbs. These results show that MCM can be a useful tool for maintaining vegetation quality. The results also point to an important need to understand factors that influence the effects of MCM, including disturbance technique, disturbance frequency, drought, and climate.

Ecological Restoration↗

Invasive buffelgrass detection using high-resolution satellite and UAV imagery on Google Earth Engine

Methods to detect and monitor the spread of invasive grasses are critical to avoid ecosystem transformations and large economic costs. The rapid spread of non‐native buffelgrass (Pennisetum ciliare) has intensified fire risk and is replacing fire intolerant native vegetation in the Sonoran Desert of the southwestern US. Coarse‐resolution satellite imagery has had limited success in detecting small patches of buffelgrass, whereas ground‐based and aerial survey methods are often cost prohibitive. To improve detection, we trained 2 m resolution DigitalGlobe WorldView‐2 satellite imagery with 12 cm resolution unmanned aerial vehicle (UAV) imagery and classified buffelgrass on Google Earth Engine, a cloud computing platform, using Random Forest (RF) models in Saguaro National Park, Arizona, USA. Our classification models had an average overall accuracy of 93% and producer's accuracies of 94–96% for buffelgrass, although user's accuracies were low. We detected a 2.92 km 2 area of buffelgrass in the eastern Rincon Mountain District (1.07% of the total area) and a 0.46 km 2 area (0.46% of the total area) in the western Tucson Mountain District of Saguaro National Park. Buffelgrass cover was significantly greater in the Sonoran Paloverde‐Mixed Cacti Desert Scrub vegetation type, on poorly developed Entisols and Inceptisol soils and on south‐facing topographic aspects compared to other areas. Our results demonstrate that high‐resolution imagery improve on previous attempts to detect and classify buffelgrass and indicate potential areas where the invasive grass might spread. The methods demonstrated in this study could be employed by land managers as a low‐cost strategy to identify priority areas for control efforts and continued monitoring.

Arizona↗

Postfire management in forested public lands of the western USA

Forest ecosystems in the western United States evolved over many millennia in response to disturbances such as wildfires. Land use and management practices have altered these ecosystems, however, including fire regimes in some areas. Forest ecosystems are especially vulnerable to postfire management practices because such practices may influence forest dynamics and aquatic systems for decades to centuries. Thus, there is an increasing need to evaluate the effect of postfire treatments from the perspective of ecosystem recovery. We examined, via the published literature and our collective experience, the ecological effects of some common postfire treatments. Based on this examination, promising postfire restoration measures include retention of large trees, rehabilitation of firelines and roads, and, in some cases, planting of native species. The following practices are generally inconsistent with efforts to restore ecosystem functions after fire: seeding exotic species, livestock grazing, placement of physical structures in and near stream channels, ground-based postfire logging, removal of large trees, and road construction. Practices that adversely affect soil integrity, persistence or recovery of native species, riparian functions, or water quality generally impede ecological recovery after fire. Although research provides a basis for evaluating the efficacy of postfire treatments, there is a continuing need to increase our understanding of the effects of such treatments within the context of societal and ecological goals for forested public lands of the western United States.

