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At least 685 records · Page 38Linked to original sources

Nitrate concentrations, 1936-99, and pesticide concentrations, 1990-99, in the unconfined aquifer in the San Luis Valley, Colorado

The first documented analysis of nitrate concentrations for ground water in the unconfined aquifer was done in 1936. This valleywide investigation indicated that nitrate concentrations were 0.3 milligram per liter or less in water-quality samples from 38 wells completed in the unconfined aquifer. A valleywide study conducted in the late 1940's documented the first occurrences of nitrate concentrations greater than 3 mg/L. Up to this time, soil fertility was maintained primarily through the use of cattle and (or) sheep manure and crop rotation. Subsequent valleywide studies have documented several occurrences of elevated nitrate concentrations in the unconfined aquifer in a localized, intensively cultivated area north of the Rio Grande. The nitrate concentrations in water appear to have changed in response to increasing use of commercial inorganic fertilizers after the mid-1940's. A 1993 valleywide study evaluated the potential health risk associated with elevated nitrate concentrations in domestic water supplies. Water-quality samples from 14 percent of the wells sampled contained nitrate concentrations greater than 10 milligrams per liter. Most of the samples that contained concentrations greater than 10 milligrams per liter were collected from wells located in the intensively cultivated area north of the Rio Grande. During the 1990's, several local, small-scale, and field-scale investigations were conducted in the intensively cultivated area north of the Rio Grande. These studies identified spatial and temporal variations in nitrate concentration and evaluated the effectiveness of using shallow monitoring wells to determine nitrate leaching. Variations in nitrate concentration were attributed, in part, to seasonal recharge of the aquifer by surface water with low nitrate concentrations. Shallow monitoring wells were effective for determining the amount of nitrate leached, but because of the amount of residual nitrate in the soil from previous seasons, were ineffective in evaluating variations in the amount of nitrate leaching associated with differences in application rates. It was concluded that irrigation practices have the greatest effect on leaching of nitrate to the aquifer. Management tools, such as irrigation scheduling, center-pivot sprinkler systems, soil and ground-water nitrogen credits, and cultivation of cover and winter crops, are being used to help maintain crop quality and yields while minimizing the potential of leaching and reducing residual nitrogen left in the soil. Review of available data from previous studies indicates that most of the sampled wells with elevated nitrate concentrations are located in the intensively cultivated area north of the Rio Grande. This area represents about 10 percent of the San Luis Valley and approximately 35 percent of the crop and pasture land in the valley. The area where nitrate concentrations exceed the U.S. Environmental Protection Agency drinking water maximum contaminant level represents about 150 square miles or 5 percent of the valley. Aquifer vulnerability to and contamination by pesticides was not evaluated until the 1990's. Risk analyses indicated that selected pesticides can pose a contamination threat to an unconfined aquifer in areas consisting primarily of sandy loam soil; sandy loam soils are common in the San Luis Valley. Water-quality samples collected from some wells during 1990 and 1993 indicated trace- to low-level pesticide contamination. The occurrence of pesticides was infrequent and isolated.

Water-Resources Investigations Report↗

Water-quality assessment of the upper Snake River Basin, Idaho and western Wyoming — Summary of aquatic biological data for surface water through 1992

The 35,800-square-mile upper Snake River Basin in eastern Idaho and western Wyoming was one of 20 areas selected for water-quality study under the National Water-Quality Assessment Program. As part of the initial phase of the study, data were compiled to describe the current (1992) and historical aquatic biological conditions of surface water in the basin. This description of natural and human environmental factors that affect aquatic life provides the framework for evaluating the status and trends of aquatic biological conditions in streams of the basins. Water resource development and stream alterations, irrigated agriculture, grazing, aquaculture, and species introductions have affected stream biota in the upper Snake River Basin. Cumulative effects of these activities have greatly altered cold-water habitat and aquatic life in the middle Snake River reach (Milner Dam to King Hill). Most of the aquatic Species of Special Concern in the basin , consisting of eight native mollusks and three native fish species, are in this reach of the Snake River. Selected long-term studies, including comprehensive monitoring on Rock Creek, have shown reduced pollutant loadings as a result of implementing practice on cropland; however, aquatic life remains affected by agricultural land use. Community level biological data are lacking for most of the streams in the basin, especially for large river. Aquatic life used to assess water quality of the basin includes primarily macroinvertebrate and fish communities. At least 26 different macroinvertebrate and fish community metrics have been utilized to assess water quality of the basin. Eight species of macroinvertebrates and fish are recognized as Species of Special Concern. The native fish faunas of the basin are composed primarily of cold-water species representing 5 families and 26 species. An additional 13 fish species have been introduced to the basin. Concentrations of synthetic organic compounds and trace-element contaminants in whole fish collected in the basin during 1970-90 generally did not exceed National Academy of Sciences and National Academy of Engineering concentration guidelines or the 1980-81 geometric mean concentrations from samples collected as part of the U.S. Fish and Wildlife Service National Contaminant Biomonitoring Program. Currently, there are no State fish consumption advisories on any streams in the basin, The organochlorine compounds DDT and PCB's were the most frequently detected fish tissue contaminant. Selected long-term data on DDT, its metabolites, and PCB's indicate decreasing concentrations of these compounds. Arsenic, mercury, and selenium were slightly elevated compared with nationwide baseline concentrations and may indicate bioaccumularion in the food chain. Concentrations of most other trace elements in fish tissue were below levels of concerns for the protection of humans and wildlife.

