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Small watershed studies: Analytical approaches for understanding ecosystem response to environmental change

Biogeochemical studies in small watersheds provide an analytical approach to understand how ecosystems respond to natural climatic variations and human-induced environmental change. Small watersheds, usually less than 5 km2, are small enough to permit characterization and understanding of ecosystem processes within relatively simple, homogeneous biological and physical settings; yet they are large enough to incorporate more complex processes and element cycles than can be studied at plot scales. Watersheds comprise discrete hydrochemical environments allowing quantification of hydrologic, element, and energy budgets. Element budgets, or mass balances, can be quantified as the difference between the mass of a solute that enters a watershed in wet and dry deposition and leaves a watershed in streamflow. Element budgets are primary tools used to investigate biogeochemical processes. Monitoring various aspects of element budgets to assess ecosystem health and stability is analogous to measuring the pulse or blood chemistry of a patient. Monitoring streamwater chemistry, basic climate, soil, and biotic variables provide a means to integrate complex biogeochemical processes and evaluate trends in water quality. Small watershed studies provide a scientific basis to develop predictive models of watershed function. Major emphases of small watershed studies include investigation of hydrologic and chemical responses to natural climate variation, anthropogenic stressors, and alternate forest-management practices. The nature and significance of biogeochemical research in small watersheds is reviewed by Moldan and Cerny (1994). The U.S. Geological Survey, U.S. Department of Agriculture Forest Service, and other federal agencies support several long-term small watershed studies to provide insight into a variety of ecosystem processes. Long-term records are essential to distinguish trends resulting from natural climatic variations or other stressors. The following sites, with noted periods of records, are examples of intensively studied forested watersheds in eastern USA supported by federal agencies: ■ Coweeta Hydrologic Laboratory, North Carolina, (1939-present), Swank and Crossley (1988). ■ Hubbard Brook Experimental Forest, New Hampshire, (1956-present), Bormann and Likens (1979). ■ Sleepers River Research Watershed, Vermont, (1958-present), Shanley et al. (1995). ■ Walker Branch Watershed, Tennessee, (1967-present), Johnson and Van Hook (1989). ■ Catoctin Mountains Research Site, Maryland, (1982-present), Rice and Bricker (1995). ■ Catskill Stream Network, New York, (1983- present), Murdoch and Stoddard (1992). ■ Panola Mountain Research Watershed, Georgia, (1985-present), Huntington et al. (1993). Small watershed studies also provide essential baseline information for understanding variations in water quality and element cycling in "pristine" ecosystems that can be used as benchmarks to evaluate anthropogenic impacts and alternate watershed management practices. This paper provides examples of how analytical tools developed through watershed research provide insight into ecosystem processes and can contribute to the management of watershed resources.

Conference Paper↗

An experimental study of zinc chloride speciation from 300 to 600 °C and 0.5 to 2.0 kbar in buffered hydrothermal solutions

The solubility of sphalerite (ZnS) was measured in KCl-HCl-H 2 O solutions at 300–600°C and 0.5–2.0 kbar. The silicate assemblage K-feldspar-muscovite (or andalusite)-quartz was used to buffer the solution to acid conditions, resulting in the total solubility reaction 2 K + + KAl 2 AlSi 3 O 10 ( OH ) 2 + 6 SiO 2 + ZnS + nCl − = ZnCl n (2− n ) + 3 KAlSi 3 O 8 + H 2 S . (muscovite) (quartz) (sphalerite) (K-feldspar) A computer retrieval technique was used to derive average chloride ligand numbers for chlorozinc species at 0.25–2.0 molal total chloride. This technique mathematically solves for the average ligand number using a series of pertinent chemical relations at P and T . Mono- and di-chlorozinc species were found to predominate throughout the pressure-temperature-composition range investigated. The logarithms of the first and second dissociation constants for ZnCl 2 0 were evaluated over the P - T range; for example, at 1 kbar, the values −0.41 and −1.42 were computed for the logarithm of the first dissociation constant, while −7.62 and −10.57 were computed for the logarithm of the second dissociation constant, for 400 and 500°C, respectively. Results are compared to past studies conducted at subcritical conditions and differ in that we find no evidence for more highly coordinated chloro-zinc species except possibly for ZnCl 3 − at 600°C, 1 and 2 kbar. Our results are consistent with electrostatic theory, which favors lower charged to neutral molecules in low dielectric-constant media.

