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At least 649 records · Page 36Linked to original sources

Cross-shelf transport into nearshore waters due to shoaling internal tides in San Pedro Bay, CA

In the summer of 2001, a coastal ocean measurement program in the southeastern portion of San Pedro Bay, CA, was designed and carried out. One aim of the program was to determine the strength and effectiveness of local cross-shelf transport processes. A particular objective was to assess the ability of semidiurnal internal tidal currents to move suspended material a net distance across the shelf. Hence, a dense array of moorings was deployed across the shelf to monitor the transport patterns associated with fluctuations in currents, temperature and salinity. An associated hydrographic program periodically monitored synoptic changes in the spatial patterns of temperature, salinity, nutrients and bacteria. This set of measurements show that a series of energetic internal tides can, but do not always, transport subthermocline water, dissolved and suspended material from the middle of the shelf into the surfzone. Effective cross-shelf transport occurs only when (1) internal tides at the shelf break are strong and (2) subtidal currents flow strongly downcoast. The subtidal downcoast flow causes isotherms to tilt upward toward the coast, which allows energetic, nonlinear internal tidal currents to carry subthermocline waters into the surfzone. During these events, which may last for several days, the transported water remains in the surfzone until the internal tidal current pulses and/or the downcoast subtidal currents disappear. This nonlinear internal tide cross-shelf transport process was capable of carrying water and the associated suspended or dissolved material from the mid-shelf into the surfzone, but there were no observation of transport from the shelf break into the surfzone. Dissolved nutrients and suspended particulates (such as phytoplankton) transported from the mid-shelf into the nearshore region by nonlinear internal tides may contribute to nearshore algal blooms, including harmful algal blooms that occur off local beaches.

California↗

The liquefaction record of past earthquakes in the Central Virginia Seismic Zone, Eastern United States

Following the 2011 moment magnitude, M "> M M 5.7 Mineral, Virginia, earthquake, we conducted a search for paleoliquefaction features and found 41 sand dikes, sand sills, and soft‐sediment deformation features at 24 sites exposed in cutbanks along several rivers: (1) the South Anna River, where paleoliquefaction features were found in the epicentral area of the Mineral earthquake and farther downstream to the southeast; (2) the Mattaponi and Pamunkey Rivers east of the Fall Line, where liquefiable sediments are more common than in the epicentral area; and (3) the James River and Rivanna River–Stigger Creek, where a few sand dikes were found in the 1990s. Liquefaction features are grouped into two age categories based on dating of host sediment in which they occur and weathering characteristics of the features. A younger generation of features that formed during the past 350 yr are small, few in number, and appear to be limited to the James and Pamunkey Rivers. Though there are large uncertainties in their locations and magnitudes, one or more preinstrumental earthquakes, including the 1758, 1774, and 1875 events, likely caused these features. An older generation of liquefaction features that formed between 350 and 2800 yr ago are larger, more numerous, and more broadly distributed than the younger generation of features. Several earthquakes could account for the regional distribution of paleoliquefaction features, including one event of M "> M M 6.25–6.5 near Holly Grove, or two events of M "> M M 6.0 near Mineral and M "> M M 6.25 near Ashland. Amplification of ground motions in Coastal Plain sediment might have contributed to liquefaction along the Mattaponi and Pamunkey Rivers.

