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At least 667 records · Page 37Linked to original sources

CrustCheck: A conceptual framework for interpreting biocrust trait–function relationships in drylands

Introduction Biocrusts are increasingly recognized for their contribution to soil stability, hydrology, nutrient cycling, and energy balance in drylands, yet practical field methods for assessing functional roles are limited. Existing approaches typically rely on cover estimates, taxonomic identification, or laboratory analyses, providing little insight into functional variation among biocrust types. To address this gap, we developed CrustCheck, a literature-derived conceptual framework that synthesizes potential relationships between easily observable biocrust traits and key ecological functions. The framework provides a foundation for future empirical validation of these relationships. Objectives We aimed to: (1) identify visual characteristics of biocrusts potentially associated with key ecological functions, and (2) synthesize these relationships into a literature-derived conceptual framework for comparative interpretation of potential biocrust contributions to landscape function. Methods We conducted a structured review of global literature on biocrusts' contribution to landscape function, drawing on multiple databases, targeted journals, and identifying relevant scientific publications from reference lists. We screened sources for information on relationships between visual traits and metrics of landscape function, synthesized relationships thematically, and used them to develop a multi-trait, function-oriented conceptual framework to inform further testing of these hypotheses in the field. Results Our review revealed that visual traits such as thickness/height, patchiness, cover, and surface roughness emerged as potential indicators of surface stability, hydrological function, and nutrient accumulation. Community composition was also frequently associated with these functions, while color reflected energy balance and carbon fixation potential. Conclusions Literature reveals that visual traits of biocrusts may serve as proxies for landscape function. CrustCheck is presented here as a conceptual synthesis framework intended to support interpretation of potential trait–function relationships rather than as a quantitatively validated predictive tool.

Restoration Ecology

A random-walk algorithm for modeling lithospheric density and the role of body forces in the evolution of the Midcontinent Rift

This paper develops a Monte Carlo algorithm for extracting three-dimensional lithospheric density models from geophysical data. Empirical scaling relationships between velocity and density create a 3D starting density model, which is then iteratively refined until it reproduces observed gravity and topography. This approach permits deviations from uniform crustal velocity-density scaling, which provide insight into crustal lithology and prevent spurious mapping of crustal anomalies into the mantle. We test this algorithm on the Proterozoic Midcontinent Rift (MCR), north-central U.S. The MCR provides a challenge because it hosts a gravity high overlying low shear-wave velocity crust in a generally flat region. Our initial density estimates are derived from a seismic velocity/crustal thickness model based on joint inversion of surface-wave dispersion and receiver functions. By adjusting these estimates to reproduce gravity and topography, we generate a lithospheric-scale model that reveals dense middle crust and eclogitized lowermost crust within the rift. Mantle lithospheric density beneath the MCR is not anomalous, consistent with geochemical evidence that lithospheric mantle was not the primary source of rift-related magmas and suggesting that extension occurred in response to far-field stress rather than a hot mantle plume. Similarly, the subsequent inversion of normal faults resulted from changing far-field stress that exploited not only warm, recently faulted crust but also a gravitational potential energy low in the MCR. The success of this density modeling algorithm in the face of such apparently contradictory geophysical properties suggests that it may be applicable to a variety of tectonic and geodynamic problems.

Iowa, Kansas, Michigan, Minnesota, Nebraska, Wisco

The concept of land bridge marshes in the Mississippi River Delta and implications for coastal restoration