Western United States↗

Wetland and water supply

The Geological Survey has received numerous inquiries about the effects of proposed changes in the wetland environment. The nature of the inquiries suggests a general confusion in the public mind as to wetland values and an increasing concern by the public with the need for facts as a basis for sound decisions when public action is required. Perhaps the largest gap in our knowledge is in regard to the role played by the wetland in the natural water scheme. Specialists in such fields as agriculture and conservation have studied the wetland in relation to its special uses and values for farming and as a habitat for fish and wildlife. However, except as studied incidentally by these specialists, the role of the wetland with respect to water has been largely neglected. This facet of the wetland problem is of direct concern to the Geological Survey. We commonly speak of water in terms of its place in the hydrologic environment---as, for example, surface water or ground water. These terms imply that water can be neatly pigeonholed. With respect to the wetland environment nothing can be further from the truth. In fact, one objective of this discussion is to demonstrate that for the wetland environment surface water, ground water, and soil water cannot be separated realistically, but are closely interrelated and must be studied together. It should be noted that this statement holds true for the hydrologic environment in general, and that the wetland environment is by no means unique in this respect. Our second and principal objective is to identify some of the problems that must be studied in order to clarify the role of the wetland in relation to water supply. We have chosen to approach these objectives by briefly describing one area for which we have some information, and by using this example to point out some of the problems that need study. First, however, let us define what we, as geohydrologists, mean by wetland and briefly consider wetland classifications. For our purpose wetlands are land areas that are covered with shallow water or subjected to intermittent flooding and subsequent slow drainage, and which generally are characterized by an accumulation of organic matter hereafter termed swamp deposits.' These wetlands may be classified in a number of different ways depending on the purpose of the classifier. For example, the Fish and Wildlife Service classifies wetlands into 20 different types based on water quality (fresh or salty), drainage, and vegetation. At the risk of some oversimplification we might consider 4 types of wetland from the standpoint of hydrology: (1) fresh-water swamps in which the swamp deposits are underlain by glacial till or bedrock; (2)fresh-water swamps in which the swamp deposits are underlain by marine or lacustrine clay and silt; (3) fresh-water swamps in which the swamp deposits are underlain by glacial outwash or alluvium consisting mostly of sand or sand and gravel; and (4) salt .marshes and salt meadows. The three fresh-water types of wetland are of interest with respect to water supply, and of these, the type in which swamp deposits are underlain by glacial outwash is of particular interest in New England. In the Ipswich River basin above the Geological Survey gaging station at South Middleton, Mass., is an area of 44 square miles which forms the headwaters section of the basin. The relief of the area is low. About half the area consists of hills mostly underlain by bedrock but mantled by a thin layer of glacial till. The other half consists Of lowlands---including swamps, low terraces and plains---underlain by glacial outwash, Swampland, used hereafter as a synonym for wetland, forms about a fourth of the area. Some of the swamps occupy depressions in the till blanket and are situated at somewhat higher levels than the lowlands. The largest swamps, however, border the Ipswich River and its tributaries. Here the swamp deposits, which consist of muck and peat mixed with s

Circular↗

The National Wind Erosion Research Network: Building a standardized long-term data resource for aeolian research, modeling and land management

The National Wind Erosion Research Network was established in 2014 as a collaborative effort led by the United States Department of Agriculture’s Agricultural Research Service and Natural Resources Conservation Service, and the United States Department of the Interior’s Bureau of Land Management, to address the need for a long-term research program to meet critical challenges in wind erosion research and management in the United States. The Network has three aims: (1) provide data to support understanding of basic aeolian processes across land use types, land cover types, and management practices, (2) support development and application of models to assess wind erosion and dust emission and their impacts on human and environmental systems, and (3) encourage collaboration among the aeolian research community and resource managers for the transfer of wind erosion technologies. The Network currently consists of thirteen intensively instrumented sites providing measurements of aeolian sediment transport rates, meteorological conditions, and soil and vegetation properties that influence wind erosion. Network sites are located across rangelands, croplands, and deserts of the western US. In support of Network activities, http://winderosionnetwork.org was developed as a portal for information about the Network, providing site descriptions, measurement protocols, and data visualization tools to facilitate collaboration with scientists and managers interested in the Network and accessing Network products. The Network provides a mechanism for engaging national and international partners in a wind erosion research program that addresses the need for improved understanding and prediction of aeolian processes across complex and diverse land use types and management practices.