Seismological Research Letters↗

AMAP Assessment 2013: Arctic Ocean acidification

This assessment report presents the results of the 2013 AMAP Assessment of Arctic Ocean Acidification (AOA). This is the first such assessment dealing with AOA from an Arctic-wide perspective, and complements several assessments that AMAP has delivered over the past ten years concerning the effects of climate change on Arctic ecosystems and people. The Arctic Monitoring and Assessment Programme (AMAP) is a group working under the Arctic Council. The Arctic Council Ministers have requested AMAP to: - produce integrated assessment reports on the status and trends of the conditions of the Arctic ecosystems; - identify possible causes for the changing conditions; - detect emerging problems, their possible causes, and the potential risk to Arctic ecosystems including indigenous peoples and other Arctic residents; and to - recommend actions required to reduce risks to Arctic ecosystems. This report provides the accessible scientific basis and validation for the statements and recommendations made in the Arctic Ocean Acidification Assessment Summary for Policy-makers that was delivered to Arctic Council Ministers at their meeting in Kiruna, Sweden in May 2011 and the related AMAP State of the Arctic Environment report Arctic Ocean Acidification 2013: An Overview . It includes extensive background data and references to the scientific literature, and details the sources for figures reproduced in the overview report. Whereas the Summary for Policy-makers report contains recommendations that focus mainly on policy-relevant actions concerned with addressing the consequences of AOA, the conclusions and recommendations presented in this report also cover issues of a more scientific nature, such as proposals for filling gaps in knowledge, and recommendations relevant to future monitoring and research work. The AOA assessment was conducted between 2010 and 2013 by an international group of over 60 experts. Lead authors were selected based on an open nomination process coordinated by AMAP. A similar process was used to select international experts who independently reviewed this report. Information contained in this report is fully references and based on first and foremost peer-reviewed and published results of research and monitoring undertaken since 2006. It also incorporates some new (unpublished) information from monitoring and research conducted according to well-established and documented national and international standards of quality assurance/quality control protocols. Care has been taken to ensure that no critical probability statements are based on non-peer-reviewed materials. Access to reliable and up-to-date information is essential for the development of science-based decision-making regarding ongoing changes in the Arctic and their global implications. The AOA assessment summary reports and films have therefore been developed specifically for policy-makers, summarizing the main findings of the AOA assessment. The AOA lead authors have confirmed that both this report and its derivative products accurately and fully reflect their scientific assessment. The AOA reports and the films are freely available from the AMAP Secretariat and on the AMAP website: www.amap.no, and their use for educational purposes is encouraged. AMAP would like to express its appreciation to all experts who have contributed their time, efforts and data, in particular the lead authors who coordinated the production of this report. Thanks are also due to the reviewers who contributed to the AOA peer-review process and provided valuable comments that helped to ensure the quality of the report. A list of the main contributors is included at the start of each chapter. The list is not comprehensive. Specifically, it does not include the many national institutes, laboratories and organizations, and their staff, which have been involved in various countries in AOA-related monitoring and research. Apologies, and no lesser thanks are given to any individuals unintentionally omitted from the list. The support from the Arctic countries and non-Arctic countries implementing research and monitoring in the Arctic is vital to the success of AMAP. The AMAP work is essentially based on ongoing activities within these countries, and the countries that provide the necessary support for most the experts involved in the preparation of the AMAP assessments. In particular, AMAP would like to acknowledge Norway for taking the lead-country role in this assessment and thank Canada, Norway, Sweden, USA and the Nordic Council of Ministers for their financial support to the AOA work. The AMAP Working Group is pleased to present its assessment to the Arctic Council and the international science community. Richard Bellerby (AOA assessment Chair) Russel Shearer (AMAP Chair) Lars-Otto Reiersen (AMAP Executive Secretary) Oslo, May 2013

Report↗

Sensitivity of system stability to model structure

A community is stable, and resilient, if the levels of all community variables can return to the original steady state following a perturbation. The stability properties of a community depend on its structure, which is the network of direct effects (interactions) among the variables within the community. These direct effects form feedback cycles (loops) that determine community stability. Although feedback cycles have an intuitive interpretation, identifying how they form the feedback properties of a particular community can be intractable. Furthermore, determining the role that any specific direct effect plays in the stability of a system is even more daunting. Such information, however, would identify important direct effects for targeted experimental and management manipulation even in complex communities for which quantitative information is lacking. We therefore provide a method that determines the sensitivity of community stability to model structure, and identifies the relative role of particular direct effects, indirect effects, and feedback cycles in determining stability. Structural sensitivities summarize the degree to which each direct effect contributes to stabilizing feedback or destabilizing feedback or both. Structural sensitivities prove useful in identifying ecologically important feedback cycles within the community structure and for detecting direct effects that have strong, or weak, influences on community stability. The approach may guide the development of management intervention and research design. We demonstrate its value with two theoretical models and two empirical examples of different levels of complexity. ?? 2009 Elsevier B.V. All rights reserved.

