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At least 685 records · Page 38Linked to original sources

Is there enough water? How bearish and bullish outlooks are linked to decision-maker perspectives on environmental flows

Policies that mandate environmental flows (e-flows) can be powerful tools for freshwater conservation, but implementation of these policies faces many hurdles. To better understand these challenges, we explored two key questions: (1) What additional data are needed to implement e-flows? and (2) What are the major socio-political barriers to implementing e-flows? We surveyed water and natural resource decision makers in the semi-arid Red River basin, Texas-Oklahoma, USA, and used social network analysis to analyze their communication patterns. Most respondents agreed that e-flows can provide important benefits and identified the same data needs. However, respondents sharply in their beliefs on other issues, and a clustering analysis revealed two distinct groups of decision makers. One cluster of decision makers tended to be bearish, or pessimistic, and believed that: current flow conditions are not adequate, there are many serious socio-political barriers to implementation, water conflicts will likely increase in the future, and climate change is likely to exacerbate these issues. The other cluster of respondents was bullish, or optimistic: they foresaw fewer future water conflicts and fewer socio-political barriers to implementation. Despite these differences, both clusters largely identified the same data needs and barriers to e-flows implementation. Our social network analysis revealed that the frequency of communication between clusters was not significantly different than the frequency of communication within clusters. Overall, our results suggest that the different perspectives of decision-makers could complicate efforts to implement e-flows and proactively plan for climate change. However, there are opportunities for collaboration on addressing common data needs and barriers to implementation. Overall, our study provides a key socio-environmental perspective on e-flows implementation from a semi-arid and socio-politically complex river basin and contextualizes the many challenges facing e-flows implementation in river basins globally.

Journal of Environmental Management↗

Data synthesis for environmental management: A case study of Chesapeake Bay

Synthesizing large, complex data sets to inform resource managers towards effective environmental stewardship is a universal challenge. In Chesapeake Bay, a well-studied and intensively monitored estuary in North America, the challenge of synthesizing data on water quality and land use as factors related to a key habitat, submerged aquatic vegetation, was tackled by a team of scientists and resource managers operating at multiple levels of governance (state, federal). The synthesis effort took place over a two-year period (2016–2018), and the results were communicated widely to a) scientists via peer review publications and conference presentations; b) resource managers via web materials and workshop presentations; and c) the public through newspaper articles, radio interviews, and podcasts. The synthesis effort was initiated by resource managers at the United States Environmental Protection Agencys’ Chesapeake Bay Program and 16 scientist participants were recruited from a diversity of organizations. Multiple short, immersive workshops were conducted regularly to conceptualize the problem, followed by data analysis and interpretation that supported the preparation of the synthetic products that were communicated widely. Reflections on the process indicate that there are a variety of structural and functional requirements, as well as enabling conditions, that need to be considered to achieve successful outcomes from synthesis efforts.

Chesapeake Bay↗

Enhancing Great Lakes coastal ecosystems research by initiating engagement between scientists and decision-makers

A disconnect between scientific research and environmental management communities can be a detriment to both. In the case of Great Lakes coastal ecosystems, which are inherently complex and subject to uncertain effects of future climatic, environmental, and anthropogenic drivers, greater collaboration could be beneficial to their sustainability. We capture the challenges and opportunities identified by a scientist/decision-maker co-production workshop focused on the future environmental quality of Great Lakes coastal wetlands. We explain our path through the stakeholder workshop process, our challenges in translating meeting outcomes into actionable items, and lessons learned to bridge gaps between scientists and decision-makers. Additionally, we determine topics and directions identified by decision-makers that can be modeled with existing technologies and others that require further research. These topics may be incorporated into future research efforts and could serve as a shortlist of research priorities that were identified by decision-makers working with coastal wetland issues. Based on lessons learned during and after the workshop, we provide suggestions for bridging the gap between researchers and decision-makers, including sustained engagement between these groups and improved interaction through the beginning, duration, and end of research and/or management efforts.

