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At least 667 records · Page 37Linked to original sources

Paleoclimate Records: Providing context and understanding of current Arctic change

At present, the Arctic Ocean is experiencing changes in ocean surface temperature and sea ice extent that are unprecedented in the era of satellite observations, which extend from the 1980s to the present (see sections 5c,d). To provide context for current changes, scientists turn to paleoclimate records to document and study anthropogenic influence and natural decadal and multidecadal climate variability in the Arctic system. Paleoceanographic records extend limited Arctic instrumental measurements back in time and are central to improving our understanding of climate dynamics and the predictive capability of climate models. By comparing paleoceanographic records with modern observations, scientists can place the rates and magnitudes of modern Arctic change in the context of those inferred from the geological record. Over geological time, paleoceanographic reconstructions using, for instance, marine sediment cores indicate that the Arctic has experienced huge sea ice fluctuations. These fluctuations range from nearly completely ice-free to totally ice-covered conditions. The appearance of ice-rafted debris and sea ice-dependent diatoms in Arctic marine sediments indicate that the first Arctic sea ice formed approxi-mately 47 million years ago (St. John 2008; Stickley et al. 2009; Fig. SB5.1), coincident with an interval of declining atmospheric carbon dioxide (CO2) concentration, global climate cooling, and expansion of Earths cryosphere during the middle Eocene. The development of year-round (i.e., perennial) sea ice in the central Arctic Ocean, similar to conditions that exist today, is evident in sediment records as early as 1418 million years ago (Darby 2008). These records suggest that transitions in sea ice cover occur over many millennia and often vary in concert with the waxing and waning of circum-Arctic land ice sheets, ice shelves, and long-term fluctuations in ocean and atmospheric temperature and atmospheric CO2 concentrations (Stein et al. 2012; Jakobsson et al. 2014). Over shorter time scales, shallow sediment records from Arctic Ocean continental shelves allow more detailed, higher-resolution (hundreds of years resolution) reconstructions of sea ice history extending through the Holocene (11 700 years ago to present), the most recent interglacial period. A notable feature of these records is an early Holocene sea ice minimum, corresponding to a thermal maximum (warm) period from 11 000 to 5000 years ago, when the Arctic may have been warmer and had less summertime sea ice than today (Kaufman et al. 2004). However, it is not clear that the Arctic was ice-free at any point during the Holocene (Polyak et al. 2010). High-resolution paleosea ice records from the western Arctic in the Chukchi and East Siberian Seas indicate that sea ice concentrations increased through the Holocene in concert with decreasing summer solar insolation (sunlight). Sea ice extent in this region also varied in response to the volume of Pacific water delivered via the Bering Strait into the Arctic Basin (Stein et al. 2017; Polyak et al. 2016). Records from the Fram Strait (Mller et al. 2012), Laptev Sea (Hrner et al. 2016), and Canadian Arctic Archipelago (Vare et al. 2009) also indicate a similar long-term expansion of sea ice and suggest sea ice extent in these regions is modulated by the varying influx of warm Atlantic water into the Arctic Basin (e.g., Werner et al. 2013). Taken together, available records support a circum-Arctic sea ice expansion during the late Holocene. A notably high-resolution summer sea ice history (<5-year resolution) has been established for the last 1450 years using a network of terrestrial records (tree ring , lake sediment, and ice core records) located around the margins of the Arctic Ocean (Kinnard et al. 2011). Results summarized in Fig. SB5.2 indicate a pronounced decline in summer sea ice extent beginning in the 20th century, with exceptionally low ice extent recorded since the mid-1990s, consistent with the satellite record (see section 5d). While several episodes of reduced and expanded sea ice extent occur in association with climate anomalies such as the Medieval Climate Warm Period (AD 8001300) and the Little Ice Age (AD 14501850), the magnitude and pace of the modern decline in sea ice is outside of the range of natural variability and unprecedented in the 1450-year reconstruction (Kinnard et al. 2011). A radiocarbon-dated driftwood record of the Ellesmere ice shelf in the Canadian High Arctic, the oldest landfast ice in the Northern Hemisphere, also demonstrates a substantial reduction in ice extents over the 20th century (England et al. 2017). A supporting sediment record indicates that inflowing Atlantic water in Fram Strait has warmed by 2C since 1900, driving break up and melt of sea ice (Spielhagen et al. 2011). Complementary mooring and satellite observations show the Atlantification of the eastern Arctic due to enhanced inflow of warm saline water through Fram Strait (Nilsen et al. 2016) and nutrient-rich Pacific water via the Bering has increased by more than 50% (Woodgate et al. 2012), further driving sea ice melt and warming seas. Similar high-resolution proxy records from Arctic regions also indicate that the modern rate of increasing annual surface air temperatures has not been observed over at least the last 2000 years (McKay and Kaufman 2014). Scientists conclude that broad-scale sea ice variations recorded in the paleo record were dominantly driven by changes in basin-scale changes in atmospheric circulation patterns, fluctuations in air temperature, strength of incoming solar radiation, and changes in the inflow of warm water via Pacific and Atlantic inflows (Polyak et al. 2010). There is general consensus that ice-free Arctic summers are likely before the end of the 21st century (e.g., Stroeve et al. 2007; Massonnet et al. 2012), while some climate model projections suggest ice-free Arctic summers as early as 2030 (Wang and Overland 2009). Paleoclimate studies and observational time series attribute the decline in sea ice extent and thickness over the last decade to both enhanced greenhouse warming and natural climate variability. While understanding the interplay of these factors is critical for future projections of Arctic sea ice and ecosystems, most observational time series records cover only a few decades. This highlights the need for additional paleoceanographic reconstructions across multiple spatial and temporal domains to better understand the drivers and implications of present and future Arctic Ocean change.