Ecological Modelling↗

Report of the United States Geological Survey of the Territories Volume III: The vertebrata of the tertiary formations of the West Book I

I send herewith a report on the Tertiary Faunae of the United States as represented by collections made in various Territories and States west of the Mississippi River, embraced within the boundaries of your survey. The explorations from which the collections have been derived cover portions of the States and Territories included between British America on the north, the western boundaries of Minnesota and Missouri on the east; the northern borders of the Indian Territory and Arizona, and the middle of New Mexico on the south; and the Sierra Nevada on the west. The amount of material which I have procured through these explorations is large, and is but partially represented in the following pages. I trust that you will find the results a useful contribution to the records of your Geological Survey and to the science to which you have devoted your life ; and that you may find in this report some compensation for the arduous official duties which have recently withdrawn you to some degree from your chosen field of research.

Report↗

Multiple lines of evidence for identifying potential hazards to fish from contaminants of emerging concern in Great Lakes tributaries

Contaminants of emerging concern (CECs; e.g., pharmaceuticals, flame retardants, pesticides, and industrial chemicals) are omnipresent throughout tributaries to the Great Lakes. Furthermore, CECs are often present at concentrations that are potentially hazardous to aquatic species. Since 2010, we characterized the presence of CECs at 309 sites within 47 Great Lakes tributaries and characterized responses of fathead minnow ( Pimephales promelas ) exposed to river water at a subset of 26 sites within four tributaries. Our work resulted in three independent lines of evidence related to the potential hazards of CEC exposure to fish. First, vulnerability (where vulnerability refers to likelihood) of surface waters to CEC presence was predicted using select watershed characteristics. Second, hazard to fish (where hazard means the potential for adverse biological responses) was predicted using screening values for a subset of CECs. Third, biological responses of fathead minnow exposed to river water in streamside exposures were measured. We assessed the congruence of these three lines of evidence for identifying sites with elevated hazards to CEC exposure. Predicted vulnerability and hazards agreed at 66% of all sites. Where the two indices did not agree, vulnerability often underestimated predicted hazard. When compared with measured biological responses from streamside exposures, predicted hazards agreed for 42% of samples. Furthermore, when predicted hazards for specific effect categories were compared with similar measured biomarkers, 26% and 46% of samples agreed for reproductive and physiological effect categories, respectively. Overall, vulnerability and hazard predictions tended to overestimate the measured biological responses, providing a protective estimate of the potential hazards of CEC exposure to fish. When used together, these three approaches can help resource managers prioritize management activities in minimizing hazards of CEC exposure and can be used by researchers to prioritize studies focused on understanding the hazards of CEC exposure to fish. Integr Environ Assess Manag 2022;18:1246–1259. © 2021 The Authors. Integrated Environmental Assessment and Management published by Wiley Periodicals LLC on behalf of Society of Environmental Toxicology & Chemistry (SETAC). This article has been contributed to by US Government employees and their work is in the public domain in the USA.

Great Lakes↗

Distribution and abundance of freshwater polychaetes, Manayunkia speciosa (Polychaeta), in the Great Lakes with a 70-year case history for western Lake Erie