Great Lakes↗

Genetic population structure of cisco, Coregonus artedi, in the Laurentian Great Lakes

Management of a widely distributed species can be a challenge when management priorities, resource status, and assessment methods vary across jurisdictions. For example, restoration and preservation of coregonine species diversity is a goal of management agencies across the Laurentian Great Lakes. However, management goals and the amount of information available varies across management units, making the focus for management efforts challenging to determine. Genetic data provide a spatially consistent means to assess diversity. Therefore, we examined the genetic stock structure of cisco ( Coregonus artedi ) in the Great Lakes where the species is still extant. Using genotype data from 17 microsatellite DNA loci, we observed low levels of population structure among collections with most contributions to overall diversity occurring among lakes. Cisco from lakes Superior, Michigan, Ontario, and the St. Marys River could be considered single genetic populations while distinct genetic populations were observed among samples from northern Lake Huron. Significant within-lake diversity in Lake Huron is supported by populations found in embayments in northern Lake Huron. The Grand Traverse Bay population in Lake Michigan represents a distinct population with reduced levels of genetic variation when compared to other lakes. The different levels of within lake population structure we observed will be important to consider as future lake-specific management plans are developed.

Great Lakes↗

Projections of the Ganges-Brahmaputra precipitation: downscaled from GCM predictors

Downscaling Global Climate Model (GCM) projections of future climate is critical for impact studies. Downscaling enables use of GCM experiments for regional scale impact studies by generating regionally specific forecasts connecting global scale predictions and regional scale dynamics. We employed the Statistical Downscaling Model (SDSM) to downscale 21st century precipitation for two data-sparse hydrologically challenging river basins in South Asia—the Ganges and the Brahmaputra. We used CGCM3.1 by Canadian Center for Climate Modeling and Analysis version 3.1 predictors in downscaling the precipitation. Downscaling was performed on the basis of established relationships between historical Global Summary of Day observed precipitation records from 43 stations and National Center for Environmental Prediction re-analysis large scale atmospheric predictors. Although the selection of predictors was challenging during the set-up of SDSM, they were found to be indicative of important physical forcings in the basins. The precipitation of both basins was largely influenced by geopotential height: the Ganges precipitation was modulated by the U component of the wind and specific humidity at 500 and 1000 h Pa pressure levels; whereas, the Brahmaputra precipitation was modulated by the V component of the wind at 850 and 1000 h Pa pressure levels. The evaluation of the SDSM performance indicated that model accuracy for reproducing precipitation at the monthly scale was acceptable, but at the daily scale the model inadequately simulated some daily extreme precipitation events. Therefore, while the downscaled precipitation may not be the suitable input to analyze future extreme flooding or drought events, it could be adequate for analysis of future freshwater availability. Analysis of the CGCM3.1 downscaled precipitation projection with respect to observed precipitation reveals that the precipitation regime in each basin may be significantly impacted by climate change. Precipitation during and after the monsoon is likely to increase in both basins under the A1B and A2 emission scenarios; whereas, the pre-monsoon precipitation is likely to decrease. Peak monsoon precipitation is likely to shift from July to August, and may impact the livelihoods of large rural populations linked to subsistence agriculture in the basins. Uncertainty analysis of the downscaled precipitation indicated that the uncertainty in the downscaled precipitation was less than the uncertainty in the original CGCM3.1 precipitation; hence, the CGCM3.1 downscaled precipitation was a better input for the regional hydrological impact studies. However, downscaled precipitation from multiple GCMs is suggested for comprehensive impact studies.