Arizona, California, Colorado, Idaho, North Dakota↗

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↗

Areal distribution of selected trace elements, salinity, and major ions in shallow ground water, Tulare Basin, Southern San Joaquin Valley, California

The distribution of salinity and selected trace elements in shallow ground water in the Tulare Basin, California, was assessed to evaluate potential problems related to disposal in evaporation ponds of irrigation drain water containing elevated concentrations of selenium and other trace elements. The constituents of primary concern were selenium, arsenic, and salinity; uranium, boron, and molybdenum also were evaluated. Samples from 117 shallow wells were analyzed, and the results for samples from 110 of the wells were interpreted in relation to surficial geology, sediment depositional environment, soil characteristics, and hydrologic processes to determine the geochemical and hydrologic factors affecting the distribution of these constituents in ground water. In general, shallow ground water in areas where concentrations of salinity and most trace elements are elevated is influenced primarily by sediments derived from marine sedimentary rocks originating in the Coast Range, San Emigdio Mountains, and Tehachapi Mountains, and probably by unusual exposures of similar marine formations in the Sierra Nevada. Ground water in areas where concentrations of salinity and trace elements are significantly lower generally is influenced by igneous and metamorphic rocks exposed in the Sierra Nevada. In addition to sources of sediments, evaporation of shallow ground water, as indicated by isotopic enrichment of oxygen-18 and deuterium, increases salinity and concentrations of conservative trace elements such as selenium (under oxidizing conditions) and boron. Redox conditions affect the oxidation state of all trace elements of concern, except boron, and were found to be a major influence on trace-element solubility. Under oxidized conditions, selenate predominates and behaves conservatively, and arsenate predominates and is affected by sorption reactions that can limit arsenic solubility. Under reduced conditions, selenium is reduced to insoluble elemental selenium and arsenite predominates and generally is more soluble than arsenate. Elevated concentrations of uranium in shallow ground water probably are associated with uranium deposits in Kern County and other parts of the basin where oxidized conditions cause the more soluble uranyl species to predominate. Boron was correlated with salinity and behaved conservatively, whereas adsorption and precipitation of molybdenum minerals probably limited molybdenum solubility. Interrelations among constituents were examined with principal component analysis. The first two principal components explained 50.7 percent of the variance in the data. The first principal component was related to salinity, and the second principal component was related to redox conditions, reflecting two of the major influences on shallow groundwater quality found in this study.

California↗

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↗

Ecological effects of pinyon-juniper removal in the Western United States—A synthesis of scientific research, January 2014–March 2021