Louisiana has high coastal wetland loss rates due to natural processes such as subsidence and anthropogenic activities such as construction of river levees and dams, pervasive alteration of surface hydrology by local industries such as oil and gas, and navigation. With the exception of the Atchafalaya River discharge area, most of Louisiana's marsh coastline is retreating and coastal marshes are degrading. In the inactive degrading delta regions, there exists a previously uncharacterized landform referred to colloquially as coastal ‘land bridge’ marshes. Land bridge marshes are saline or brackish marshes fronting large estuarine bays or lakes with sufficient fetch and wave energy to supply high levels of resuspended sediments to the marsh surface. They are generally linear features that are oriented parallel to the coast and the shoreline front retreats landward due to erosion from wave energy. These marshes persist over time vertically due to input of resuspended sediments but are experiencing rapid edge erosion due to wave attack. Comparison of data from Louisiana's Coastal Reference Monitoring System (CRMS) sites show that land bridge marshes have a greater frequency of higher soil surface elevation and higher soil bulk density than non-land bridge marshes. Because land bridges are vertically stable relative to other coastal wetlands, identification of measures to sustain these landscape features is important. Simulations using MarshMorpho2D, a process-based reduced-complexity morphology model, suggest that protection barriers installed on the seaward side of land bridge marshes will attenuate wave energy and, thus, edge erosion. Shoreline protection that can reduce wave energy but still allow sediment input to marshes include living shorelines, rock barriers, and/or breakwaters. Periodic thin layer nourishment of the marsh surface may be necessary to help sustain vertical growth. Further, marsh creation projects directly landward of land bridge marshes may benefit from their protection from waves and as a source of sediment. Consideration of land bridge marshes as distinct marsh types in the State Master Plan and integrated modeling could help to identify measures to sustain these landscape features.

Louisiana

Relative contribution of lipid sources to eggs of lesser scaup

Studies of how birds mobilize nutrients to eggs have traditionally considered a continuum of possible allocation strategies ranging from income breeding (rely on food sources found on the breeding grounds) to capital breeding (rely on body reserves stored prior to the breeding season). For capital breeding, stored body reserves can be acquired either on or away from the breeding grounds, but it has been difficult to quantify the relative contribution of each, precluding identification of key habitats for acquiring nutrients for clutch formation. During 2006–2009, we explored the importance of spring-staging habitats versus breeding-area habitats for egg-lipid formation in female lesser scaup Aythya affinis using stable carbon (δ 13 C) isotope analyses. Although δ 13 C values for abdominal lipid reserves brought to the breeding grounds overlapped those of local amphipods, we were able to quantify the importance of local plant carbohydrates (seeds of emergent wetland plants) to the production of eggs. We compared the importance of local wetland seeds (overall δ 13 C: −29.1 ± 0.9‰ SD) to combined lipid stores and lipids from local amphipods (overall δ 13 C: −23.8 ± 2.2‰). Local seeds and stored body lipids contributed equally to egg lipid formation across years but we found evidence of annual variation in their relative importance. Wetland seeds contributed 39% (SE = 10%) to egg lipid production, and the importance of this source varied by year (90% CI = 47–75% in 2006, 13–42% in 2007, 29–65% in 2008, and 7–30% in 2009). In contrast to earlier studies that suggest lesser scaup predominantly employ a capital breeding strategy, our results suggest that in some years females may attain half of their energy for clutch formation from foods on the breeding grounds.