Brahmaputra;Ganges↗

Metamodeling and mapping of nitrate flux in the unsaturated zone and groundwater, Wisconsin, USA

Nitrate contamination of groundwater in agricultural areas poses a major challenge to the sustainability of water resources. Aquifer vulnerability models are useful tools that can help resource managers identify areas of concern, but quantifying nitrogen (N) inputs in such models is challenging, especially at large spatial scales. We sought to improve regional nitrate (NO 3 − ) input functions by characterizing unsaturated zone NO 3 − transport to groundwater through use of surrogate, machine-learning metamodels of a process-based N flux model. The metamodels used boosted regression trees (BRTs) to relate mappable landscape variables to parameters and outputs of a previous “vertical flux method” (VFM) applied at sampled wells in the Fox, Wolf, and Peshtigo (FWP) river basins in northeastern Wisconsin. In this context, the metamodels upscaled the VFM results throughout the region, and the VFM parameters and outputs are the metamodel response variables. The study area encompassed the domain of a detailed numerical model that provided additional predictor variables, including groundwater recharge, to the metamodels. We used a statistical learning framework to test a range of model complexities to identify suitable hyperparameters of the six BRT metamodels corresponding to each response variable of interest: NO 3 − source concentration factor (which determines the local NO 3 − input concentration); unsaturated zone travel time; NO 3 − concentration at the water table in 1980, 2000, and 2020 (three separate metamodels); and NO 3 − “extinction depth”, the eventual steady state depth of the NO 3 − front. The final metamodels were trained to 129 wells within the active numerical flow model area, and considered 58 mappable predictor variables compiled in a geographic information system (GIS). These metamodels had training and cross-validation testing R 2 values of 0.52 – 0.86 and 0.22 – 0.38, respectively, and predictions were compiled as maps of the above response variables. Testing performance was reasonable, considering that we limited the metamodel predictor variables to mappable factors as opposed to using all available VFM input variables. Relationships between metamodel predictor variables and mapped outputs were generally consistent with expectations, e.g. with greater source concentrations and NO 3 − at the groundwater table in areas of intensive crop use and well drained soils. Shorter unsaturated zone travel times in poorly drained areas likely indicated preferential flow through clay soils, and a tendency for fine grained deposits to collocate with areas of shallower water table. Numerical estimates of groundwater recharge were important in the metamodels and may have been a proxy for N input and redox conditions in the northern FWP, which had shallow predicted NO 3 − extinction depth. The metamodel results provide proof-of-concept for regional characterization of unsaturated zone NO 3 − transport processes in a statistical framework based on readily mappable GIS input variables.

Wisconsin↗

Assessment of leachable elements in volcanic ashfall: A review and evaluation of a standardized protocol for ash hazard characterization

Volcanic ash presents a widespread and common hazard during and after eruptions. Complex interactions between solid ash surfaces and volcanic gases lead to the formation of soluble salts that may be mobilized in aqueous environments. A variety of stakeholders may be concerned about the effects of ash on human and animal health, drinking water supplies, crops, soils and surface runoff. As part of the immediate emergency response, rapid dissemination of information regarding potentially hazardous concentrations of soluble species is critical. However, substantial variability in the methods used to characterize leachable elements makes it challenging to compare datasets and eruption impacts. To address these challenges, the International Volcanic Health Hazard Network ( www.ivhhn.org ) organized a two-day workshop to define appropriate methods for hazard assessment. The outcome of this workshop was a ‘consensus protocol’ for analysis of volcanic ash samples for rapid assessment of hazards from leachable elements, which was subsequently ratified by leading volcanological organizations. The purpose of this protocol is to recommend clear, standard and reliable methods applicable to a range of purposes during eruption response, such as assessing impacts on drinking-water supplies and ingestion hazards to livestock, and also applicable to research purposes. Where possible, it is intended that the methods make use of commonly available equipment and require little training. To evaluate method transferability, an interlaboratory comparison exercise was organized among six laboratories worldwide. Each laboratory received a split of pristine ash, and independently analyzed it according to the protocol for a wide range of elements. Collated results indicate good repeatability and reproducibility for most elements, thus indicating that the development of this protocol is a useful step towards providing standardized and reliable methods for ash hazard characterization. In this article, we review recent ash leachate studies, report the outcomes of the comparison exercise and present a revised and updated protocol based on the experiences and recommendations of the exercise participants. The adoption of standardized methods will improve and facilitate the comparability of results among studies and enable the ongoing development of a global database of leachate information relevant for informing volcanic health hazards assessment.