Manayunkia speciosa has been a taxonomic curiosity for 150 years with little interest until 1977 when it was identified as an intermediate host of a fish parasite (Ceratomyxa shasta) responsible for fish mortalities (e.g., chinook salmon). Manayunkia was first reported in the Great Lakes in 1929. Since its discovery, the taxon has been reported in 50% (20 of 40 studies) of benthos studies published between 1960 and 2007. When found, Manayunkia comprised < 1% of benthos in 70% of examined studies. In one extensive study, Manayunkia occurred in only 26% of 378 sampled events (1991–2009). The taxon was found at higher densities in one area of Lake Erie (mean = 3658/m 2 ) and Georgian Bay (1790/m 2 ) than in five other areas (mean = 60 to 553/m 2 ) of the lakes. A 70-year history of Manayunkia in western Lake Erie indicates it was not found in 1930, was most abundant in 1961 (mean = 8039, maximum = 67,748/m 2 ), and decreased in successive periods of 1982 (3529, 49,639/m 2 ), 1993 (1876, 25,332/m 2 ), and 2003 (79, 2583/m 2 ). It occurred at 48% of stations in 1961, 58% in 1982, 52% in 1993, and 6% of stations in 2003. In all years, Manayunkia was distributed primarily near the mouth of the Detroit River. Causes for declines in distribution and abundance are unknown, but may be related to pollution-abatement programs that began in the 1970s, and invasion of dreissenid mussels in the late-1980s which contributed to de-eutrophication of western Lake Erie. At present, importance of the long-term decline of Manayunkia in Lake Erie is unknown.

Great Lakes↗

Volcanology: Lessons learned from Synthetic Aperture Radar imagery

Twenty years of continuous Earth observation by satellite SAR have resulted in numerous new insights into active volcanism, including a better understanding of subsurface magma storage and transport, deposition of volcanic materials on the surface, and the structure and development of volcanic edifices. This massive archive of data has resulted in fundamental leaps in our understanding of how volcanoes work &ndash; for example, identifying magma accumulation at supposedly quiescent volcanoes, even in remote areas or in the absence of ground-based data. In addition, global compilations of volcanic activity facilitate comparison of deformation behavior between different volcanic arcs and statistical evaluation of the strong link between deformation and eruption. SAR data are also increasingly used in timely hazard evaluation thanks to decreases in data latency and growth in processing and analysis techniques. The existing archive of SAR imagery is on the cusp of being enhanced by a new generation of satellite SAR missions, in addition to ground-based and airborne SAR systems, which will provide enhanced temporal and spatial resolution, broader geographic coverage, and improved availability of data to the scientific community. Now is therefore an opportune time to review the contributions of SAR imagery to volcano science, monitoring, and hazard mitigation, and to explore the future potential for SAR in volcanology. Provided that the ever-growing volume of SAR data can be managed effectively, we expect the future application of SAR data to expand from being a research tool for analyzing volcanic activity after the fact, to being a monitoring and research tool capable of imaging a wide variety of processes on different temporal and spatial scales as those processes are occurring. These data can then be used to develop new models of how volcanoes work and to improve quantitative forecasts of volcanic activity as a means of mitigating risk from future eruptions.

Journal of Volcanology and Geothermal Research↗

Potential oxygen demand of sediments from Lake Erie

Dreissenid mussels ( Dreissena polymorpha and D. bugensis ) biodeposit large quantities of filtered materials (i.e., feces and pseudofeces) directly on bottom substrates. These biodeposits have the potential to increase oxygen demand in sediments and overlying waters and thus contribute to hypolimnetic anoxia in Lake Erie. We hypothesized that higher potential oxygen demand of sediments would occur in areas near shore than in offshore hypolimnetic waters as a result of biodeposits carried by currents from littoral water where mussels, available foods, and biodeposits may be most abundant. To address this hypothesis, we measured potential oxygen demand (mg O2/L/120 h incubation) at six sites near shore and six sites offshore monthly June to September 2002 and August 2003. In addition, we compared, in post priori hypothesis, seven sites with and five sites without dreissenid mussels. Contrary to our hypotheses, potential oxygen demand was not significantly higher in bottles containing nearshore sediments than offshore sediments. Similarly, potential oxygen demand was not significantly higher at sites with dreissenid mussels than at sites without mussels. Data are consistent with pre-dreissenid studies which show oxygen demand and percent ash-free dry weights of sediments were higher offshore than near shore and ash-free dry weight of sediments decreased June to September. Therefore, the present study provides no evidence that dreissenid mussels have contributed directly-via biodeposition-to increased anoxia observed in Lake Erie in the mid to late 1990s.