Geochimica et Cosmochimica Acta↗

Laboratory toxicity and benthic invertebrate field colonization of Upper Columbia River sediments: Finding adverse effects using multiple lines of evidence

From 1930 to 1995, the Upper Columbia River (UCR) of northeast Washington State received approximately 12 million metric tons of smelter slag and associated effluents from a large smelter facility located in Trail, British Columbia, approximately 10 km north of the United States–Canadian border. Studies conducted during the past two decades have demonstrated the presence of toxic concentrations of heavy metals in slag-based sandy sediments, including cadmium, copper, zinc, and lead in the UCR area as well as the downstream reservoir portion of Lake Roosevelt. We conducted standardized whole-sediment toxicity tests with the amphipod Hyalella azteca (28-day) and the midge Chironomus dilutus (10-day) on 11 samples, including both UCR and study-specific reference sediments. Metal concentrations in sediments were modeled for potential toxicity using three approaches: (1) probable effects quotients (PEQs) based on total recoverable metals (TRMs) and simultaneously extracted metals (SEMs); (2) SEMs corrected for acid-volatile sulfides (AVS; i.e., ∑SEM − AVS); and (3) ∑SEM − AVS normalized to the fractional organic carbon (f oc ) (i.e., ∑SEM − AVS/f oc ). The most highly metal-contaminated sample (∑PEQ TRM = 132; ∑PEQ SEM = 54; ∑SEM − AVS = 323; and ∑SEM − AVS/ foc = 64,600 umol/g) from the UCR was dominated by weathered slag sediment particles and resulted in 80% mortality and 94% decrease in biomass of amphipods; in addition, this sample significantly decreased growth of midge by 10%. The traditional ∑AVS – SEM, uncorrected for organic carbon, was the most accurate approach for estimating the effects of metals in the UCR. Treatment of the toxic slag sediment with 20% Resinex SIR-300 metal-chelating resin significantly decreased the toxicity of the sample. Samples ∑SEM − AVS > 244 was not toxic to amphipods or midge in laboratory testing, indicating that this value may be an approximate threshold for effects in the UCR. In situ benthic invertebrate colonization studies in an experimental pond (8-week duration) indicated that two of the most metal-contaminated UCR sediments (dominated by high levels of sand-sized slag particles) exhibited decreased invertebrate colonization compared with sand-based reference sediments. Field-exposed SIR-300 resin samples also exhibited decreased invertebrate colonization numbers compared with reference materials, which may indicate behavioral avoidance of this material under field conditions. Multiple lines of evidence (analytical chemistry, laboratory toxicity, and field colonization results), along with findings from previous studies, indicate that high metal concentrations associated with slag-enriched sediments in the UCR are likely to adversely impact the growth and survival of native benthic invertebrate communities. Additional laboratory toxicity testing, refinement of the applications of sediment benchmarks for metal toxicity, and in situ benthic invertebrate studies will assist in better defining the spatial extent, temporal variations, and ecological impacts of metal-contaminated sediments in the UCR system.

Trail↗

How parasite exposure and time interact to determine Australapatemon burti (Trematoda: Digenea) infections in second intermediate hosts (Erpobdella microstoma) (Hirudinea: Erpodellidae)

Australapatemon spp. are cosmopolitan trematodes that infect freshwater snails, aquatic leeches, and birds. Despite their broad geographic distribution, relatively little is known about interactions between Australapatemon spp. and their leech hosts, particularly under experimental conditions and in natural settings. We used experimental exposures to determine how Australapatemon burti cercariae dosage (number administered to leech hosts, Erpobdella microstoma ) affected infection success (fraction to encyst as metacercariae), infection abundance, host survival, and host size over the 100 days following exposure. Interestingly, infection success was strongly density-dependent, such that there were no differences in metacercariae load even among hosts exposed to a 30-fold difference in cercariae. This relationship suggests that local processes (e.g., resource availability, interference competition, or host defenses) may play a strong role in parasite transmission. Our results also indicated that metacercariae did not become evident until ~4 weeks post exposure, with average load climbing until approximately 13 weeks. There was no evidence of metacercariae death or clearance over the census period. Parasite exposure had no detectable effects on leech size or survival, even with nearly 1,000 cercariae. Complementary surveys of leeches in California revealed that 11 of 14 ponds supported infection by A. burti (based on morphology and molecular sequencing), with an average prevalence of 32% and similar metacercariae intensity as in our experimental exposures. The extended development time and extreme density dependence of A. burti has implications for studying naturally occurring host populations, for which detected infections may represent only a fraction of cercariae to which animals have been exposed. Future investigation of these underlying mechanisms would be benefical in understanding host-parasite relationships.