Journal of Volcanology and Geothermal Research↗

Growth of the wildland-urban interface within and around U.S. National Forests and Grasslands, 1990-2010

The wildland-urban interface (WUI), where housing is in close proximity to or intermingled with wildland vegetation, is widespread throughout the United States, but it is unclear how this type of housing development affects public lands. We used a national dataset to examine WUI distribution and growth (1990–2010) in proximity to National Forests and created a typology to characterize each National Forest’s combination of WUI area and housing growth. We found that National Forests are hotspots for WUI growth, with a 38% increase in WUI area and 46% growth in WUI houses from 1990 to 2010, in excess of WUI growth for the conterminous U.S. Growth within National Forests was higher than the surrounding area. Diffuse intermix WUI, where houses are intermingled with wildland vegetation, is common within National Forests, but WUI houses around National Forests were primarily in denser interface WUI areas, which lack substantial wildland vegetation. WUI was more prevalent within and around National Forests in the East, while National Forests in the West experienced higher rates of WUI growth. National Forests with the most challenging WUI issues—extensive WUI area and rapid growth in intermix and interface—were found primarily in the South and interior West. Given the diversity of WUI landscapes, effectively responding to current and future WUI challenges will require both engagement with individual homeowners dispersed throughout National Forests, as well as increased emphasis on mitigating denser interface development around National Forests. At a time when wildfire risks are expected to intensify due to climate change, and 75% of privately owned land within and around National Forests is not yet WUI, understanding WUI growth patterns in proximity to public lands is vital for land management and human well-being.

Landscape and Urban Planning↗

Assessment of tsunami hazard to the U.S. Atlantic margin

Tsunami hazard is a very low-probability, but potentially high-risk natural hazard, posing unique challenges to scientists and policy makers trying to mitigate its impacts. These challenges are illustrated in this assessment of tsunami hazard to the U.S. Atlantic margin. Seismic activity along the U.S. Atlantic margin in general is low, and confirmed paleo-tsunami deposits have not yet been found, suggesting a very low rate of hazard. However, the devastating 1929 Grand Banks tsunami along the Atlantic margin of Canada shows that these events continue to occur. Densely populated areas, extensive industrial and port facilities, and the presence of ten nuclear power plants along the coast, make this region highly vulnerable to flooding by tsunamis and therefore even low-probability events need to be evaluated. We can presently draw several tentative conclusions regarding tsunami hazard to the U.S. Atlantic coast. Landslide tsunamis likely constitute the biggest tsunami hazard to the coast. Only a small number of landslides have so far been dated and they are generally older than 10,000 years. The geographical distribution of landslides along the margin is expected to be uneven and to depend on the distribution of seismic activity along the margin and on the geographical distribution of Pleistocene sediment. We do not see evidence that gas hydrate dissociation contributes to the generation of landslides along the U.S. Atlantic margin. Analysis of landslide statistics along the fluvial and glacial portions of the margin indicate that most of the landslides are translational, were probably initiated by seismic acceleration, and failed as aggregate slope failures. How tsunamis are generated from aggregate landslides remains however, unclear. Estimates of the recurrence interval of earthquakes along the continental slope may provide maximum estimates for the recurrence interval of landslide along the margin. Tsunamis caused by atmospheric disturbances and by coastal earthquakes may be more frequent than those generated by landslides, but their amplitudes are probably smaller. Among the possible far-field earthquake sources, only earthquakes located within the Gulf of Cadiz or west of the Tore-Madeira Rise are likely to affect the U.S. coast. It is questionable whether earthquakes on the Puerto Rico Trench are capable of producing a large enough tsunami that will affect the U.S. Atlantic coast. More information is needed to evaluate the seismic potential of the northern Cuba fold-and-thrust belt. The hazard from a volcano flank collapse in the Canary Islands is likely smaller than originally stated, and there is not enough information to evaluate the magnitude and frequency of flank collapse from the Azores Islands. Both deterministic and probabilistic methods to evaluate the tsunami hazard from the margin are available for application to the Atlantic margin, but their implementation requires more information than is currently available.