Executive Summary Increasing density of pinyon ( Pinus spp. ) and juniper ( Juniperus spp. ) woodlands (hereinafter “pinyon-juniper”), as well as expansion of these woodlands into adjacent shrublands and grasslands, has altered ecosystem function and wildlife habitat across large areas of the interior western United States. Although there are many natural and human-caused drivers of woodland infilling and expansion, restoration of sagebrush ( Artemisia spp. ) habitat through removal of pinyon-juniper is considered an urgent management objective in many locations, particularly in support of sagebrush-dependent wildlife species of conservation concern. In December 2020, the Bureau of Land Management (BLM) established the Pinyon-Juniper Management Categorical Exclusion (PJCX) to expedite the regulatory process for pinyon-juniper removal projects on public lands, largely intended to benefit mule deer ( Odocoileus hemionus ) and greater sage-grouse ( Centrocercus urophasianus ) habitats. During final preparation of this report, the BLM discontinued use of the PJCX (as of November, 2022), but the pinyon-juniper tree removal techniques assessed in this report are commonly used and understanding their effects remains relevant to land use planning. To address areas of uncertainty relative to potential ecological effects of the PJCX, we conducted a review of the peer-reviewed science literature to better understand the likely responses of vegetation, environmental (for example, soils), and wildlife variables to specific tree removal techniques permitted by the PJCX. In brief, the PJCX permitted removal of trees by either manual cutting, mechanical cutting, or mastication; allowed certain methods to redistribute or remove resulting tree biomass after treatment; and prohibited broadcast burning, roadbuilding, removal of old-growth, and seeding of non-native species. Specifically, we conducted our review to address the following questions: How will PJCX removal techniques affect plant communities, soils, and abiotic resources? How do these pinyon-juniper removal techniques affect wildlife communities, including both woodland- and sagebrush-dependent species? What are the potential ecological implications of different pinyon-juniper removal treatment types and implementation strategies (for example, treatment sizes) over time? What are the most important gaps in our scientific understanding of how treatments might affect targeted ecosystems over space and time (for example, potential effects of climate change)? To answer these questions, we considered studies related to pinyon-juniper ecosystems, focusing on research that occurred over a large portion of the interior western United States that is the primary focus of the PJCX. We also focused on papers published from 2014 onward, to avoid excessive overlap with other recent reviews on pinyon-juniper management effects. Using strict criteria, including only considering research that tested responses for statistical significance, we identified 48 papers that primarily examined treatment effects on vegetation and other environmental variables (1,709 responses), and 11 papers that addressed effects on wildlife (132 responses). Responses to the PJCX-permitted treatments were summarized as either positive (that is, a significant increase), negative (that is, a significant decrease), or non-significant (that is, no significant difference). Responses were assigned to categories (for example, Native Annual Grass/Forb Abundance) and hierarchical treatment levels. We found that there were large proportions of non-significant responses among all categories combined, with roughly half or more of all responses non-significant (48 percent for wildlife, 60 percent for vegetation-environmental), comparable to other recent systematic reviews of pinyon-juniper treatment effects. However, we also found that when there were significant responses, some important trends potentially emerged. Important undesirable outcomes included far more positive than negative responses of exotic grass and forb abundance among nearly all treatment types. Cutting treatments were also more likely to decrease biocrust cover and microbial activity. Potentially beneficial outcomes included mostly positive responses among sagebrush obligate species, including more positive than negative responses for mule deer and sage-grouse. Some treatment types (for example, mastication) also resulted in more positive than negative responses for native grasses and forbs (although, non-significant responses were the majority). We also highlighted many limitations of this review, including how responses often come from few studies, and how some response-treatment category combinations lack adequate response data. Moreover, the existing research is often insufficient to address many key questions about treatment effects, largely owing to short time-scales and limited spatial extents of observations, which do not match the size of treatments being implemented by land managers, nor capture long-term, post-treatment ecological dynamics. We also identify a lack of research that addresses key interactions that could undermine restoration objectives, including potential effects of climate change and grazing on post-treatment environments. Thus, we emphasize the importance of integrating these factors into future pinyon-juniper treatment research, and we stress the need for use of monitoring programs and research studies that partake in data collection and analysis over long durations and broad spatial scales.

Open-File Report↗

Disturbance to desert soil ecosystems contributes to dust-mediated impacts at regional scales

This review considers the regional scale of impacts arising from disturbance to desert soil ecosystems. Deserts occupy over one-third of the Earth’s terrestrial surface, and biological soil covers are critical to stabilization of desert soils. Disturbance to these can contribute to massive destabilization and mobilization of dust. This results in dust storms that are transported across inter-continental distances where they have profound negative impacts. Dust deposition at high altitudes causes radiative forcing of snowpack that leads directly to altered hydrological regimes and changes to freshwater biogeochemistry. In marine environments dust deposition impacts phytoplankton diazotrophy, and causes coral reef senescence. Increasingly dust is also recognized as a threat to human health.

Biodiversity and Conservation↗

The distributions of one invasive and two native crayfishes in relation to coarse-scale natural and anthropogenic factors

1. Native crayfishes are often extirpated from portions of their range because of interactions with invasive species, anthropogenic alterations to environmental conditions or a combination of these factors. Our goal was to identify coarse-scale natural and anthropogenic factors related to the current distributions of the invasive crayfish, Orconectes hylas , and two endemic crayfishes, Orconectes peruncus and Orconectes quadruncus in the St. Francis River drainage, Missouri, U.S.A. and to provide wider insights into the potential role of anthropogenic factors in facilitating species displacement. 2. We used classification trees to model coarse-scale natural and anthropogenic environmental factors and their relation to the presence or absence of each species. Model results were then used to predict probability of presence for each species within each stream segment throughout the entire St. Francis River drainage. 3. Factors related to geology and soils were the best predictors of species distributions. A dichotomy of these factors explained much of the discrete distributions of the two native species. Agricultural-related factors were identified as the most influential anthropogenic activity related to species distributions. All associations between the invasive species and anthropogenic factors were negative which suggested the invader was not likely to establish in heavily impacted areas. Overall, our models had high correct classification rates, and we were able to reliably predict the presence of the invader in the invaded drainage. 4. Given the negative associations of the invader with anthropogenic alterations at a coarse spatial scale, we believe other mechanisms are likely to be responsible for the widespread displacement of the two native species. These findings can be used to assist in conservation activities such as creation of refugia for native species and may direct future research to identify the mechanism(s) of species displacement.