Bulletin American Meteorological Society↗

Monitoring and understanding changes in heat waves, cold waves, floods, and droughts in the United States: State of knowledge

Weather and climate extremes have been varying and changing on many different time scales. In recent decades, heat waves have generally become more frequent across the United States, while cold waves have been decreasing. While this is in keeping with expectations in a warming climate, it turns out that decadal variations in the number of U.S. heat and cold waves do not correlate well with the observed U.S. warming during the last century. Annual peak flow data reveal that river flooding trends on the century scale do not show uniform changes across the country. While flood magnitudes in the Southwest have been decreasing, flood magnitudes in the Northeast and north-central United States have been increasing. Confounding the analysis of trends in river flooding is multiyear and even multidecadal variability likely caused by both large-scale atmospheric circulation changes and basin-scale “memory” in the form of soil moisture. Droughts also have long-term trends as well as multiyear and decadal variability. Instrumental data indicate that the Dust Bowl of the 1930s and the drought in the 1950s were the most significant twentieth-century droughts in the United States, while tree ring data indicate that the megadroughts over the twelfth century exceeded anything in the twentieth century in both spatial extent and duration. The state of knowledge of the factors that cause heat waves, cold waves, floods, and drought to change is fairly good with heat waves being the best understood.

Bulletin of the American Meteorological Society↗

Basinwide hydroclimatic drought in the Colorado River basin

The Colorado River basin (CRB) supplies water to approximately 40 million people and is essential to hydropower generation, agriculture, and industry. In this study, a monthly water balance model is used to compute hydroclimatic water balance components (i.e., potential evapotranspiration, actual evapotranspiration, and runoff) for the period 1901–2014 across the entire CRB. The time series of monthly runoff is aggregated to compute water-year runoff and then used to identify drought periods in the basin. For the 1901–2014 period, eight basinwide drought periods were identified. The driest drought period spanned years 1901–04, whereas the longest drought period occurred during 1943–56. The eight droughts were primarily driven by winter precipitation deficits rather than warm temperature anomalies. In addition, an analysis of prehistoric drought for the CRB—computed using tree-ring-based reconstructions of the Palmer drought severity index—indicates that during some past centuries drought frequency was higher than during the twentieth century and that some centuries experienced droughts that were much longer than those during the twentieth century. More frequent or longer droughts than those that occurred during the twentieth century, combined with continued warming associated with climate change, may lead to substantial future water deficits in the CRB.