Marine Geology↗

India National Gas Hydrate Program Expedition 02 summary of scientific results: Numerical simulation of reservoir response to depressurization

The India National Gas Hydrate Program Expedition 02 (NGHP-02) discovered gas hydrate at high saturation in sand reservoirs at several sites in the deepwater Bay of Bengal. To assess the potential response of those deposits to scientific depressurization experiments, comprehensive geologic models were constructed to enable numerical simulation for two sites. Both sites (NGHP-02-09 and NGHP-02-16) feature thick sequences of thinly-interbedded reservoir and non-reservoir facies at sub-seafloor depths of less than 300 m and sub-sea depths of 2,400 m or more. These settings pose significant challenges to current modeling capabilities. First, the thinly-bedded reservoir architecture complicates the determination of basic reservoir parameters from both log and core data due to measurement resolution issues. Secondly, the fine-scale variation in sediment properties imparts great contrasts in key parameters over very short distances, creating high gradients at multiple scales and varying orientations that necessitate careful design of high-definition simulation grids. Thirdly, the deposits include internal sources of water, as well as a range of complex boundary conditions, including variable permeability within the overlying mud-rich “seals”, that complicate reservoir depressurization. Lastly, because of the unique combination of great water depth and relatively shallow sub-seafloor depth, models designed to maximize the dissociation rate impose large pressure drawdowns on relatively low-strength sediments. This condition renders the proper evaluation and integration of the geomechanical response to hydrate dissociation critical. In this report, we review the history of gas hydrate reservoir simulation, discuss methods for creating geologic input models, and summarize the key findings and implications of the collaborative NGHP-02 numerical simulation effort. Together, the studies confirm the viability of the modeled accumulations for scientific testing and identify key challenges related to the selection of specific test sites and the design of test wells.

Journal of Marine and Petroleum Geology↗

Unfamiliar territory: Emerging themes for ecological drought research and management

Novel forms of drought are emerging globally, due to climate change, shifting teleconnection patterns, expanding human water use, and a history of human influence on the environment that increases the probability of transformational ecological impacts. These costly ecological impacts cascade to human communities, and understanding this changing drought landscape is one of today’s grand challenges. By using a modified horizon-scanning approach that integrated scientists, managers, and decision-makers, we identified the emerging issues in ecological drought that represent key challenges to timely and effective responses. Here we review the themes that most urgently need attention, including novel drought conditions, the potential for transformational drought impacts, and the need for anticipatory drought management. This horizon scan and review provides a roadmap to facilitate the research and management innovations that will support forward-looking, co-developed approaches to reduce the risk of drought to our socio-ecological systems during the 21 st century.

One Earth↗

Re-evaluating Marine Isotope Stage 5a paleo-sea-level trends from across the Florida Keys reef tract