Idaho, Wyoming↗

Influence of fire refugia spatial pattern on post-fire forest recovery in Oregon’s Blue Mountains

Context Fire regimes in many dry forests of western North America are substantially different from historical conditions, and there is concern about the ability of these forests to recover following severe wildfire. Fire refugia, unburned or low-severity burned patches where trees survived fire, may serve as essential propagule sources that enable forest regeneration. Objectives To quantify the influence of fire refugia spatial pattern and other biophysical factors on the process of post-fire tree regeneration; in particular examining both the proximity and density of surrounding refugia to characterize the landscape of refugial seed sources. Methods We surveyed regeneration at 135 sites in stand-replacement patches across a gradient of fire refugia density in eastern Oregon, USA. We characterized the influence of refugial seed source pattern and other environmental factors on the abundance of regenerating seedlings, and examined the relationship between post-fire climate and the temporal pattern of ponderosa pine seedling establishment. Results Tree seedlings were present in 83% of plots 12–17 years post-fire, and densities varied substantially (0–67800 stems ha −1 , median = 1100). Variation in seedling abundance was driven by the spatial patterns of refugial seed sources. Despite widespread post-fire shrub cover, high-severity burned forests have not undergone a persistent type conversion to shrublands. Ponderosa pine seedling establishment peaked 5–11 years after fire and was not closely associated with post-fire climate. Conclusions Fire refugia and the seed sources they contain fostered tree regeneration in severely burned patches. Management practices that reduce refugia within post-fire landscapes may negatively influence essential forest recovery processes.

Oregon↗

Framework for monitoring shrubland community integrity in California Mediterranean type ecosystems: Information for policy makers and land managers

Shrublands in Mediterranean‐type ecosystems worldwide support important ecosystem services including high levels of biodiversity and are threatened by multiple factors in heavily used landscapes. Use, conservation, and management of these landscapes involve diverse stakeholders, making decision processes complex. To be effective, management and land use decisions should be informed by current information on ecosystem quality and resilience. However, obtaining this information is often a challenge due to the extent of landscapes involved. Here we present a conceptual integrity monitoring framework based on simple easily observable ecosystem components readily understood by nonspecialists. Community integrity is defined by plant functional group based on relative proportion of shrubs and nonnative annual grasses. The ability to use these straightforward metrics results from four factors: relatively good alignment of characteristic bird, mammal, and insect communities with shrub cover, positive feedback between annual grasses and short fire intervals, the inhibitory effect of annual grasses on shrub seedling establishment, and similar functional group response to different disturbances. Two additional metrics, indicator species and shrub species diversity, capture subtle yet persistent signatures of disturbance on integrity not reflected in functional group composition. The framework is designed to: categorize habitats into ecosystem integrity classes, forecast likely integrity class changes caused by threats and environmental conditions, and provide a simple reporting mechanism that can be overlain with data on conservation status and vulnerabilities. The proposed framework includes a pilot phase to validate empirical relationships, thresholds, and sampling efficiency. The accessibility of these metrics to nonspecialists is anticipated to enhance communication among stakeholders and thus facilitate problem solving. Leveraging monitoring and mapping programs driven by other needs (e.g., species conservation and fire management) affords meaningful opportunities to offset program costs.