Arizona, California, Colorado, Nevada, New Mexico,↗

Extensive droughts in the conterminous United States during multiple centuries

Extensive and severe droughts have substantial effects on water supplies, agriculture, and aquatic ecosystems. To better understand these droughts, we used tree-ring-based reconstructions of the Palmer drought severity index (PDSI) for the period 1475–2017 to examine droughts that covered at least 33% of the conterminous United States (CONUS). We identified 37 spatially extensive drought events for the CONUS and examined their spatial and temporal patterns. The duration of the extensive drought events ranged from 3 to 12 yr and on average affected 43% of the CONUS. The recent (2000–08) drought in the southwestern CONUS, often referred to as the turn-of-the-century drought, is likely one of the longest droughts in the CONUS during the past 500 years. A principal components analysis of the PDSI data from 1475 through 2017 resulted in three principal components (PCs) that explain about 48% of the variability of PDSI and are helpful to understand the temporal and spatial variability of the 37 extensive droughts in the CONUS. Analyses of the relations between the three PCs and well-known climate indices, such as indices of El Niño–Southern Oscillation, indicate statistically significant correlations; however, the correlations do not appear to be large enough (all with an absolute value less than 0.45) to be useful for the development of drought prediction models.

Conterminous United States↗

Long-duration drought variability and impacts on ecosystem services: A case study from Glacier National Park, Montana

Instrumental climate records suggest that summer precipitation and winter snowpack in Glacier National Park (Glacier NP), Montana, vary significantly over decadal to multidecadal time scales. Because instrumental records for the region are limited to the twentieth century, knowledge of the range of variability associated with these moisture anomalies and their impacts on ecosystems and physical processes are limited. The authors developed a reconstruction of summer (June&ndash;August) moisture variability spanning a.d. 1540&ndash;2000 from a multispecies network of tree-ring chronologies in Glacier NP. Decadal-scale drought and pluvial regimes were defined as any event lasting 10 yr or greater, and the significance of each potential regime was assessed using intervention analysis. Intervention analysis prevents single intervening years of average or opposing moisture conditions from ending what was otherwise a sustained moisture regime. The reconstruction shows numerous decadal-scale shifts between persistent drought and wet events prior to the instrumental period (before a.d. 1900). Notable wet events include a series of three long-duration, high-magnitude pluvial regimes spanning the end of the Little Ice Age ( a.d. 1770&ndash;1840). Though the late-nineteenth century was marked by a series of >10 yr droughts, the single most severe dry event occurred in the early-twentieth century ( a.d. 1917&ndash;41). These decadal-scale dry and wet events, in conjunction with periods of high and low snowpack, have served as a driver of ecosystem processes such as forest fires and glacial dynamics in the Glacier NP region. Using a suite of paleoproxy reconstructions and information from previous studies examining the relationship between climate variability and natural processes, the authors explore how such persistent moisture anomalies affect the delivery of vital goods and services provided by Glacier NP and surrounding areas. These analyses show that regional water resources and tourism are particularly vulnerable to persistent moisture anomalies in the Glacier NP area. Many of these same decadal-scale wet and dry events were also seen among a wider network of hydroclimatic reconstructions along a north&ndash;south transect of the Rocky Mountains. Such natural climate variability can, in turn, have enormous impacts on the sustainable provision of natural resources over wide areas. Overall, these results highlight the susceptibility of goods and services provided by protected areas like Glacier NP to natural climate variability, and show that this susceptibility will likely be compounded by the effects of future human-induced climate change.