Lake Erie↗

Seasonal variation in sediment delivery across the bay-marsh interface of an estuarine salt marsh

Sediment transport across bay–marsh interfaces depends on wave energy, vegetation, and marsh-edge morphology, and varies over a range of timescales. We investigated these dynamics in a tidal salt marsh with a gently-sloped, vegetated edge adjacent to northern San Francisco Bay. Spartina foliosa (cordgrass) inhabits the lower marsh and Salicornia pacifica (pickleweed) predominates on the marsh plain. We measured suspended-sediment concentration (SSC) and hydrodynamics in bay shallows and along a 100-m cross-shore transect in the marsh, during winter and summer. Four-year averaged accretion measured with marker-horizon plots was twice as great along the marsh transect as adjacent to a tidal creek, 50 m from the bay. We estimated deposition and trapping efficiency from the time-series data to assess its variation with season and wave energy. At high tide the transition zone (between cordgrass and pickleweed) was usually erosional, the pickleweed zone was depositional, and both erosion and deposition increased with wave energy, as did the landward position of maximum deposition. Erosion from the transition zone accounted for approximately one-third of the sediment flux into the pickleweed. In the pickleweed zone, SSC, the difference between flood- and ebb-tide SSC and trapping efficiency were greater in summer than winter for comparable wave conditions, which we attribute to increased sediment trapping by dense summer cordgrass. Moderate waves in summer (46%) accounted for more annual accretion in the pickleweed zone than larger waves in winter (28%), although the contribution of winter storms was diminished by the dry winter during the study.

California↗

Estimating the impact of seep methane oxidation on ocean pH and dissolved inorganic radiocarbon along the U.S. mid‐Atlantic Bight

Ongoing ocean warming can release methane (CH 4 ) currently stored in ocean sediments as free gas and gas hydrates. Once dissolved in ocean waters, this CH 4 can be oxidized to carbon dioxide (CO 2 ). While it has been hypothesized that the CO 2 produced from aerobic CH 4 oxidation could enhance ocean acidification, a previous study conducted in Hudson Canyon shows that CH 4 oxidation has a small short‐term influence on ocean pH and dissolved inorganic radiocarbon. Here we expand upon that investigation to assess the impact of widespread CH 4 seepage on CO 2 chemistry and possible accumulation of this carbon injection along 234 km of the U.S. Mid‐Atlantic Bight. Consistent with the estimates from Hudson Canyon, we demonstrate that a small fraction of ancient CH 4 ‐derived carbon is being assimilated into the dissolved inorganic radiocarbon (mean fraction of 0.5 ± 0.4 %). The areas with the highest fractions of ancient carbon coincide with elevated CH 4 concentration and active gas seepage. This suggests that aerobic CH 4 oxidation has a greater influence on the dissolved inorganic pool in areas where CH 4 concentrations are locally elevated, instead of displaying a cumulative effect downcurrent from widespread groupings of CH 4 seeps. An upper limit approximation of the input rate of ancient‐derived DIC into the waters overlying the northern U. S Mid‐Atlantic Bight further suggests that oxidation of ancient CH 4 ‐derived carbon is not negligible on the global scale and could contribute to deep‐water acidification over longer time scales.

Journal of Geophysical Research- Biogeosciences↗

Potential effects of elevated atmospheric carbon dioxide (CO 2 ) on coastal wetlands

Carbon dioxide (CO 2 ) concentration in the atmosphere has steadily increased from 280 parts per million (ppm) in preindustrial times to 381 ppm today and is predicted by some models to double within the next century. Some of the important pathways whereby changes in atmospheric CO 2 may impact coastal wetlands include changes in temperature, rainfall, and hurricane intensity ( fig. 1 ). Increases in CO 2 can contribute to global warming, which may (1) accelerate sea-level rise through melting of polar ice fields and steric expansion of oceans, (2) alter rainfall patterns and salinity regimes, and (3) change the intensity and frequency of tropical storms and hurricanes. Sea-level rise combined with changes in storm activity may affect erosion and sedimentation rates and patterns in coastal wetlands and maintenance of soil elevations. Feedback loops between plant growth and hydroedaphic conditions also contribute to maintenance of marsh elevations through accumulation of organic matter. Although increasing CO 2 concentration may contribute to global warming and climate changes, it may also have a direct impact on plant growth and development by stimulating photosynthesis or improving water use efficiency. Scientists with the U.S. Geological Survey are examining responses of wetland plants to elevated CO 2 concentration and other factors. This research will lead to a better understanding of future changes in marsh species composition, successional rates and patterns, ecological functioning, and vulnerability to sea-level rise and other global change factors.