California↗

Pasture and diurnal temperature are key predictors of regional Plains Spotted Skunk (Spilogale interrupta) distribution

The Plains Spotted Skunk ( Spilogale interrupta ) is a small carnivore native to central North America that has experienced significant population reductions, and there is a lack of information about the species that could inform conservation. Our study aimed to address knowledge gaps about the distribution and habitat associations of the species in South Dakota using species distribution modeling. We used species location data collected from state natural resource managers, trappers, and members of online social media groups dedicated to hunting and wildlife conservation; environmental predictors; and 6 predictive modeling algorithms (i.e., artificial neural networks, artificial classification tree analysis, generalized boosting models, maximum entropy, multivariate adaptive regression splines, and random forests) to develop climate and landcover ensemble distribution models. The most important climate and landcover predictors were mean temperature diurnal range (i.e., average monthly differences between daily high and low temperatures) and proportion of area classified as pasture. Ensemble model concordance identified approximately 31,300 km 2 of potential Plains Spotted Skunk habitat primarily in eastern South Dakota and between the watersheds of the Missouri and James rivers. Our results offer insights that can guide conservation and inform effective management strategies for conserving Plains Spotted Skunk populations in the northern Great Plains. The promotion of low-intensity agricultural practices such as maintaining pastures, farm buildings, fences rows, and the management of woodland encroachment may improve habitat suitability and facilitate the recovery of plains spotted skunks in the region.

South Dakota↗

Sampling design for spatially distributed hydrogeologic and environmental processes

A methodology for the design of sampling networks over space is proposed. The methodology is based on spatial random field representations of nonhomogeneous natural processes, and on optimal spatial estimation techniques. One of the most important results of random field theory for physical sciences is its rationalization of correlations in spatial variability of natural processes. This correlation is extremely important both for interpreting spatially distributed observations and for predictive performance. The extent of site sampling and the types of data to be collected will depend on the relationship of subsurface variability to predictive uncertainty. While hypothesis formulation and initial identification of spatial variability characteristics are based on scientific understanding (such as knowledge of the physics of the underlying phenomena, geological interpretations, intuition and experience), the support offered by field data is statistically modelled. This model is not limited by the geometric nature of sampling and covers a wide range in subsurface uncertainties. A factorization scheme of the sampling error variance is derived, which possesses certain atttactive properties allowing significant savings in computations. By means of this scheme, a practical sampling design procedure providing suitable indices of the sampling error variance is established. These indices can be used by way of multiobjective decision criteria to obtain the best sampling strategy. Neither the actual implementation of the in-situ sampling nor the solution of the large spatial estimation systems of equations are necessary. The required values of the accuracy parameters involved in the network design are derived using reference charts (readily available for various combinations of data configurations and spatial variability parameters) and certain simple yet accurate analytical formulas. Insight is gained by applying the proposed sampling procedure to realistic examples related to sampling problems in two dimensions.

Advances in Water Resources↗

Support for management actions to protect night sky quality: Insights from visitors to state and national park units in the U.S.

Light pollution is a global phenomenon where anthropogenic light sources continue to grow unabated, affecting both social and ecological systems. This is leaving parks and protected areas as some of the last vestiges of naturally dark environments for protecting views of the night sky. Yet, even parks and protected areas have outdoor lighting. Alternative lighting practices are needed to reduce or prevent light pollution from within parks. However, making parks darker may not be desirable for some visitors if they believe it will reduce navigability, safety, or restrict how they recreate (e.g., requiring the use of red-light flashlights after dark and before dawn). How visitors will respond to alternative lighting practices that park managers can implement is still unknown. We used an on-site intercept survey at nine state and national park units in Utah, U.S. , to investigate nighttime visitors' support or opposition to management actions to protect night sky quality and their interest in learning about topics related to night skies. Further, this study also segmented visitors into two groups: those ‘dependent’ on the dark sky as a resource and those whose activities did not depend on a dark sky. Defining what a ‘dark sky dependent’ visitor is, which has yet to be done in the literature, is a fundamental step to furthering night sky research and management efforts. Across nine parks and protected areas, 62% of nighttime visitors participated in dark sky dependent activities. Findings indicate broad support for management actions designed to improve night sky quality, with between 74% and 89% of all visitors supporting seven different management actions. There was stronger support from dark sky dependent visitors for some elements of alternative lighting practices, but there was still strong support for those who do not participate in dark sky dependent outdoor recreation. Additionally, between 57% and 75% of visitors were interested in learning more about topics related to night skies. This research indicates most visitors would welcome actions to preserve the quality of the rapidly dwindling naturally dark experiences offered by parks and protected areas.