Journal of Avian Biology

Conservation buffer distance estimates for Greater Sage-Grouse: a review

This report was prepared at the request of the U.S. Department of the Interior and is a compilation and summary of published scientific studies that evaluate the influence of anthropogenic activities and infrastructure on Greater Sage-Grouse (Centrocercus urophasianus ; hereafter, sage-grouse) populations. The purpose of this report is to provide a convenient reference for land managers and others who are working to develop biologically relevant and socioeconomically practical buffer distances around sage-grouse habitats. The framework for this summary includes (1) addressing the potential effects of anthropogenic land use and disturbances on sage-grouse populations, (2) providing ecologically based interpretations of evidence from the scientific literature, and (3) informing implementation of conservation buffers around sage-grouse communal breeding locations—known as leks. We do not make specific management recommendations but instead provide summarized information, citations, and interpretation of findings available in scientific literature. We also recognize that because of variation in populations, habitats, development patterns, social context, and other factors, for a particular disturbance type, there is no single distance that is an appropriate buffer for all populations and habitats across the sage-grouse range. Thus, we report values for distances upon which protective, conservation buffers might be based, in conjunction with other considerations. We present this information for six categories of land use or disturbance typically found in land-use plans which are representative of the level of definition available in the scientific literature: surface disturbance (multiple causes; immediate and cumulative influences); linear features (roads); energy development (oil, gas, wind, and solar); tall structures (electrical, communication, and meteorological); low structures (fences and buildings); and activities (noise and related disruptions). Minimum and maximum distances for observed effects found in the scientific literature, as well as a distance range for possible conservation buffers based on interpretation of multiple sources, expert knowledge of the authors regarding affected areas, and the distribution of birds around leks are provided for each of the six categories These interpreted values for buffer distances are an attempt to balance the extent of protected areas with multiple land-use requirements using estimates of the distribution of sage-grouse habitat. Conservation efforts may then focus on the overlap between potential effect zone and important habitats. We provide a brief discussion of some of the most relevant literature for each category. References associated with the minimum and maximum values are identified in the References Cited section with corresponding symbols. Distances in this report reflect radii around lek locations because these locations are typically (although not universally) known, and management plans often refer to these locations. Lek sites are most representative of breeding habitats, but their locations are focal points within populations, and as such, protective buffers around lek sites can offer a useful solution for identifying and conserving seasonal habitats required by sage-grouse throughout their life cycle. However, knowledge of local and regional patterns of seasonal habitat use may improve conservation of those important areas, especially regarding the distribution and utilization of nonbreeding season habitats (which may be underrepresented in lek-based designations).

Open-File Report

Shahejie-Shahejie/Guantao/Wumishan and Carboniferous/Permian Coal-Paleozoic Total Petroleum Systems in the Bohaiwan Basin, China (based on geologic studies for the 2000 World Energy Assessment Project of the U.S. Geological Survey)

This report discusses the geologic framework and petroleum geology used to assess undiscovered petroleum resources in the Bohaiwan basin province for the 2000 World Energy Assessment Project of the U.S. Geological Survey. The Bohaiwan basin in northeastern China is the largest petroleum-producing region in China. Two total petroleum systems have been identified in the basin. The first, the Shahejie&ndashShahejie/Guantao/Wumishan Total Petroleum System, involves oil and gas generated from mature pods of lacustrine source rock that are associated with six major rift-controlled subbasins. Two assessment units are defined in this total petroleum system: (1) a Tertiary lacustrine assessment unit consisting of sandstone reservoirs interbedded with lacustrine shale source rocks, and (2) a pre-Tertiary buried hills assessment unit consisting of carbonate reservoirs that are overlain unconformably by Tertiary lacustrine shale source rocks. The second total petroleum system identified in the Bohaiwan basin is the Carboniferous/Permian Coal–Paleozoic Total Petroleum System, a hypothetical total petroleum system involving natural gas generated from multiple pods of thermally mature coal beds. Low-permeability Permian sandstones and possibly Carboniferous coal beds are the reservoir rocks. Most of the natural gas is inferred to be trapped in continuous accumulations near the center of the subbasins. This total petroleum system is largely unexplored and has good potential for undiscovered gas accumulations. One assessment unit, coal-sourced gas, is defined in this total petroleum system.

Bohaiwan Basin

Limitations, lack of standardization, and recommended best practices in studies of renewable energy effects on birds and bats

Increasing global energy demand is fostering the development of renewable energy as an alternative to fossil fuels. However, renewable energy facilities may adversely affect wildlife. Facility siting guidelines recommend or require project developers complete pre‐ and postconstruction wildlife surveys to predict risk and estimate effects of proposed projects. Despite this, there are no published studies that have quantified the types of surveys used or how survey types are standardized within and across facilities. We evaluated 628 peer‐reviewed publications, unpublished reports, and citations, and we analyzed data from 525 of these sources (203 facilities: 193 wind and 10 solar) in the United States and Canada to determine the frequency of pre‐ and postconstruction surveys and whether that frequency changed over time; frequency of studies explicitly designed to allow before‐after or impact‐control analyses; and what types of survey data were collected during pre‐ and postconstruction periods and how those data types were standardized across periods and among facilities. Within our data set, postconstruction monitoring for wildlife fatalities and habitat use was a standard practice ( n = 446 reports), but preconstruction estimation of baseline wildlife habitat use and mortality was less frequently reported ( n = 84). Only 22% ( n = 45) of the 203 facilities provided data from both pre‐ and postconstruction, and 29% ( n = 59) had experimental study designs. Of 108 facilities at which habitat‐use surveys were conducted, only 3% estimated of detection probability. Thus, the available data generally preclude comparison of biological data across construction periods and among facilities. Use of experimental study designs and following similar field protocols would improve the knowledge of how renewable energy affects wildlife.