Montana↗

The continuum of hydroclimate variability in western North America during the last millennium

The distribution of climatic variance across the frequency spectrum has substantial importance for anticipating how climate will evolve in the future. Here we estimate power spectra and power laws (ß) from instrumental, proxy, and climate model data to characterize the hydroclimate continuum in western North America (WNA). We test the significance of our estimates of spectral densities and ß against the null hypothesis that they reflect solely the effects of local (non-climate) sources of autocorrelation at the monthly timescale. Although tree-ring based hydroclimate reconstructions are generally consistent with this null hypothesis, values of ß calculated from long-moisture sensitive chronologies (as opposed to reconstructions), and other types of hydroclimate proxies, exceed null expectations. We therefore argue that there is more low-frequency variability in hydroclimate than monthly autocorrelation alone can generate. Coupled model results archived as part of the Climate Model Intercomparison Project 5 (CMIP5) are consistent with the null hypothesis and appear unable to generate variance in hydroclimate commensurate with paleoclimate records. Consequently, at decadal to multidecadal timescales there is more variability in instrumental and proxy data than in the models, suggesting that the risk of prolonged droughts under climate change may be underestimated by CMIP5 simulations of the future.

Journal of Climate↗

Dynamics, variability, and change in seasonal precipitation reconstructions for North America

Cool and warm season precipitation totals have been reconstructed on a gridded basis for North America using 439 tree-ring chronologies correlated with December-April totals and 547 different chronologies correlated with May-July totals. These discrete seasonal predictor chronologies are not significantly correlated with the alternate season and the reconstructions calibrate at least 40% of the variance in both December-April and May-July precipitation totals over a large portion of North America for up to 2,000-years. Validation statistics computed on independent instrumental precipitation data from 1901-1927 indicate that the December-April reconstructions are reliable over most of the western and southern United States and northcentral Mexico, and the May-July estimates are valid over most of the United States, southwest Canada, and northeast Mexico. The strong continent wide El Niño/Southern Oscillation (ENSO) signal embedded in the cool season reconstructions, and the Arctic Oscillation signal registered by the warm season estimates, both faithfully reproduce the sign, intensity, and spatial patterns of these ocean-atmospheric influences on North American precipitation as recorded with instrumental data. The reconstructions are included in the North American Seasonal Precipitation Atlas (NASPA) and provide new insight into decadal droughts and pluvials. They indicate that the 16th century megadrought, the most severe and sustained North American drought of the past 500-years, was the combined result of three distinct seasonal droughts each bearing unique spatial patterns potentially associated with seasonal forcing from ENSO, the Arctic Oscillation, and the Atlantic Multidecadal Oscillation. Significant 200- to 500-year long trends toward increased precipitation have been detected in the cool and warm season reconstructions for eastern North America. These seasonal precipitation changes appear to be part of the positive moisture trend measured in other paleoclimate proxies for the East that began due to natural forcing before the industrial revolution and may have recently been enhanced by anthropogenic climate change.

Journal of Climate↗

Combined use of the ASK and SHK-1 cell lines to enhance the detection of infectious salmon anemia virus

Infectious salmon anemia (ISA) is a severe disease primarily affecting commercially farmed Atlantic salmon (Salmo salar) in seawater. The disease has been reported in portions of Canada, the United Kingdom, the Faroe Islands, and the United States. Infectious salmon anemia virus (ISAV), the causative agent of ISA, has also been isolated from several asymptomatic marine and salmonid fish species. Diagnostic assays for the detection of ISAV include virus isolation in cell culture, a reverse transcriptase-PCR, an enzyme-linked immunosorbent assay, and an indirect fluorescent antibody test. Virus isolation is considered the gold standard, and 5 salmonid cell lines are known to support growth of ISAV. In this study, the relative performance of the salmon head kidney 1 (SHK-1), Atlantic salmon kidney (ASK), and CHSE-214 cell lines in detecting ISAV was evaluated using samples from both experimentally and naturally infected Atlantic salmon. Interlaboratory comparisons were conducted using a quality control-quality assurance ring test. Both the ASK and SHK-1 cell lines performed well in detecting ISAV, although the SHK-1 line was more variable in its sensitivity to infection and somewhat slower in the appearance of cytopathic effect. Relative to the SHK-1 and ASK lines, the CHSE-214 cell line performed poorly. Although the ASK line appeared to represent a good alternative to the more commonly used SHK-1 line, use of a single cell line for diagnostic assays may increase the potential for false-negative results. Thus, the SHK-1 and ASK cell lines can be used in combination to provide enhanced ability to detect ISAV.