Utah↗

Geomorphic identification of physical habitat features in a large, altered river system

Altered flow regimes in streams can significantly affect ecosystems and disturb ecological processes, leading to species loss and extinction. Many river management projects use stream classification and habitat assessment approaches to design practical solutions to reverse or mitigate adverse effects of flow regime alteration on stream systems. The objective of this study was to develop a methodology to provide a primary identification of physical habitats in an 80-km long segment of the Canadian River in central Oklahoma. The methodology relied on basic geomorphic Geomorphic identification of physical habitat features in a large, altered river system erial imagery and Lidar data using Geographic Information Systems. Geostatistical tests were implemented to delineate habitat units. This approach based on high resolution data and did not require in-site inspection provided a relatively refined habitat delineation, consistent with visual observations. Future efforts will focus on validation via field surveys and coupling with hydro-sedimentary modeling to provide a tool for environmental flow decisions.

Oklahoma↗

Coupling validation effort with in situ bioacoustic data improves estimating relative activity and occupancy for multiple species with cross-species misclassifications

The increasing complexity and pace of ecological change requires natural resource managers to consider entire species assemblages. Acoustic recording units (ARUs) require minimal cost and effort to deploy and inform relative activity, or encounter rates, for multiple species simultaneously. ARU-based surveys require post-processing of the recordings via software algorithms that assign a species label to each recording. The automated classification process can result in cross-species misidentifications that should be accounted for when employing statistical modelling for conservation decision-making. Using simulation and ARU-based detection counts from 17 bat species in British Columbia, Canada, we investigate three strategies for adjusting statistical inference for species misclassification: (a) ‘coupling’ ambiguous and unambiguous detections by validating a subset of survey events post-hoc, (b) using a calibration dataset on the software algorithm's (in)accuracy for species identification or (c) specifying informative Bayesian priors on classification probabilities. We explore the impact of different Bayesian prior specifications for the classification probabilities on posterior estimation. We then consider how the quantity of data validated post-hoc impacts model convergence and resulting inferences for bat species relative activity as related to nightly conditions and yearly site occupancy after accounting for site-level environmental variables. Coupled methods resulted in less bias and uncertainty when estimating relative activity and species classification probabilities relative to calibration approaches. We found that species that were difficult-to-detect and those that were often inaccurately identified by the software required more validation effort than more easily detected and/or identified species. Our results suggest that, when possible, acoustic surveys should rely on coupled validated detection information to account for false-positive detections, rather than uncoupled calibration datasets. However, if the assemblage of interest contains a large number of rarely detected or less prevalent species, an intractable amount of effort may be required, suggesting there are benefits to curating a calibration dataset that is representative of the observation process. Our findings provide insights into the practical challenges associated with statistical analyses of ARU data and possible analytical solutions to support reliable and cost-effective decision-making for wildlife conservation/management in the face of known sources of observation errors.

British Columbia↗

Sediment export and impacts associated with river delta channelization compound estuary vulnerability to sea-level rise, Skagit River Delta, Washington, USA

Improved understanding of the budget and retention of sediment in river deltas is becoming increasingly important to mitigate and plan for impacts expected with sea level rise. In this study, analyses of historical bathymetric change, sediment core stratigraphy, and modeling are used to evaluate the sediment budget and environmental response of the largest river delta in the U.S. Pacific Northwest to western land-use change beginning in ~1850. An estimated 142±28 M m 3 of sediment accumulated offshore of the emergent Skagit River delta in Washington State between 1890 and 2014 and ~68% of which was found in sand deposits. The fraction of sediment retained in sand reservoirs represents 83% of the expected fluvial sand delivery over this time suggesting their potential utility to evaluate the relative contribution of different land uses to sediment runoff through time. A significantly higher ratio of sand retention to delivery during the period 1890–1939 coincided with extensive watershed denudation (clear-cut logging) and channel dredging, relative to the period 1940–2014, which was characterized by improved forest practices and sediment management to protect endangered species but also more extensive river channelization. Retention in the delta foreset of 78% of the sand delivered by the river between 1890 and 1939 was associated with extensive sediment bypassing and delta progradation that is shown to be 5–10x higher than rates over the Holocene. Comparable offshore sand retention over time and higher nearshore retention subsequent to 1940 after normalizing for the assumed reduction in sediment runoff with improved forest practices, suggests that channelization has continued to influence sediment export at a magnitude equivalent to the effects of early logging. Adverse impacts of the bypassing sediment regime to natural hazards risk and ecosystem management concerns are discussed, including the role of the lost sediment as a resource to mitigate subsiding coastal lands vulnerable to flood impacts. The sediment budget and coastal change analyses provide a framework for evaluating opportunities to achieve greater resilience across several sectors of coastal land use important in low-lying deltas worldwide.