Unraveling how Global Mean Sea Level (GMSL) fluctuated during past warm periods can improve our understanding of linkages between sea-level fluctuations, orbital forcing, and ice-sheet dynamics. Current estimates of GMSL for Marine Isotope Stages (MIS) 5a and 5c — two warm intervals following the relatively well-documented MIS 5e — contain meters of uncertainty and fewer data due to several challenges. These challenges include concealment of datable in-situ coral facies by MIS 1 deposits and inaccessibility due to submergence by modern sea level. We present a comprehensive dataset based on U–Th dating and stratigraphic correlation of 23 cores totaling over 170 m of recovered coral-reef deposits across the tectonically stable Florida Keys Reef Tract (FKRT). Following detailed facies descriptions, 34 in-situ, minimally altered aragonitic coral samples (≤2.7% calcite) below the Holocene-Pleistocene boundary were targeted for U–Th geochronology. Fourteen closed-system coral U–Th ages from MIS 5a include the commonly used sea-level indicator Acropora palmata , but also the massive coral taxa Pseudodiploria strigosa, Siderastrea siderea, Orbicella spp., and Porites astreoides . Dating yielded ages in the range of 88–81 ka (average 2σ uncertainty of less than 200 years). These ages suggest MIS 5a reef initiation at ∼88 ka BP, a peak near 83 ka with minimum elevations between −6.0 ± 0.5 and −5.6 ± 0.5 m MSL (2σ uncertainty and subsidence-corrected), and reef termination and sea-level fall by ∼81 ka BP. Notably, the range of peak MIS 5a relative sea-level estimates of −6.5 to −5.1 m MSL are more than 2 m shallower (higher) than previous estimates of −11 to −9 m. Our higher resolution regional sea-level reconstruction across four subregions of the Florida Keys reef tract aligns with changes in July insolation at 65° N: a trend that most other records, such as deep-sea sediments, do not have the accuracy and precision to resolve. Three massive coral samples from MIS 5c, consisting of Pseudodiploria clivosa , and Orbicella spp., yielded ages in the range of 104 to 99 ka (average 2σ uncertainty less than 200 years); however, because only one sample met the closed-system criteria, our ability to estimate MIS 5c sea level is relatively limited. More empirical estimates of sea-level from the MIS 5a and MIS 5c intervals based on numerical dating of reliable local sea-level constraints are critical for GMSL calculations and relating changes in sea-level amplitude and timing to global ice volume modeling and glacio-isostatic effects, all of which can improve predictions of future sea-level changes in coastal regions.

Florida↗

Lateglacial and Holocene climate, disturbance and permafrost peatland dynamics on the Seward Peninsula, western Alaska

Northern peatlands have accumulated large carbon (C) stocks, acting as a long-term atmospheric C sink since the last deglaciation. How these C-rich ecosystems will respond to future climate change, however, is still poorly understood. Furthermore, many northern peatlands exist in regions underlain by permafrost, adding to the challenge of projecting C balance under changing climate and permafrost dynamics. In this study, we used a paleoecological approach to examine the effect of past climates and local disturbances on vegetation and C accumulation at a peatland complex on the southern Seward Peninsula, Alaska over the past ∼15 ka (1 ka = 1000 cal yr BP). We analyzed two cores about 30 m apart, NL10-1 (from a permafrost peat plateau) and NL10-2 (from an adjacent thermokarst collapse-scar bog), for peat organic matter (OM), C accumulation rates, macrofossil, pollen and grain size analysis. A wet rich fen occurred during the initial stages of peatland development at the thermokarst site (NL10-2). The presence of tree pollen from Picea spp. and Larix laricinia at 13.5–12.1 ka indicates a warm regional climate, corresponding with the well-documented Bølling–Allerød warm period. A cold and dry climate interval at 12.1–11.1 ka is indicated by the disappearance of tree pollen and increase in Poaceae pollen and an increase in woody material, likely representing a local expression of the Younger Dryas (YD) event. Following the YD, the warm Holocene Thermal Maximum (HTM) is characterized by the presence of Populus pollen, while the presence of Sphagnum spp. and increased C accumulation rates suggest high peatland productivity under a warm climate. Toward the end of the HTM and throughout the mid-Holocene a wet climate-induced several major flooding disturbance events at 10 ka, 8.1 ka, 6 ka, 5.4 ka and 4.7 ka, as evidenced by decreases in OM, and increases in coarse sand abundance and aquatic fossils (algae Chara and water fleas Daphnia ). The initial peatland at permafrost site (NL10-1) is characterized by rapid C accumulation (66 g C m −2 yr −1 ), high OM content and a peak in Sphagnum spp. at 5.8–4.6 ka, suggesting the lack of permafrost. A transition to extremely low C accumulation rates of 6.3 g C m −2 yr −1 after 4.5 ka at this site suggests the onset of permafrost aggradation, likely in response to Neoglacial climate cooling as documented across the circum-Arctic region. A similar decrease in C accumulation rates also occurred at non-permafrost site NL10-2. Time-weighted C accumulation rates are 21.8 g C m −2 yr −1 for core NL10-1 during the last ∼6.5 ka and 14.8 g C m −2 yr −1 for core NL10-2 during the last ∼15 ka. Evidence from peat-core analysis and historical aerial photographs shows an abrupt increase in Sphagnum spp. and decrease in area of thermokarst lakes over the last century, suggesting major changes in hydrology and ecosystem structure, likely due to recent climate warming. Our results show that the thermokarst–permafrost complex was much more dynamic with high C accumulation rates under warmer climates in the past, while permafrost was stabilized and C accumulation slowed down following the Neoglacial cooling in the late Holocene. Furthermore, permafrost presence at local scales is controlled by both regional climate and site-specific factors, highlighting the challenge in projecting responses of permafrost peatlands and their C dynamics to future climate change.