Journal of Veterinary Diagnostic Investigation↗

The 2018 update of the US National Seismic Hazard Model: Ground motion models in the central and eastern US

The United States Geological Survey (USGS) National Seismic Hazard Model (NSHM) is the scientific foundation of seismic design regulations in the United States and is regularly updated to consider the best available science and data. The 2018 update of the conterminous US NSHM includes major changes to the underlying ground motion models (GMMs). Most of the changes are motivated by the new multi-period response spectra requirements of seismic design regulations that use hazard results for 22 spectral periods and 8 site classes. In the central and eastern United States (CEUS), the 2018 NSHM incorporates 31 new GMMs for hard-rock site conditions ( V S 30 = 3000 m / s ) "> ( V S 30 = 3000 m / s ) (VS30=3000m/s) , including the Next Generation Attenuation (NGA)-East GMMs. New aleatory variability and site-effect models, both specific to the CEUS, are applied to all median hard-rock GMMs. This article documents the changes to the USGS GMM selection criteria and provides details on the new CEUS GMMs used in the 2018 NSHM update. The median GMMs, their weights, epistemic uncertainty, and aleatory variability are compared with those considered in prior NSHMs. This article further provides implementation details on the CEUS site-effect model, which allows conversion of hard-rock ground motions to other site conditions in the CEUS for the first time in NSHMs. Compared with the 2014 NSHM hard-rock ground motions, the weighted average of median GMMs increases for large magnitude events at middle to large distance range, epistemic uncertainty increases in almost all situations, but aleatory variability is not significantly different. Finally, the total effect on hazard is demonstrated for an assumed earthquake source model in the CEUS, which shows an increased ring of ground motions in the vicinity of the New Madrid seismic zone and decreased ground motions near the East Tennessee seismic zone.

Earthquake Spectra↗

Getting the story straight: Common misconceptions around volcanoes and eruptions with case studies of recent events

The ability to rapidly disseminate scientific knowledge across the world has never been greater. This is paralleled by the ability of rumors to spread equally far and fast. Popular misconceptions can take root and, without correction, take on the appearance of facts. Commonly misunderstood topics include those with attention-grabbing phrasing (e.g. “Pacific Ring of Fire”, “supervolcanoes”, or “mega-tsunamis”), the intersection of volcanic research with high-profile science topics (climate or human health), aspirational science goals (eruption forecasts), and basic terminology (volcanic ash versus smoke, or magma “chambers”). In this paper, we describe eighteen misconceptions grouped in six themes (seismology, volcanoes and climate, systems and structures, volcanic hazards, timescales, photographs and footage) commonly encountered by volcanologists who are actively engaging with the public and media both during and between eruptions. Each misconception description is accompanied by takeaway points and summaries of recent research to assist the reader with the information necessary to describe the issues. Finally, we present seven case studies where incorrect information was widely shared and counteracted at well-known volcanoes and recent eruptions at Mount Agung (Bali, Indonesia), Mount Etna (Sicily, Italy), Kīlauea (Hawaii, U.S.A.), Tajogaite (La Palma, Spain), La Soufrière (St. Vincent), Taal Volcano (Philippines), and Yellowstone caldera (U.S.A.). This work is intended to help both volcanologists and non-specialists get the story straight, and to effectively communicate processes and scales of volcanism and volcanic hazards, impacts, and risks.