Conservation Biology

Precursory swarms of long-period events at Redoubt Volcano (1989-1990), Alaska: Their origin and use as a forecasting tool

During the eruption of Redoubt Volcano from December 1989 through April 1990, the Alaska Volcano Observatory issued advance warnings of several tephra eruptions based on changes in seismic activity related to the occurrence of precursory swarms of long-period (LP) seismic events (dominant period of about 0.5 s). The initial eruption on December 14 occurred after 23 years of quiescence and was heralded by a 23-hour swarm of LP events that ended abruptly with the eruption. After a series of vent-clearing explosions over the next few days, dome growth began on December 21. Another swarm, with LP events similar to those of the first, began on the 26th and ended in a major tephra eruption on January 2. Eruptions continued over the next two weeks and then ceased until February 15, when a large eruption initiated a long phase of repetitive dome-building and dome-destroying episodes that continued into April. Warnings were issued before the major events on December 14 and January 2, but as the eruptive sequence continued after January 2, the energy of the swarms decreased and forecasting became more difficult. A significant but less intense swarm preceded the February 15 eruption, which was not forecast. This eruption destroyed the only seismograph on the volcanic edifice and stymied forecasting until March 4, when the first of three new stations was installed within 3 km of the active vent. From March 4 to the end of the sequence on April 21, there were eight eruptions, six of which were preceded by detectable swarms of LP events. Although weak, these swarms provided the basis for warnings issued before the eruptions on March 23 and April 6. The initial swarm on December 13 had the following features: (1) short duration (23 hours); (2) a rapidly accelerating rate of seismic energy release over the first 18 hours of the swarm, followed by a decline of activity during the 5 hours preceding the eruption; (3) a magnitude range from −0.4 to 1.6; (4) nearly identical LP signatures with a dominant period near 0.5 s; (5) dilatational first motions everywhere; and (6) a stationary source location at a depth of 1.4 km beneath the crater. This occurrence of long-period events suggests a model involving the interaction of magma with groundwater in which magmatic gases, steam and water drive a fixed conduit at a stationary point throughout the swarm. The initiation of that sequence of events is analogous to the failure of a pressure-relief valve connecting a lower, supercharged magma-dominated reservoir to a shallow hydrothermal system. A three-dimensional model of a vibrating fluid-filled crack recently developed by Chouet is found to be compatible with the seismic data and yields the following parameters for the LP source: crack length, 280–380 m; crack width, 140–190 m; crack thickness, 0.05–0.20 m; crack stiffness, 100–200; sound speed of fluid, 0.8–1.3 km/s; compressional-wave speed of rock, 5.1 km/s; density ratio of fluid to rock, ≈0.4; and ratio of bulk modulus of fluid to rigidity of rock, 0.03–0.07. The fluid-filled crack is excited intermittently by an impulsive pressure drop that varies in magnitude within the range of 0.4 to 40 bar. Such disturbance appears to be consistent with a triggering mechanism associated with choked flow conditions in the crack.