Experimental Parasitology↗

Genotyping of the fish rhabdovirus, viral haemorrhagic septicaemia virus, by restriction fragment length polymorphisms

The aim of this study was to develop a standardized molecular assay that used limited resources and equipment for routine genotyping of isolates of the fish rhabdovirus, viral haemorrhagic septicaemia virus (VHSV). Computer generated restriction maps, based on 62 unique full-length (1524 nt) sequences of the VHSV glycoprotein ( G ) gene, were used to predict restriction fragment length polymorphism (RFLP) patterns that were subsequently grouped and compared with a phylogenetic analysis of the G -gene sequences of the same set of isolates. Digestion of PCR amplicons from the full-length G -gene by a set of three restriction enzymes was predicted to accurately enable the assignment of the VHSV isolates into the four major genotypes discovered to date. Further sub-typing of the isolates into the recently described sub-lineages of genotype I was possible by applying three additional enzymes. Experimental evaluation of the method consisted of three steps: (i) RT-PCR amplification of the G -gene of VHSV isolates using purified viral RNA as template, (ii) digestion of the PCR products with a panel of restriction endonucleases and (iii) interpretation of the resulting RFLP profiles. The RFLP analysis was shown to approximate the level of genetic discrimination obtained by other, more labour-intensive, molecular techniques such as the ribonuclease protection assay or sequence analysis. In addition, 37 previously uncharacterised isolates from diverse sources were assigned to specific genotypes. While the assay was able to distinguish between marine and continental isolates of VHSV, the differences did not correlate with the pathogenicity of the isolates.

Veterinary Microbiology↗

A manipulative thermal challenge protocol for adult salmonids in remote field settings

Manipulative experiments provide stronger evidence for identifying cause-and-effect relationships than correlative studies, but protocols for implementing temperature manipulations are lacking for large species in remote settings. We developed an experimental protocol for holding adult Chinook salmon ( Oncorhynchus tshawytscha ) and exposing them to elevated temperature treatments. The goal of the experimental protocol was to validate heat stress biomarkers by increasing river water temperature from ambient (~14°C) to a treatment temperature of 18°C or 21°C and then maintain the treatment temperature over 4 hours within a range of ±1.0°C. Our protocol resulted in a mean rate of temperature rise of 3.71°C h-1 (SD = 1.31) to treatment temperatures and mean holding temperatures of 18.0°C (SD = 0.2) and 21.0°C (SD = 0.2) in the low- and high-heat treatments, respectively. Our work demonstrated that manipulative experiments with large, mobile study species can be successfully developed in remote locations to examine thermal stress.

Conservation Physiology↗

Failure to meet the exchangeability assumption in Bayesian multispecies occupancy models: Implications for study design

Bayesian hierarchical models are ubiquitous in ecology. Random effect model structures are often employed that treat individual effects as deviations from larger population-level effects. In this way individuals are assumed to be "exchangeable" samples. Ecologists may address this exchangeability assumption intuitively, but might in certain modeling contexts ignore it altogether, including in situations where it may have large implications for study design. Multispecies occupancy models based on detection/non-detection data are an approach that can be utilized by those tasked with monitoring rare and endangered species because most literature suggests that, compared to single species occupancy models, improved parameter estimates are assured. Yet, we illustrate through a power analysis how sampling requirements to detect experimental treatment effects vary tremendously depending on whether the species exchangeability assumption is met. The degree to which species in a community respond similarly to covariates governs the ability to accurately estimate parameters using multispecies occupancy models. Detecting small or moderate changes in occupancy resulting from habitat restoration treatments may be impossible for small datasets (e.g., < 36 sampling locations, each surveyed < 8 times) even with a paired treatment-control design if the exchangeability assumption is violated. By contrast, when the assumption is met, small effects may be confidently estimated with as few as 12 sampling locations (6 pairs) and 6-8 survey events. Often, it may be impossible to know whether the exchangeability assumption is met. The statistical power needed to accurately estimate species-specific effects using detection/non-detection multispecies occupancy models depends on the unknown values of treatment effects and whether responses by species in the community diverge. When the species exchangeability assumption is violated, and at lower levels of sampling effort, multispecies occupancy models may provide worse inference than single species occupancy models.