Alaska↗

New zircon (U-Th)/He and U/Pb eruption age for the Rockland tephra, western USA

Eruption ages of a number of prominent Quaternary volcanic deposits remain inaccurately and/or imprecisely constrained, despite their importance as regional stratigraphic markers in paleo-environment reconstruction and as evidence of climate-altering eruptions. Accurately dating volcanic deposits presents challenging analytical considerations, including poor radiogenic yield, scarcity of datable minerals, and contamination of crystal populations by magma, eruption, and transport processes. One prominent example is the Rockland tephra, which erupted from the Lassen Volcanic Center in the southern Cascade arc. Despite a range in published eruption ages from 0.40 to 0.63 Ma, the Rockland tephra is extensively used as a marker bed across the western United States. To more accurately and precisely constrain the age of the Rockland tephra-producing eruption, we report U/Pb crystallization dates from the outermost ∼2 μm of zircon crystal faces (surfaces) using secondary ion mass spectrometry (SIMS). Our new weighted mean 238 U/ 206 Pb age for Rockland tephra zircon surfaces is 0.598 ± 0.013 Ma (2σ) and MSWD = 1.11 (mean square weighted deviation). As an independent test of the accuracy of this age, we obtained new (U-Th)/He dates from individual zircon grains from the Rockland tephra, which yielded a weighted mean age of 0.599 ± 0.012 Ma (2σ, MSWD = 5.13). We also obtained a (U-Th)/He age of 0.628 ± 0.014 Ma (MSWD = 1.19) for the Lava Creek Tuff member B, which was analyzed as a secondary standard to test the accuracy of the (U-Th)/He technique for Quaternary tephras, and to evaluate assumptions made in the model-age calculation. Concordance of new U/Pb and (U-Th)/He zircon ages reinforces the accuracy of our preferred Rockland tephra eruption age, and confirms that zircon surface dates sample zircon growth up to the time of eruption. We demonstrate the broad applicability of coupled U/Pb zircon-surface and single-grain zircon (U-Th)/He geochronology to accurate dating of Quaternary tephra, and highlight the challenges and opportunities of this technique.

Quaternary Science Reviews↗

Streamflow reconstructions from tree rings and variability in drought and surface water supply for the Milk and St. Mary River basins

The Milk and St. Mary Rivers are international waterways straddling the United States and Canada and traversing four Tribal Nations before draining into the Missouri and South Saskatchewan Rivers respectively. Management of water resources in the region is challenged by the complexity of stakeholder interests, the limitations of existing management infrastructure, and by a limited characterization of the long-term streamflow and hydroclimatic variability across the area. We used existing records of natural streamflow to investigate the relationships between seasonal climate variability and differences in the timing and volume of flow from the headwaters to the prairie tributaries. Then, using a network of tree-ring chronologies to reconstruct records of past streamflow, we assessed whether drought risk relates to these sub-basin specific differences and if drought events experienced during the observational period are representative of those that have occurred over the long-term. Observed climate-flow relationships suggest that outside of the mountain headwaters, where precipitation dominates the hydrograph, streamflow variability on lower reaches of the Milk River is particularly sensitive to winter temperatures. This sensitivity was reflected by severe drought conditions over the prairies during the 2000s, implying potentially large future flow reductions with warming. The streamflow reconstructions show sub-basin specific drought risks that also imply greater temperature driven drought severities across the prairie tributaries. Within the mountain and foothill sub-basins numerous past drought episodes exceed the magnitude and duration of observational period events, which implies the potential for future water supply management challenges stemming from severe, long-duration droughts coupled with the negative hydrologic effects of warmer temperatures.