Journal of Applied Volcanology↗

Size of modern megafire not unprecedented and a cumulative fire deficit persists

Background The area burned by wildfires in western North American forests has grown since the 1980s, largely driven by individual “megafires.” Despite breaking state records for fire size, it remains uncertain whether these large fires are unprecedented, owing to limited knowledge of the area burned during historical fire regimes (pre-1900). We used new methods and 14 tree-ring fire-scar sites to evaluate whether the area burned by Arizona’s largest fire on record – the 217,741 ha 2011 Wallow Fire – was unprecedented in a multi-century context. Using the 375-year reconstruction of annual area burned, we also assessed the departure of the modern fire regime by introducing cumulative fire deficit, calculated as the cumulative sum of 20-year area burned anomalies. Results The size of the Wallow Fire was exceptional in the modern era, but comparable to the extent of burning in 1748, 1847, and 1851 on the same landscape. Notably, years of extensive fire (50,000–100,000 ha) were common on this landscape prior to 1900. The average return interval for fires exceeding 100,000 ha was just 20 years. By contrast, the 2011 Wallow Fire was the only modern fire > 10,000 ha in our study area ( n = 129, 1970–2024), leading to an 85% reduction in average annual area burned. This exceptional departure from the historical fire regime generated a cumulative fire deficit exceeding 2.0 million hectares by 2011, which continues to increase despite the occurrence of the large Wallow Fire. Conclusions Although the modern wildfire crisis is characterized by large, severe wildfires, historical fire regimes also included extensive fires. On an Arizona landscape, the sizes of several historical fires were on par with the largest wildfire on record. Similar historical precedent of large fires is likely true elsewhere in dry conifer forests of western North America. These findings underscore that future wildfire events could be even larger, and likely more severe, as fuels accumulate and the climate grows warmer and drier. Forest restoration aimed at reestablishing characteristic disturbance regimes, including frequent, large, low-severity fires, could be used to assist recovery of these ecosystems resulting from the cumulative fire deficit.

Arizona↗

Late-Holocene climate andecosystem history from Chesapeake Bay sediment cores, USA

Palaeoclimate records from late-Holocene sediments in Chesapeake Bay, the largest estuary in the USA, provide evidence that both decadal to centennial climate variability and European colonization had severe impacts on the watershed and estuary. Using pollen and dinoflagellate cysts as proxies for mid-Atlantic regional precipitation, estuarine salinity and dissolved oxygen (DO) during the last 2300 years, we identified four dry intervals, centred on AD 50 (P1/D1), AD 1000 (P2/D2), AD 1400 (P3) and AD 1600 (P4). Two centennial-scale events, P1/D1 and P2/D2, altered forest composition and led to increased salinity and DO levels in the estuary. Intervals P3 and P4 lasted several decades, leading to decreased production of pine pollen. Periods of dry mid-Atlantic climate correspond to 'megadroughts' identified from tree-ring records in the southeastern and central USA. The observed mid-Atlantic climate variability may be explained by changes in atmospheric circulation resulting in longer-term, perhaps amplified, intervals of meridional flow. After European colonization in the early seventeenth century, forest clearance for agriculture, timber and urbanization altered estuarine water quality, with dinoflagellate assemblages indicating reduced DO and increased turbidity.

Holocene↗

DDT, DDD, and DDE in birds

This chapter summarizes residue levels of dichlorodiphenyltrichloroethane (DDT), DDD, and DDE three compounds in birds that are diagnostic for or are associated with mortality and important sublethal effects and suggests improvements in design of contemporary field studies that will result in maximum usefulness in interpreting residue data. Heath et al. first documented eggshell thinning and associated lowered reproductive success of experimental birds on DDE diets. Although there were several studies of eggshell thinning of birds that were given diets containing technical DDT, most did not list residues in eggs, and DDE-not DDT-comprises most of dietary exposure of wild birds with significant eggshell thinning. Although DDE was responsible for most reproductive failure in birds, very high levels of DDT in ring-necked pheasant eggs in California may have caused reproductive problems, such as crippling and mortality of young. Residues in tissues, particularly brain, have proven to be diagnostic of lethality in animals on dietary dosages of DDT, DDD, and DDE in experiments.