Alaska

Influences of landscape heterogeneity on home-range sizes of brown bears

Animal space use is influenced by many factors and can affect individual survival and fitness. Under optimal foraging theory, individuals use landscapes to optimize high-quality resources while minimizing the amount of energy used to acquire them. The spatial resource variability hypothesis states that as patchiness of resources increases, individuals use larger areas to obtain the resources necessary to meet energetic requirements. Additionally, under the temporal resource variability hypothesis, seasonal variation in available resources can reduce distances moved while providing a variety of food sources. Our objective was to determine if seasonal home ranges of brown bears ( Ursus arctos ) were influenced by temporal availability and spatial distribution of resources and whether individual reproductive status, sex, or size (i.e., body mass) mediated space use. To test our hypotheses, we radio collared brown bears ( n = 32 [9 male, 23 female]) in 2014–2016 and used 18 a priori selected linear models to evaluate seasonal utilization distributions (UD) in relation to our hypotheses. Our top-ranked model by AIC c , supported the spatial resource variability hypothesis and included percentage of like adjacency (PLADJ) of all cover types (P < 0.01), reproductive class (P > 0.17 for males, solitary females, and females with dependent young), and body mass (kg; P = 0.66). Based on this model, for every percentage increase in PLADJ, UD area was predicted to increase 1.16 times for all sex and reproductive classes. Our results suggest that landscape heterogeneity influences brown bear space use; however, we found that bears used larger areas when landscape homogeneity increased, presumably to gain a diversity of food resources. Our results did not support the temporal resource variability hypothesis, suggesting that the spatial distribution of food was more important than seasonal availability in relation to brown bear home range size.

Alaska

Geochemical processes related to mined, milled, or natural metal deposits in a rapidly changing global environment

The demand for metals and raw materials, such as nickel and copper, has been projected to expand in the coming decades, driven by the global energy transition, the need for green technologies, and expanding infrastructure. Consequently, the increasing extraction and production of mining waste can have adverse impacts on surrounding environments and human health. The aim of this thematic collection is to fill critical knowledge gaps in the present-day cycles of metal(loid)s from source to larger sinks, and the effect of environmental management, anthropogenic development, and climate change. Altogether, the studies have been conducted in different natural settings around the world and comprise investigations in laterites, a soil-medicinal plant system, watersheds, and banded iron formations, among others. The geochemical applications in tracing mineralization, its secondary products, and/or potential impact on the immediate environment are highly diverse with applied tools ranging from isotope tracers to major and trace element systematics. Particularly the use of rare earth elements, their patterns and anomalies are methods employed by several studies in this collection. We summarize the findings to offer a potential future direction for the use of geochemical tracing techniques in resource exploration in the context of climate change and environmental challenges.

Geochemistry: Exploration, Environment, Analysis

Contemporary land use and land cover change in coastal Pearl River delta and its impact on regional climate

Land use/land cover (LULC) is one of the most convincing aspects of the global change that has occurred in the terrestrial ecosystem (Meyer and Turner II, 1994; IPCC, 2001). Many changes in LULC refl ect the impacts of human activities on global environment (e.g., Houghton et al., 1999). Change in LULC is also recognized as a main driver affecting the local, regional, and global climate (e.g., Charney et al., 1977; Chase et al., 1996; Stohlgren et al., 1998; Eastman et al., 2001; Foley et al., 2005). For instance, urbanization alters the urban-rural surface energy balance, affects the thermal stratifi cation of the urban boundary layer, the local-scale atmospheric circulation, and the aerosol environment (Changnon and Huff, 1986; Shepherd 2005). Urbanization also affects precipitation through increases in hygroscopic nuclei, turbulence transfer, convection, rain-producing clouds, and the addition of water vapor from anthropogenic sources (Souch and Grimmond, 2006), all of which can lead to an altered pattern in urban precipitation frequency and intensity (e.g., Shepherd, 2006). The impact of LULC change on regional-scale climate has also been well documented (e.g., Dickinson, 1983; Sellers et al., 1996; Pielke et al., 1997; Xue et al., 2001).