Missouri↗

Responses to water depth and clipping of twenty−three plant species in an Indian monsoonal wetland

Responses of species to disturbances give insights into how species might respond to future wetland changes. In this study, species of monsoonal wetlands belonging to various functional types (graminoid and non−graminoid emergents, submersed aquatic, floating−leaved aquatic) varied in their growth responses to water depth and harvesting. We tested the effects of water depth (moist soil, flooded) and clipping (unclipped, and clipped) on the biomass and longevity of twenty−three dominant plant species of monsoonal wetlands in the Keoladeo National Park, India in a controlled experiment. With respect to total biomass and survival, six species responded positively to flooding and twelve species responded negatively to clipping. Responses to flooding and clipping, however, sometimes interacted. Individualistic responses of species to water levels and clipping regimes were apparent; species within a functional group did not always respond similarly. Therefore, detailed information on the individualistic responses of species may be needed to predict the vegetation composition of post−disturbance wetlands. In particular, as demands for fresh water increase around the world, studies of life history constraints and responses to hydrological changes will aid wetland managers in developing strategies to conserve biodiversity.

Keoladeo National Park↗

Assessment of bird response to the Migratory Bird Habitat Initiative using weather-surveillance radar

In response to the Deepwater Horizon oil spill in spring 2010, the Natural Resources Conservation Service implemented the Migratory Bird Habitat Initiative (MBHI) to provide temporary wetland habitat for migrating and wintering waterfowl, shorebirds, and other birds along the northern Gulf of Mexico via managed flooding of agricultural lands. We used weather-surveillance radar to conduct broad regional assessments of bird response to MBHI activities within the Mississippi Alluvial Valley and the West Gulf Coastal Plain. Across both regions, birds responded positively to MBHI management by exhibiting greater relative bird densities within sites relative to pre-management conditions in prior years and relative to surrounding non-flooded agricultural lands. Bird density at MBHI sites was generally greatest during winter for both regions. Unusually high flooding in the years prior to implementation of the MBHI confounded detection of overall changes in remotely sensed soil wetness across sites. The magnitude of bird response at MBHI sites compared to prior years and to non-flooded agricultural lands was generally related to the surrounding landscape context: proximity to areas of high bird density, amount of forested wetlands, emergent marsh, non-flooded agriculture, or permanent open water. However, these relationships varied in strength and direction between regions and seasons, a finding which we attribute to differences in seasonal bird composition and broad regional differences in landscape configuration and composition. We detected greater increases in relative bird use at sites in closer proximity to areas of high bird density during winter in both regions. Additionally, bird density was greater during winter at sites with more emergent marsh in the surrounding landscape. Thus, bird use of managed wetlands could be maximized by enrolling lands located near areas of known bird concentration and within a mosaic of existing wetlands. Weather-radar observations provide strong evidence that MBHI sites located inland from coastal wetlands impacted by the oil spill provided wetland habitat used by a variety of birds.