Washington↗

A simulation/optimization model for groundwater resources management in the Afram Plains area, Ghana

A groundwater flow simulation model was developed using available hydrogeo logical data to A groundwater flow simulation model was developed using available hydrogeological data to describe groundwater flow in the Afram Plains area. A nonlinear optimization model was then developed and solved for the management of groundwater resources to meet irrigation and household needs. The objective was to maximize groundwater extraction for irrigation activities from the shallow aquifers of the southern Voltaian Sedimentary Basin that underly the area This would improve food security, raise the standard of living and ultimately alleviate poverty in the Afram Plains. The calibrated flow model is in tandem with the general hydrochemical evolution of groundwater in the area and fits the observed data with about a 98% degree of confidence. Groundwater resources may not be the limiting factor in the development of irrigated agriculture. Groundwater has tremendous potential to meet current and future irrigation needs. It was determined from this study that profit from maize irrigation in the Afram Plains area could rise from US$301, 000 in 2007 to over US$3.5 million by the end of the last management period (2013) as irrigation practice is improved, and the economic strength to increase the acreage for irrigation improves. Even with these margins of profit, the drawdown constraint was not reached in any of the management periods. It is expected that rechargefrom the irrigation water would reclaim the lost hydraulic head. The single significant constraint was the amount of land area that could be developed for irrigation in the area. The profit obtained per unit cubic meter of water used also improved over the same management period.

Journal of Environmental Hydrology↗

Assessing potential effects of highway and urban runoff on receiving streams in total maximum daily load watersheds in Oregon using the stochastic empirical loading and dilution model

The Stochastic Empirical Loading and Dilution Model (SELDM) was developed by the U.S. Geological Survey (USGS) in cooperation with the Federal Highway Administration to simulate stormwater quality. To assess the effects of runoff, SELDM uses a stochastic mass-balance approach to estimate combinations of pre-storm streamflow, stormflow, highway runoff, event mean concentrations (EMCs) and stormwater constituent loads from a site of interest. In addition, SELDM can be used to assess the effects of stormwater Best Management Practices (BMPs), which are designed to mitigate the adverse effects of runoff into a waterbody. Adverse effects of stormwater on receiving waters are one of the greatest unsolved water-quality problems Nationwide. State DOTs, municipalities, Federal facilities, and private property owners who manage impervious surfaces need information about the potential magnitude of their contributions and the potential effectiveness of methods to mitigate the adverse effects of runoff. Because the efficacy of at-site controls are limited, information about the potential effectiveness of alternative strategies is needed. The USGS, in cooperation with the Oregon Department of Transportation (ODOT), conducted a study to research methods in which SELDM can be used to enhance the efficiency of ODOT’s stormwater program, support the development of a stormwater banking program, and meet environmental goals. Results can be used to develop a strategic, systems-level approach to stormwater management by considering entire watersheds instead of individual road crossings. Two watersheds, Bear Creek and Mill Creek, in western Oregon were selected for analysis. Within each watershed, seven road crossings were selected for demonstrating the utility of SELDM in nested basins. Precipitation statistics, pre-storm streamflow, runoff coefficients, and hydrograph recession factors were calculated for each location and used in SELDM to simulate flow, water-quality concentrations, and constituent loads in the upstream basin, from the highway (or developed area), and downstream from the road crossing. Three water-quality constituents were selected for modeling: suspended-sediment concentration (SSC), total phosphorus (TP), and total copper (TCu). Using water-quality transport curves, the relations between streamflow and SSC and between streamflow and TP were simulated. Concentrations of TCu were simulated by configuring a linear relation between SSC and TCu. A generic BMP was simulated using the median treatment statistics for flow reductions, hydrograph extensions, concentration reductions, and minimum irreducible concentrations from nine BMP categories with data from the 2012 International BMP database. Five simulation scenarios were modeled for demonstrative purposes. These simulations were used to evaluate potential effects of different watershed properties, water-quality inputs, and stormwater mitigation measures. Instream EMCs were compared to hypothetical water-quality criteria for suspended sediment, total phosphorus, and total copper to demonstrate the concept of water-quality risk analysis. For all five scenarios, it was assumed that highway runoff concentrations were independent of location or average annual daily traffic. These five scenarios are as follows: • Simulation Scenario 1—Natural Conditions (hereafter Simulation Scenario 1) represents conditions in an undeveloped watershed. This scenario demonstrates that the strategic placement of a hypothetical road crossing within a watershed could be used to avoid exceeding water-quality standards of TP and SSC, but that no location choice results in meeting TCu standards. Implementation of BMP had the most pronounced effects on downstream water-quality constituent EMCs at road crossings with the highest ratio of highway catchment area to upstream drainage area, but the largest effect of BMP treatment on mean annual load is based on highway catchment area alone. • Simulation Scenario 2—Current Conditions (hereafter Simulation Scenario 2) represents current watershed conditions, where all developed area upstream from the road crossing was modeled as a highway and combined with the undeveloped part of the upstream drainage area (scenario 2A) and where the output from scenario 2A is used for the upstream area (developed area and the undeveloped area), and where the road crossing is added as usual (scenario 2B). Scenario 2 results indicate that attaining water-quality standards is more difficult with upstream developed areas. Specific road-crossing sites can be selected to achieve the fewest water-quality exceedances per year, but water-quality targets are not met without BMP implementation, and in some instances are not achievable even with BMP implementation. Results from this scenario also serve to quantify the upper limit of constituent reduction if funding were available to implement BMPs to large areas of development, and to quantify how much area would need BMP implementation to achieve water-quality targets. • Simulation Scenario 3—Alternative Road Layouts (hereafter Simulation Scenario 3) was designed to assess the sensitivity of SELDM to various road layouts. In this scenario, different highway configurations were superimposed at one road crossing. Results indicate that downstream waterquality constituent EMCs did not exhibit much variation, but annual water-quality constituent loads varied considerably. • Simulation Scenario 4—Varying Road Width (hereafter Simulation Scenario 4) was designed to assess the sensitivity of SELDM to road width. Similar to scenario 3, the results indicate little variation in downstream water-quality constituent EMCs, but annual water-quality constituent loads increased in proportion to road width. • Simulation scenario 5—Changes to Impervious Area (hereafter Simulation Scenario 5) was designed to investigate the effects of changing amounts of imperviousness upstream from the road crossing. Results indicate that the downstream water-quality constituent EMCs are highly correlated with the percentage of impervious area upstream.