Book chapter

Carboniferous-Rotliegend total petroleum system; description and assessment results summary

The Anglo-Dutch Basin and the Northwest German Basin are two of the 76 priority basins assessed by the U.S. Geological Survey World Energy Project. The basins were assessed together because most of the resources occur within a single petroleum system (the Carboniferous-Rotliegend Total Petroleum System) that transcends the combined Anglo-Dutch Basin and Northwest German Basin boundary. The juxtaposition of thermally mature coals and carbonaceous shales of the Carboniferous Coal Measures (source rock), sandstones of the Rotliegend sedimentary systems (reservoir rock), and the Zechstein evaporites (seal) define the total petroleum system (TPS). Three assessment units were defined, based upon technological and geographic (rather than geological) criteria, that subdivide the Carboniferous-Rotliegend Total Petroleum System. These assessment units are (1) the Southern Permian Basin-Offshore Europe Assessment Unit, (2) the Southern Permian Basin Onshore Europe Assessment Unit, and (3) the Southern Permian Basin Onshore United Kingdom Assessment Unit. Although the Carboniferous-Rotliegend Total Petroleum System is one of the most intensely explored volumes of rock in the world, potential remains for undiscovered resources. Undiscovered conventional resources associated with the TPS range from 22 to 184 million barrels of oil, and from 3.6 to 14.9 trillion cubic feet of natural gas. Of these amounts, approximately 62 million barrels of oil and 13 trillion cubic feet of gas are expected in offshore areas, and 26 million barrels of oil and 1.9 trillion cubic feet of gas are predicted in onshore areas.

Bulletin

Geologic setting of the West Flank, a FORGE site adjacent to the Coso geothermal field

The West Flank FORGE (Frontier Observatory for Research in Geothermal Energy) site is located immediately west and outside of the Coso geothermal field, eastern California. Coso is a fluid-dominated, high temperature geothermal system that has been producing power continuously since 1987. The reservoir is composed of highly faulted, fractured and hydrothermally altered Cretaceous and Jurassic plutonic basement rocks. The heat source is a shallow, silicic magma chamber associated with overlying, Quaternary rhyolites and basalts of the Coso volcanic field. Over 30 years of development drilling and associated investigations demonstrates that several well-defined boundaries exist at Coso beyond which there is no commercial, hydrothermal geothermal potential. The West Flank is just west of one of these boundaries and it meets all required FORGE temperature (175-225˚C), host rock (crystalline rock), and depth (1.5-4.0 km) criteria. It has been hypothesized that the Coso volcanic field exists within a right-releasing step-over between two NW-striking, dextral fault systems. Two distinct fault populations yield high permeability drilling targets in the geothermal field. The first population contains WNW-trending with antithetical, NE-trending strike-slip faults and the second includes N- to NNE-trending normal faults. The West Flank appears to be separated from the geothermal field by one such northerly trending fault bounded by a felsic dike swarm. The West Flank’s 83-11 well suggests that the West Flank is comprised of weakly altered, leucogranite and diorites typical of the Jurassic to Cretaceous basement. The stress field in the West Flank has been rotated to 81˚ in contrast to the minimum principal stress orientations within the geothermal field which range from 103˚ to 108˚. Limited drilling, geophysics and other data sets are being assessed and synthesized to develop a working, 3d conceptual geologic model of the West Flank for FORGE.

California

Matching existing and future native plant materials to disturbance-driven restoration needs

Assessing the appropriateness of existing native plant materials can both determine which seed source to utilize for restoration projects, and identify locations for which new seed sources need to be developed. Here, we demonstrate an approach to meet these needs. This method identifies areas of high restoration need based on disturbance patterns, assesses the regional suitability of existing native plant materials based on climate similarity, and highlights geographic (and climatic) gaps where existing materials are likely unsuitable and where plant material development projects can be prioritized. We examined 12 high priority restoration species across the Colorado Plateau, a 38-million-ha region of the Intermountain West, United States to test our methodological pipeline. Fifty-four percent of the Colorado Plateau is disturbed by livestock grazing, wildfires that have burned in the past 20 years, or energy production from oil and gas wells, natural gas pipelines, and coal mines. Of the 28 commercially available plant materials for six of the focal species, only 3 have climate similarity that encompass more than 50% of the species modeled habitat on the Colorado Plateau. Across all commercial materials, most species (10 of 12) do not have any suitable plant material for 70% or more of their geographic range on the Colorado Plateau. Of those areas identified as not having any suitable plant materials, 47–56% are also disturbed. Our method provides usable, flexible protocols and spatially referenced data sources for optimizing the planning of new native plant materials in any region where restoration is needed and spatial data are available.