Montana↗

Monitoring for adaptive management of burned sagebrush-steppe rangelands: addressing variability and uncertainty on the 2015 Soda Megafire

• Use of adaptive management supported by robust monitoring is vital to solving severe rangeland problems, such as the exotic annual grass invasion and fire cycle in sagebrush-steppe rangelands. • Uncertainty in post-fire plant-community composition and plant response to treatments poses a challenge to land management and research but can be addressed with a high density of observations over short time frames. • The monitoring for adaptive management of the 2015 Soda Megafire area (113,000 Ha) sampled up to 2000 observation plots in each of five post-fire years, and provided important insights on challenges, solutions, and insights that can be applied to monitoring future burned areas.

Idaho, Oregon↗

Conserving the Greater Sage-grouse: A social-ecological systems case study from the California-Nevada region

The Endangered Species Act (ESA) continues to serve as one of the most powerful and contested federal legislative mandates for conservation. In the midst of heated debates, researchers, policy makers, and conservation practitioners champion the importance of cooperative conservation and social-ecological systems approaches, which forge partnerships at multiple levels and scales to address complex ecosystem challenges. However, few real-world examples exist to demonstrate how multifaceted collaborations among stakeholders who share a common goal of conserving at-risk species may be nested within a systems framework to achieve social and ecological goals. Here, we present a case study of Greater Sage-grouse (Centrocercus urophasianus) conservation efforts in the “Bi-State” region of California and Nevada, United States. Using key-informant interviews, we explored dimensions and drivers of this landscape-scale conservation effort. Three themes emerged from the interviews, including 1) ESA action was transformed into opportunity for system-wide conservation; 2) a diverse, locally based partnership anchored collaboration and engagement across multiple levels and scales; and 3) best-available science combined with local knowledge led to “certainty of effectiveness and implementation”—the criteria used by the US Fish and Wildlife Service to evaluate conservation efforts when making listing decisions. Ultimately, collaborative conservation through multistakeholder engagement at various levels and scales led to proactive planning and implementation of conservation measures and precluded the need for an ESA listing of the Bi-State population of Greater Sage-grouse. This article presents a potent example of how a systems approach integrating policy, management, and learning can be used to successfully overcome the conflict-laden and “wicked” challenges that surround at-risk species conservation.

California, Nevada↗

Bridging the gap between spatial modeling and management of invasive annual grasses in the imperiled sagebrush biome

Invasions of native plant communities by non-native species present major challenges for ecosystem management and conservation. Invasive annual grasses such as cheatgrass, medusahead, and ventenata are pervasive and continue to expand their distributions across imperiled sagebrush-steppe communities of the western United States. These invasive grasses alter native plant communities, ecosystem function, and fire regimes, threatening sagebrush ecosystem persistence. Spatial data describing the distribution and abundance of invasive species are often used by resource managers to identify, target, and determine needed interventions. However, there are challenges associated with translating these datasets into management actions. We conducted a review of available spatial products to assess advances in, and barriers to, applying contemporary model-based maps to support rangeland management. We found dozens of regional data products describing cheatgrass or annual herbaceous cover and few maps describing ventenata or medusahead. Over the past decade, IAG spatial data increased in spatial and temporal resolution and increasingly used response variables that indicate the severity of infestation such as percent cover. Despite improvements, use of such data is limited by the time required to find, compare, understand, and translate model-based maps into management strategy. There is also a need for products with higher spatial resolution and accuracy. In collaboration with a multipartner stakeholder group, we identified key considerations that guide selection of IAG spatial data products for use by land managers and other users. On the basis of these considerations, we discuss issues that contribute to a research-implementation gap between users and product developers and suggest future directions for improved development of management-ready spatial products.

Rangeland Ecology & Management↗