Oregon↗

Instream water use in the United States: water laws and methods for determining flow requirements

Water use generally is divided into two primary classes - offstream use and instream use. In offstream use, sometimes called out-of-stream or diversionary use, water is withdrawn (diverted) from a stream or aquifer and transported to the place of use. Examples are irrigated agriculture, municipal water supply, and industrial use. Each of these offstream uses, which decreases the volume of water available downstream from the point of diversion, is discussed in previous articles in this volume. Instream use, which generally does not diminish the flow downstream from its point of use, and its importance are described in this article. One of the earliest instream uses of water in the United States was to turn the water wheels that powered much of the Nation's industry in the 18th and 19th centuries. Although a small volume of water might have been diverted to a mill near streamside, that water usually was returned to the stream near the point of diversion and, thus, the flow was not diminished downstream from the mill. Over time, the generation of hydroelectric power replaced mill wheels as a means of converting water flow into energy. Since the 1920's, the generation of hydroelectric power increasingly has become a major instream use of water. By 1985, more than 3 billion acre-feet of water (3,050,000 million gallons per day) was used annually for hydropower generation (Solley and others, 1988, p. 45)-enough water to cover the State of Colorado to a depth of 51 feet. Navigation is another instream use with a long history. The Lewis and Clark expedition journals and many of Mark Twain's novels illustrate the extent to which the Nation originally depended on adequate streamfiows for basic transportation. Navigation in the 1980's is still considered to be an instream use; however, it often is based upon a stream system that has been modified greatly through channelization, diking, and construction of dams and locks. The present (1987) inland water navigation system in the conterminous United States consists of about 12,000 miles of maintained waterways, over which about 500 million tons of cargo is carried each year (U.S. Army Corps of Engineers, 1988, p. 16). Although not so widely practiced in recent years, streams have been used to dispose of raw waste products from homes, communities, and factories. This use has been discouraged by law and public policy because of public health concerns and the damage it causes to the environment. Beginning in the mid-1960's, other instream uses gained new prominence in the water-resources arena-the assertion of a legal right to a free-flowing stream for biological, recreational, and esthetic purposes. These uses themselves, however, are not new. Riverine habitat always has produced fish, and the beauty of flowing water always has evoked a strong sense of esthetic appreciation. What is new is the emerging legitimacy and awareness of these noneconomic uses under State and Federal laws and regulations. In the past, environmental uses of flowing water were ignored, for the most part, under a long-standing legal tradition that favored offstream uses and certain instream uses that had a strong economic basis. The history of instream-flow policy debate really concerns those recently recognized types of interim uses. Although the more transitional water uses have been protected by law, the recognition of other in stream uses has resulted in substantial changes in State water laws. Although methods for determining the volume of water needed for most traditional water uses are relatively straight-forward and well-established, methods for determining water requirements for the in stream uses have been developed only recently and are continuing to evolve. Water laws that have favored the more traditional water uses, the inherent nature of conflict between instream and offstream water uses, and the special kinds of technological and philosophical problems posed by the "newer" types of instream uses are described below. Water laws that have been passed to accommodate the more recently recognized instream uses are summarized.