Arizona, Colorado, New Mexico, Utah

Science in action or science inaction? Evaluating the implementation of "best available science" in hydropower relicensing

Over the next two decades, half of all hydropower projects in the USA will require relicensing by the Federal Regulatory Commission (FERC). Relicensing proceedings invoke a range of informational sources and agency regulators are tasked with using the “best available science” (BAS) to make informed decisions about hydropower operations and management. Although embraced as the standard, BAS is not well-defined. The Kennebec and Penobscot River watersheds in Maine provide an ideal opportunity for studying BAS in the relicensing process. Using citation analysis and an online survey, we identified informational sources used in relicensing decisions for dams in this system and assessed agency perceptions of BAS. Analysis of relicensing documents (n=62) demonstrates that FERC and licensee documents are highly similar in citation composition. National Oceanic and Atmospheric Administration (NOAA) documents typically cite more sources and are three times more likely to cite peer-reviewed sources than FERC and licensee documents. Survey data reveals that federal and state agency respondents (n=49) rate peer-reviewed literature highly as BAS, followed by university, agency, and expert sources while industry and community sources rate poorly. Federal respondents report using peer-reviewed/academic sources more frequently and expert sources less frequently than state respondents. Overall, the agreement between individuals with respect to the valuation of sources is low. The reported differences in information use may be linked to disparities in the access to certain sources of information, particularly peer-reviewed literature. Enhanced understanding of information use may aid in identifying pathways for better informed relicensing decisions.

Maine

Cold-water corals of the world: Gulf of Mexico

The Gulf of Mexico is a semi-enclosed sea that borders the USA and Mexico and covers approximately 1.5 million square kilometers. The northern Gulf is topographically complex and is a rich source of oil and gas deposits, which has led to a great deal of research on benthic ecosystems from the coastal zone to the deep sea. While not fully explored, the distribution of cold seeps and deep corals in the northern Gulf is reasonably well described. The eastern Gulf has a moratorium on energy industry development and consequently less exploration and research has been conducted in this region; however, recent explorations have revealed deep scleractinian reefs on the west Florida slope and extensive octocoral gardens on the deep escarpment. The Gulf is a productive sea with lucrative fisheries in addition to oil and gas. Exploitation of natural resources and potential climate change impacts threaten vulnerable ecosystems in the Gulf, including those in the deep sea. This chapter describes the oceanography and geology of the Gulf of Mexico, presents the current state of the knowledge of cold-water coral distribution, physiology and ecology, and provides an assessment of the threats to these vulnerable ecosystems.