Gulf Of Mexico;Mississippi Alluvial Valley;West Gu↗

Methods of data collection and analysis for an assessment of karst aquifer systems between Albany and Buffalo, New York

The U.S. Geological Survey, in cooperation with the New York State Department of Environmental Conservation, catalogued aquifers and closed depressions in a karst-prone area between Albany and Buffalo, New York to provide resource managers information to more efficiently manage and protect groundwater resources. The New York State Department of Environmental Conservation has been working with the agricultural industry to raise awareness of karst aquifer contamination susceptibility and how to reduce effects on surface water and groundwater resources, especially in karst areas. There is also a need to make industries, State and local regulators, planners, and the public aware of New York’s karst resources to properly protect and manage these resources and the quality of surface water and groundwater that flows through the karst aquifer. Publicly available geospatial data were identified, collated, and analyzed for a region of karst terrain extending from Albany to Buffalo. The region was divided into 10 subareas. A series of geospatial datasets were assembled to determine the location and extent of karstic rock; bedrock geology and depth to bedrock; average water-table configuration; surficial geology; soil type, thickness, and hydraulic conductivity; land cover; and closed depressions in the land surface. Repeated glaciation and recession across New York have left the landscape pockmarked with closed depressions, which may or may not be related to the underlying bedrock. Closed depressions in areas where carbonate or evaporite karst are present are of primary concern to this study because of the increased potential of karst aquifer contamination from focused recharge. Closed depressions present in areas not associated with karst bedrock can also be evaluated to better understand their ability to transmit surface water to the groundwater system. Information on closed depressions can be used to develop land-management plans to protect local and regional water resources.

New York↗

Introduction and methods of analysis for peak streamflow trends and their relation to changes in climate in Illinois, Iowa, Michigan, Minnesota, Missouri, Montana, North Dakota, South Dakota, and Wisconsin

Flood-frequency analysis, also called peak-flow frequency or flood-flow frequency analysis, is essential to water resources management applications including critical structure design and floodplain mapping. Federal guidelines for doing flood-frequency analyses are presented in a U.S. Geological Survey Techniques and Methods Report known as Bulletin 17C. A basic assumption within Bulletin 17C is that for drainage basins without major hydrologic alterations, statistical properties of the distribution of annual peak streamflows (peak flows) are stationary; that is, the mean, variance, and skew are constant. The stationarity assumption has been widely accepted within the flood-frequency community; however, a better understanding of long-term climatic persistence and concerns about potential climate change and land-use change has caused a reexamination of the stationarity assumption. Flood-frequency analyses that do not incorporate observed trends and abrupt changes may result in a poor representation of the true flood risk. Bulletin 17C does not offer guidance for incorporating nonstationarities when estimating floods, and it describes a need for studies that incorporate changing climate or basin characteristics. In response to this need and a history of concern regarding nonstationarity peak flows in the region, this study was done by the U.S. Geological Survey, in cooperation with the Departments of Transportation of Illinois, Iowa, Michigan, Minnesota, Missouri, South Dakota, and Wisconsin; the Montana Department of Natural Resources and Conservation; and the North Dakota Department of Water Resources, to assess potential nonstationarity in peak flows in the north-central United States. This chapter summarizes the methods used to detect hydroclimatic changes in peak-flow data in the study region. A wide range of analyses and statistical approaches are applied to document the primary mechanisms controlling floods and characterize temporal changes in hydroclimatic variables and peak flow. Four periods were selected for analysis of peak flow, daily streamflow, and climate data. The periods are (1) a 100-year period, 1921–2020; (2) a 75-year period, 1946–2020; (3) a 50-year period, 1971–2020; and (4) a 30-year period, 1991–2020. The climate data consist of monthly time series estimates of temperature, precipitation, potential evapotranspiration, actual evapotranspiration, snowfall, soil moisture storage, snow water equivalent, and runoff on a 3.1-mile by 3.1-mile grid for the conterminous United States. Statistical and graphical analyses were used to investigate potential changes in hydrology and climate. The starting point for these analyses was the initial data analysis of peak flow described in Bulletin 17C, which includes plotting the peak flow and checking for autocorrelation, monotonic trends, and changes points. Analyses were added to examine additional features in the data. To examine potential causal drivers of changes, the climate data were analyzed graphically and statistically. Results are provided in a U.S. Geological Survey data release. The study limitations are documented for users of the results.

Iowa, Illinois, Michigan, Missouri, Minnesota, Mon↗