Report↗

Assessment and management of ecological integrity: Chapter 12

Assessing and understanding the impacts of human activities on aquatic ecosystems has long been a focus of ecologists, water resources managers, and fisheries scientists. While traditional fisheries management focused on single-species approaches to enhance fish stocks, there is a growing emphasis on management approaches at community and ecosystem levels. Of course, as fisheries managers shift their attention from narrow (e.g., populations) to broad organizational scales (e.g., communities or ecosystems), ecological processes and management objectives become more complex. At the community level, fisheries managers may strive for a fish assemblage that is complex, persistent, and resilient to disturbance. Aquatic ecosystem level objectives may focus on management for habitat quality and ecological processes, such as nutrient dynamics, productivity, or trophic interactions, but a long-term goal of ecosystem management may be to maintain ecological integrity. However, human users and social, economic, and political demands of fisheries management often result in a reduction of ecological integrity in managed systems, and this conflict presents a principal challenge for the modern fisheries manager. The concepts of biotic integrity and ecological integrity are being applied in fisheries science, natural resource management, and environmental legislation, but explicit definitions of these terms are elusive. Biotic integrity of an ecosystem may be defined as the capability of supporting and maintaining an integrated, adaptive community of organisms having a species composition, diversity, and functional organization comparable to that of a natural habitat of the region (Karr and Dudley 1981). Following that, ecological integrity is the summation of chemical, physical, and biological integrity. Thus, the concept of ecological integrity extends beyond fish and represents a holistic approach for ecosystem management that is especially applicable to aquatic systems. The more general term, ecological condition, refers to the state of the physical, chemical, and biological characteristics of the environment and the processes and interactions that connect them. While the concept of ecological integrity may appear unambiguous, its assessment and practice are much less clear. Ecological integrity made its debut in the USA with the Clean Water Act (CWA) of 1972 (Federal Water Pollution Control Act, as amended through Public Law 107–303, November 27, 2002), which states only one objective, “to restore and maintain the chemical, physical, and biological integrity of the Nation’s waters.” This legislation compelled resource managers to focus on chemical pollution from point effluent sources, such as industrial and municipal outflows, as well as give attention to diffuse, chronic, and watershed effects on ecological integrity. Further, the CWA allowed pursuit of restoration programs in degraded water bodies and catalyzed the science and practice of restoration ecology. The term ecosystem health is often raised in discussions of ecological integrity. Perhaps it is natural to anthropomorphize our concern for personal health to ecosystems, so it becomes a useful metaphor for understanding the concept of ecological integrity. However, whether or not an ecosystem should be considered an entity, such as a superorganism, is a debate without end that began with early ecologists and continues today (Clements 1916; Suter 1993; Simon 1999a). Regardless, the ecosystem is indeed a natural unit with a level of organization and properties beyond the collection of those species that occupy it and presents the most appropriate spatial and organizational scale in which to assess and study ecological integrity. Streams and rivers serve as integrators of chemical, physical, and biological conditions across the landscape, and while the theory and practice associated with ecological integrity of aquatic systems is easily applied to flowing waters and is emphasized in this chapter, they are broadly applicable among all aquatic systems.