Book chapter

California State Waters Map Series — Offshore of Point Reyes, California

This publication about the Offshore of Point Reyes map area includes ten map sheets that contain explanatory text, in addition to this descriptive pamphlet and a data catalog of geographic information system (GIS) files. Sheets 1, 2, and 3 combine data from four different sonar surveys to generate comprehensive high-resolution bathymetry and acoustic-backscatter coverage of the map area. These data reveal a range of physiographic features (highlighted in the perspective views on sheet 4) such as the flat, sediment-covered seafloor in Drakes Bay, as well as abundant &ldquo;scour depressions&rdquo; on the Bodega Head&ndash;Tomales Point shelf (see sheet 9) and local, tectonically controlled bedrock uplifts. To validate geological and biological interpretations of the sonar data shown in sheets 1, 2, and 3, the U.S. Geological Survey towed a camera sled over specific offshore locations, collecting both video and photographic imagery; these &ldquo;ground-truth&rdquo; surveying data are summarized on sheet 6. Sheet 5 is a &ldquo;seafloor character&rdquo; map, which classifies the seafloor on the basis of depth, slope, rugosity (ruggedness), and backscatter intensity and which is further informed by the ground-truth-survey imagery. Sheet 7 is a map of &ldquo;potential habitats,&rdquo; which are delineated on the basis of substrate type, geomorphology, seafloor process, or other attributes that may provide a habitat for a specific species or assemblage of organisms. Sheet 8 compiles representative seismic-reflection profiles from the map area, providing information on the subsurface stratigraphy and structure of the map area. Sheet 9 shows the distribution and thickness of young sediment (deposited over the last about 21,000 years, during the most recent sea-level rise) in both the map area and the larger Salt Point to Drakes Bay region, interpreted on the basis of the seismic-reflection data, and it identifies the Offshore of Point Reyes map area as lying within the Bodega Head&ndash;Tomales Point shelf, Point Reyes bar, and Bolinas shelf domains. Sheet 10 is a geologic map that merges onshore geologic mapping (compiled from existing maps by the California Geological Survey) and new offshore geologic mapping that is based on integration of high-resolution bathymetry and backscatter imagery (sheets 1, 2, 3), seafloor-sediment and rock samples (Reid and others, 2006), digital camera and video imagery (sheet 6), and high-resolution seismic-reflection profiles (sheet 8), as well as aerial-photographic interpretation of nearshore areas. The information provided by the map sheets, pamphlet, and data catalog have a broad range of applications. High-resolution bathymetry, acoustic backscatter, ground-truth-surveying imagery, and habitat mapping all contribute to habitat characterization and ecosystem-based management by providing essential data for delineation of marine protected areas and ecosystem restoration. Many of the maps provide high-resolution baselines that will be critical for monitoring environmental change associated with climate change, coastal development, or other forcings. High-resolution bathymetry is a critical component for modeling coastal flooding caused by storms and tsunamis, as well as inundation associated with longer term sea-level rise. Seismic-reflection and bathymetric data help characterize earthquake and tsunami sources, critical for natural-hazard assessments of coastal zones. Information on sediment distribution and thickness is essential to the understanding of local and regional sediment transport, as well as the development of regional sediment-management plans. In addition, siting of any new offshore infrastructure (for example, pipelines, cables, or renewable-energy facilities) will depend on high-resolution mapping. Finally, this mapping will both stimulate and enable new scientific research and also raise public awareness of, and education about, coastal environments and issues.

California

Estimating allowable take for an increasing bald eagle population in the United States

Effectively managing take of wildlife resulting from human activities poses a major challenge for applied conservation. Demographic data essential to decisions regarding take are often expensive to collect and are either not available or based on limited studies for many species. Therefore, modeling approaches that efficiently integrate available information are important to improving the scientific basis for sustainable take thresholds. We used the prescribed take level (PTL) framework to estimate allowable take for bald eagles ( Haliaeetus leucocephalus ) in the conterminous United States. We developed an integrated population model (IPM) that incorporates multiple sources of information and then use the model output as the scientific basis for components of the PTL framework. Our IPM is structured to identify key parameters needed for the PTL and to quantify uncertainties in those parameters at the scale at which the United States Fish and Wildlife Service manages take. Our IPM indicated that mean survival of birds >1 year old was high and precise (0.91, 95% CI = 0.90–0.92), whereas mean survival of first-year eagles was lower and more variable (0.69, 95% CI = 0.62–0.78). We assumed that density dependence influenced recruitment by affecting the probability of breeding, which was highly imprecise and estimated to have declined from approximately 0.988 (95% CI = 0.985–0.993) to 0.66 (95% CI = 0.34–0.99) between 1994 and 2018. We sampled values from the posterior distributions of the IPM for use in the PTL and estimated that allowable take (e.g., permitted take for energy development, incidental collisions with human made structures, or removal of nests for development) ranged from approximately 12,000 to 20,000 individual eagles depending on risk tolerance and form of density dependence at the scale of the conterminous United States excluding the Southwest. Model-based thresholds for allowable take can be inaccurate if the assumptions of the underlying framework are not met, if the influence of permitted take is under-estimated, or if undetected population declines occur from other sources. Continued monitoring and use of the IPM and PTL frameworks to identify key uncertainties in bald eagle population dynamics and management of allowable take can mitigate this potential bias, especially where improved information could reduce the risk of permitting non-sustainable take.

Journal of Wildlife Management