Book chapter↗

Environmental impacts of oil production on soil, bedrock, and vegetation at the U.S. Geological Survey Osage-Skiatook Petroleum Environmental Research site A, Osage County, Oklahoma

The U.S. Geological Survey is investigating the impacts of oil and gas production on soils, groundwater, surface water, and ecosystems in the United States. Two sites in northeastern Oklahoma (sites A and B) are presently being investigated under the Osage–Skiatook Petroleum Environmental Research project. Oil wells on the lease surrounding site A in Osage County, Oklahoma, produced about 100,000 bbl of oil between 1913 and 1981. Prominent production features on the 1.5-ha (3.7-ac) site A include a tank battery, an oil-filled trench, pipelines, storage pits for both produced water and oil, and an old power unit. Site activities and historic releases have left open areas in the local oak forest adjacent to these features and a deeply eroded salt scar downslope from the pits that extends to nearby Skiatook Lake. The site is underlain by surficial sediments comprised of very fine-grained eolian sand and colluvium as much as 1.4 m (4.6 ft) thick, which, in turn, overlie flat-lying, fractured bedrock comprised of sandstone, clayey sandstone, mudstone, and shale. A geophysical survey of ground conductance and concentration measurements of aqueous extracts (1:1 by weight) of core samples taken in the salt scar and adjacent areas indicate that unusual concentrations of NaCl-rich salt are present at depths to at least 8 m (26 ft) in the bedrock; however, little salt occurs in the eolian sand. Historic aerial photographs, anecdotal reports from oil-lease operators, and tree-ring records indicate that the surrounding oak forest was largely established after 1935 and thus postdates the majority of surface damage at the site. Blackjack oaks adjacent to the salt scar have anomalously elevated chloride ( 400 ppm) in their leaves and record the presence of NaCl-rich salt or salty water in the shallow subsurface. The geophysical measurements also indicate moderately elevated conductance beneath the oak forest adjoining the salt scar.

Oklahoma↗

Nitrosation and nitration of fulvic acid, peat and coal with nitric acid

Nitrohumic acids, produced from base extraction of coals and peats oxidized with nitric acid, have received considerable attention as soil ammendments in agriculture. The nitration chemistry however is incompletely understood. Moreover, there is a need to understand the reaction of nitric acid with natural organic matter (NOM) in general, in the context of a variety of environmental and biogeochemical processes. Suwannee River NOM, Suwannee River fulvic acid, and Pahokee Peat fulvic acid were treated with 15 N-labeled nitric acid at concentrations ranging from 15% to 22% and analyzed by liquid and solid state 15 N NMR spectroscopy. Bulk Pahokee peat and Illinois #6 coal were also treated with nitric acid, at 29% and 40% respectively, and analyzed by solid state 15 N NMR spectroscopy. In addition to nitro groups from nitration of aromatic carbon, the 15 N NMR spectra of all five samples exhibited peaks attributable to nitrosation reactions. These include nitrosophenol peaks in the peat fulvic acid and Suwannee River samples, from nitrosation of phenolic rings, and N-nitroso groups in the peat samples, from nitrosation of secondary amides or amines, the latter consistent with the peat samples having the highest naturally abundant nitrogen contents. Peaks attributable to Beckmann and secondary reactions of the initially formed oximes were present in all spectra, including primary amide, secondary amide, lactam, and nitrile nitrogens. The degree of secondary reaction product formation resulting from nitrosation reactions appeared to correlate inversely with the 13 C aromaticities of the samples. The nitrosation reactions are most plausibly effected by nitrous acid formed from the reduction of nitric acid by oxidizable substrates in the NOM and coal samples.

PLoS ONE↗

Translating statistical species-habitat models to interactive decision support tools

Understanding species-habitat relationships is vital to successful conservation, but the tools used to communicate species-habitat relationships are often poorly suited to the information needs of conservation practitioners. Here we present a novel method for translating a statistical species-habitat model, a regression analysis relating ring-necked pheasant abundance to landcover, into an interactive online tool. The Pheasant Habitat Simulator combines the analytical power of the R programming environment with the user-friendly Shiny web interface to create an online platform in which wildlife professionals can explore the effects of variation in local landcover on relative pheasant habitat suitability within spatial scales relevant to individual wildlife managers. Our tool allows users to virtually manipulate the landcover composition of a simulated space to explore how changes in landcover may affect pheasant relative habitat suitability, and guides users through the economic tradeoffs of landscape changes. We offer suggestions for development of similar interactive applications and demonstrate their potential as innovative science delivery tools for diverse professional and public audiences.