Book chapter↗

Local environmental conditions structured discrete fish assemblages in Arctic lagoons

Rapid changes in sea ice extent and changes in freshwater inputs from land are rapidly changing the nature of Arctic estuarine ecosystems. In the Beaufort Sea, these nearshore habitats are known for their high productivity and mix of marine resident and diadromous fishes that have great subsistence value for Indigenous communities. There is, however, a lack of information on the spatial variation among Arctic nearshore fish communities as related to environmental drivers. In summers of 2017–2019, we sampled fishes in four estuarine ecosystems to assess community composition and relate fish abundance to temperature, salinity, and wind conditions. We found fish communities were heterogeneous over larger spatial extents with rivers forming fresh estuarine plumes that supported diadromous species (e.g., broad whitefish Coregonus nasus ), while lagoons with reduced freshwater input and higher salinities were associated with marine species (e.g., saffron cod Eleginus gracilis ). West–East directional winds accounted for up to 66% of the community variation, indicating importance of the wind-driven balance between fresh and marine water masses. Salinity and temperature accounted for up to 54% and 37% of the variation among lagoon communities, respectively. Recent sea ice declines provide more opportunity for wind to influence oceanographic conditions and biological communities. Current subsistence practices, future commercial fishing opportunities, and on-going oil and gas activities benefit from a better understanding of current fish community distributions. This work provides important data on fish spatial distributions and community composition, providing a basis for fish community response to changing climatic conditions and anthropogenic use.

Polar Biology↗

Revisiting the declustering of spatial data with preferential sampling

Preferential sampling is a form of data collection that may significantly distort the histogram and the semivariogram of spatially correlated data . Typical situations are a higher sampling density at high-valued areas favorable for mining, and highly contaminated areas in need of environmental remediation. Multiple statistical procedures are devoted to obtaining representative statistics, whose magnitudes should be close to the respective population values. This paper proposes a resampling method that can compensate for preferential sampling of spatially correlated data without using declustering weights. The application of the method herein generates a dataset of median estimates of quantiles of multiple stratified resamples that is free of preferential sampling. The methodology is illustrated with two examples. The first one involves values actually measured in the field and has the advantage of representing a real scenario of spatial fluctuations and preferential sampling. A second dataset is synthetic and has the main benefit of a priori knowledge of the underlying spatial distribution, thus allowing a satisfactory evaluation of the results against the known baseline. Access to computer code is offered for practical application of the method.

Computers & Geosciences↗

Response of Everglades tree islands to environmental change

Tree islands are centers of biodiversity within the Florida Everglades, USA, but the factors controlling their distribution, formation, and development are poorly understood. We use pollen assemblages from tree islands throughout the greater Everglades ecosystem to reconstruct the timing of tree island formation, patterns of development, and response to specific climatic and environmental stressors. These data indicate that fixed (teardrop-shaped) and strand tree islands developed well before substantial human alteration of the system, with initial tree island vegetation in place between 3500 and 500 calibrated years before present (cal yr BP), depending on the location in the Everglades wetland. Tree island development appears to have been triggered by regional- to global-scale climatic events at 2800 cal yr BP, 1600–1500 cal yr BP, 1200–1000 cal yr BP (early Medieval Warm Period), and 500–200 cal yr BP (Little Ice Age). These periods correspond to drought intervals documented in Central and South America and periods of southward displacement of the Intertropical Convergence Zone. The records indicate a coherence of climate patterns in both subtropical North America and the Northern Hemisphere Neotropics. Water management practices of the 20th century altered plant communities and size of tree islands throughout the Everglades. Responses range from loss of tree islands due to artificially long hydroperiods and deep water to expansion of tree islands after flow reductions. These data provide evidence for the rapidity of tree island response to specific hydrologic change and facilitate prediction of the response to future changes associated with Everglades restoration plans.

Florida↗

Site-scale disturbance best predicts moss, vascular plant, and amphibian indices in Ohio wetlands

Loss of wetland habitats and their associated biological communities is a major environmental concern. Quality assessment indices (QAIs) and indices of biological integrity (IBIs) are useful for assessing the responses of taxa to wetland habitat quality and land use in the surrounding landscape. We synthesized the results of our previous predictive modeling studies of five IBIs and QAIs for communities of mosses, vascular plants, and amphibians in forested and emergent wetlands in Ohio (USA). Overall, the single best predictor of these indices was a metric that estimated site-scale (i.e., within the wetland boundaries) substrate and habitat development, alteration, and disturbance. The second most important predictor was a metric that assessed site-scale wetland plant community types and quality, degree of interspersion, and microtopography. Landscape-scale variables better predicted moss and amphibian indices than either vascular plant index. Our results indicate that applying management practices that reduce the effects of site-scale anthropogenic disturbances and increase habitat complexity, such as creating forested buffers surrounding wetlands, increasing wetland contiguity, and creating hummocks and tussocks may simultaneously enhance amphibian, vascular plant, and moss communities in forested and emergent wetlands. Such a focused strategy may enable management agencies to more effectively apportion resources for wetland restoration and construction projects.

Ecological Restoration↗