Fact Sheet↗

Environmental health science at the U.S. Geological Survey

USGS environmental health science focuses on the environment-health interface. Research characterizes the processes that affect the interaction among the physical environment, the living environment, and people, as well as the factors that affect ecological and human exposure to disease agents and the resulting toxicologic or infectious disease. The mission of USGS in environmental health science is to contribute scientific information to environmental, natural resource, agricultural, and public-health managers, who use that information to support sound decisionmaking. Coordination with partners and stakeholders will enable USGS to focus on the highest priority environmental health issues, to make relevant, timely, and useable contributions, and to become a “partner of first choice” for environmental health science.

Fact Sheet↗

USGS "Did You Feel It?" internet-based macroseismic intensity maps

The U.S. Geological Survey (USGS) "Did You Feel It?" (DYFI) system is an automated approach for rapidly collecting macroseismic intensity data from Internet users' shaking and damage reports and generating intensity maps immediately following earthquakes; it has been operating for over a decade (1999-2011). DYFI-based intensity maps made rapidly available through the DYFI system fundamentally depart from more traditional maps made available in the past. The maps are made more quickly, provide more complete coverage and higher resolution, provide for citizen input and interaction, and allow data collection at rates and quantities never before considered. These aspects of Internet data collection, in turn, allow for data analyses, graphics, and ways to communicate with the public, opportunities not possible with traditional data-collection approaches. Yet web-based contributions also pose considerable challenges, as discussed herein. After a decade of operational experience with the DYFI system and users, we document refinements to the processing and algorithmic procedures since DYFI was first conceived. We also describe a number of automatic post-processing tools, operations, applications, and research directions, all of which utilize the extensive DYFI intensity datasets now gathered in near-real time. DYFI can be found online at the website http://earthquake.usgs.gov/dyfi/. ?? 2011 by the Istituto Nazionale di Geofisica e Vulcanologia.

Annals of Geophysics↗

Disturbance and recovery of the Louisiana coastal marsh landscape from the impacts of Hurricane Andrew

The impact of Hurricane Andrew on the Louisiana coastal landscape and the initial recovery of wetland plant communities was determined from extensive surveys of a large geographic region of coastal marsh near Atchafalaya Bay and intensive studies of an oligohaline marsh on Otter Bayou. Wind and water movements associated with the hurricane resulted in the formation of compressed marsh, thick sediment deposits, wrack deposition, areas of salt burning, and scour. No sites were entirely without some impact. Sediments were deposited over large areas of coastal marsh. Marsh sites near Atchafalaya Bay had the thickest post-storm accumulations documented, up to 16 cm on average, while inland marsh sites accumulated lesser amounts of sediments. The nature of the sediment deposited on the marsh surface varied with location relative to the path of the storm and sources of sediment. Lateral compression resulted in surface relief 5-10 times greater than normal surface relief. Plant cover quickly recovered in all hurricane impact types except for scour areas and areas of thick wrack accumulation. Shifts in species dominance occurred in laterally compressed areas and are related to increased elevations. These findings suggest that hurricanes result in a variety of impacts in coastal Louisiana marshes and that the heterogeneity of the coastal landscape contributes to the magnitude and distribution of these impacts.