PLoS ONE↗

Mortality, perception, and scale: Understanding how predation shapes space use in a wild prey population

Attempts to assess behavioral responses of prey to predation risk are often confounded by depredation of prey. Moreover, the scale at which the response of prey is assessed has important implications for discovering how predation risk alters prey behavior. Herein, we assessed space use of wild Ring-necked Pheasants ( Phasianus colchicus ) in response to spatial and temporal variation in recreational hunting. We radio-marked pheasants and monitored space use at two spatial scales: short-term seasonal home range, and nightly resting locations. Additionally, we considered temporal variation in predation risk by monitoring space use prior to and during the pheasant hunting season. Although we found no change in nightly resting location, pheasants subjected to predation risk expanded their home range and shifted home range location even when invulnerable to predation. Home range formation was plastic, with home ranges expanding and contracting as risk fluctuated before and during the hunting season. Depredation reduced the measured response within the population, obscuring the potential importance of perceived predation risk in shaping prey communities, particularly when not measured at the appropriate scale. By assessing space use of a wild prey population at multiple scales, considering spatial and temporal variation in predation risk, we show that not only does predation risk affect space use, but that the effects at the population level may be challenging to assess when not measured at the appropriate ecological scale because of the direct effects of differential mortality on the same behaviors.

Nebraska↗

Cumulative effects of piscivorous colonial waterbirds on juvenile salmonids: A multi predator-prey species evaluation

We investigated the cumulative effects of predation by piscivorous colonial waterbirds on the survival of multiple salmonid ( Oncorhynchus spp.) populations listed under the U.S. Endangered Species Act (ESA) and determined what proportion of all sources of fish mortality (1 –survival) were due to birds in the Columbia River basin, USA. Anadromous juvenile salmonids (smolts) were exposed to predation by Caspian terns ( Hydroprogne caspia ), double-crested cormorants ( Nannopterum auritum ), California gulls ( Larus californicus ), and ring-billed gulls ( L . delawarensis ), birds known to consume both live and dead fish. Avian consumption and survival probabilities (proportion of available fish consumed or alive) were estimated for steelhead trout ( O . mykiss ), yearling Chinook salmon ( O . tshawytscha ), sub-yearling Chinook salmon, and sockeye salmon ( O . nerka ) during out-migration from the lower Snake River to the Pacific Ocean during an 11-year study period (2008–2018). Results indicated that probabilities of avian consumption varied greatly across salmonid populations, bird species, colony location, river reach, and year. Cumulative consumption probabilities (consumption by birds from all colonies combined) were consistently the highest for steelhead, with annual estimates ranging from 0.22 (95% credible interval = 0.20–0.26) to 0.51 (0.43–0.60) of available smolts. The cumulative effects of avian consumption were significantly lower for yearling and sub-yearling Chinook salmon, with consumption probabilities ranging annually from 0.04 (0.02–0.07) to 0.10 (0.07–0.15) and from 0.06 (0.3–0.09) to 0.15 (0.10–0.23), respectively. Avian consumption probabilities for sockeye salmon smolts was generally higher than for Chinook salmon smolts, but lower than for steelhead smolts, ranging annually from 0.08 (0.03–0.22) to 0.25 (0.14–0.44). Although annual consumption probabilities for birds from certain colonies were more than 0.20 of available smolts, probabilities from other colonies were less than 0.01 of available smolts, indicating that not all colonies of birds posed a substantial risk to smolt mortality. Consumption probabilities were lowest for small colonies and for colonies located a considerable distance from the Snake and Columbia rivers. Total mortality attributed to avian consumption was relatively small for Chinook salmon (less than 10%) but was the single greatest source of mortality for steelhead (greater than 50%) in all years evaluated. Results suggest that the potential benefits to salmonid populations of managing birds to reduce smolt mortality would vary widely depending on the salmonid population, the species of bird, and the size and location of the breeding colony.

Oregon, Washington↗