Louisiana↗

Sediment movement along the U.S. east coast continental shelf-I. Estimates of bottom stress using the Grant-Madsen model and near-bottom wave and current measurements

Bottom stress is calculated for several long-term time-series observations, made on the U.S. east coast continental shelf during winter, using the wave-current interaction and moveable bed models of Grant and Madsen (1979, Journal of Geophysical Research, 84, 1797-1808; 1982, Journal of Geophysical Research, 87, 469-482). The wave and current measurements were obtained by means of a bottom tripod system which measured current using a Savonius rotor and vane and waves by means of a pressure sensor. The variables were burst sampled about 10% of the time. Wave energy was reasonably resolved, although aliased by wave groupiness, and wave period was accurate to 1-2 s during large storms. Errors in current speed and direction depend on the speed of the mean current relative to the wave current. In general, errors in bottom stress caused by uncertainties in measured current speed and wave characteristics were 10-20%. During storms, the bottom stress calculated using the Grant-Madsen models exceeded stress computed from conventional drag laws by a factor of about 1.5 on average and 3 or more during storm peaks. Thus, even in water as deep as 80 m, oscillatory near-bottom currents associated with surface gravity waves of period 12 s or longer will contribute substantially to bottom stress. Given that the Grant-Madsen model is correct, parameterizations of bottom stress that do not incorporate wave effects will substantially underestimate stress and sediment transport in this region of the continental shelf.

Georges Bank, Mid-Atlantic Bight↗

Woodland salamander responses to a shelterwood harvest-prescribed burn silvicultural treatment within Appalachian mixed-oak forests

Forest management practices that mimic natural canopy disturbances, including prescribed fire and timber harvests, may reduce competition and facilitate establishment of favorable vegetative species within various ecosystems. Fire suppression in the central Appalachian region for almost a century has contributed to a transition from oak-dominated to more mesophytic, fire-intolerant forest communities. Prescribed fire coupled with timber removal is currently implemented to aid in oak regeneration and establishment but responses of woodland salamanders to this complex silvicultural system is poorly documented. The purpose of our research was to determine how woodland salamanders respond to shelterwood harvests following successive burns in a central Appalachian mixed-oak forest. Woodland salamanders were surveyed using coverboard arrays in May, July, and August&ndash;September 2011 and 2012. Surveys were conducted within fenced shelterwood-burn (prescribed fires, shelterwood harvest, and fencing to prevent white-tailed deer [Odocoileus virginianus] herbivory), shelterwood-burn (prescribed fires and shelterwood harvest), and control plots. Relative abundance was modeled in relation to habitat variables measured within treatments for mountain dusky salamanders (Desmognathus ochrophaeus), slimy salamanders (Plethodon glutinosus), and eastern red-backed salamanders (Plethodon cinereus). Mountain dusky salamander relative abundance was positively associated with canopy cover and there were significantly more individuals within controls than either shelterwood-burn or fenced shelterwood-burn treatments. Conversely, habitat variables associated with slimy salamanders and eastern red-backed salamanders did not differ among treatments. Salamander age-class structure within controls did not differ from shelterwood-burn or fenced shelterwood-burn treatments for any species. Overall, the woodland salamander assemblage remained relatively intact throughout the shelterwoodburn silvicultural treatment compared to previous research within the same study area that examined pre-harvest fire effects. However, because of the multi-faceted complexities of this specific silvicultural system, continued research is warranted that evaluates long-term, additive impacts on woodland salamanders within managed central Appalachian deciduous forests.

West Virginia↗

Mathematical modeling relevant to closed artificial ecosystems

The mathematical modeling of ecosystems has contributed much to the understanding of the dynamics of such systems. Ecosystems can include not only the natural variety, but also artificial systems designed and controlled by humans. These can range from agricultural systems and activated sludge plants, down to mesocosms, microcosms, and aquaria, which may have practical or research applications. Some purposes may require the design of systems that are completely closed, as far as material cycling is concerned. In all cases, mathematical modeling can help not only to understand the dynamics of the system, but also to design methods of control to keep the system operating in desired ranges. This paper reviews mathematical modeling relevant to the simulation and control of closed or semi-closed artificial ecosystems designed for biological production and recycling in applications in space. Published by Elsevier Science Ltd on behalf of COSPAR.

Advances in Space Research↗