BioRxiv↗

Outplanting Wyoming big sagebrush following wldfire: stock performance and economics

Finding ecologically and economically effective ways to establish matrix species is often critical for restoration success. Wyoming big sagebrush (Artemisia tridentata subsp. wyomingensis) historically dominated large areas of western North America, but has been extirpated from many areas by large wildfires; its re-establishment in these areas often requires active management. We evaluated the performance (survival, health) and economic costs of container and bare-root stock based on operational plantings of more than 1.5 million seedlings across 2 200 ha, and compared our plantings with 30 other plantings in which sagebrush survival was tracked for up to 5 yr. Plantings occurred between 2001 and 2007, and included 12 combinations of stock type, planting amendment, and planting year.We monitored 10 500 plants for up to 8 yr after planting. Survival to Year 3 averaged 21% and was higher for container stock (30%) than bare-root stock (17%). Survival did not differ among container stock plantings, whereas survival of bare-root stock was sometimes enhanced by a hydrogel dip before planting, but not by mycorrhizal amendments. Most mortality occurred during the first year after planting; this period is the greatest barrier to establishment of sagebrush stock. The proportion of healthy stock in Year 1 was positively related to subsequent survival to Year 3. Costs were minimized, and survival maximized, by planting container stock or bare-root stock with a hydrogel dip. Our results indicate that outplanting is an ecologically and economically effective way of establishing Wyoming big sagebrush. However, statistical analyses were limited by the fact that data about initial variables (stock quality, site conditions, weather) were often unrecorded and by the lack of a replicated experimental design. Sharing consistent data and using an experimental approach would help land managers and restoration practitioners maximize the success of outplanting efforts.

Washington↗

Establishment, sex structure and breeding system of an exotic riparian willow, Salix X rubens

Several Eurasian tree willows ( Salix spp.) have become naturalized in riparian areas outside of their native range. Salix x rubens is a Eurasian willow that is conspicuous along streams in the high plains of Colorado. We examined establishment of seedlings and cuttings, the sex structure and the breeding system of S. x rubens . An experiment was conducted on establishment and growth of seedlings and cuttings under a range of hydrologic conditions. Seedlings became established under all conditions except when flooded, although many fewer seedlings became established where soil surface conditions were relatively dry. Cuttings became established under all experimental conditions, but most frequently where soil moisture was highest. The sex structure of S. x rubens was determined along several streams in the Colorado high plains. Of 2175 trees surveyed, >99% (2172) were female. Salix x rubens produce viable seed apparently as a result of hybridization with another Eurasian willow, S. alba var. vitellina . Salix x rubens often reproduces vegetatively, which, combined with low hybrid seedling survival in the field, may explain the unusual sex structure. Salix x rubens will likely continue to spread vegetatively in high plains riparian areas, and the potential for spread through hybridization could increase if males of compatible Salix spp. are planted near extant S. x rubens .

American Midland Naturalist↗

Physical constraints on sounds generated by very small earthquakes

Vertical vibrations of the ground surface due to elastic waves from an earthquake will generate acoustic pressure waves in the overlying atmosphere. Sufficiently intense vibrations of the ground at frequencies greater than about 20 HZ can produce pressure waves that are within the audible range of many animals, including humans. People in the epicentral region of moderate to large earthquakes, for instance, commonly relate hearing sounds accompanying individual earthquakes (here we exclude sounds associated with mechanical resonances in structures such as houses). Descriptions of these sounds range from the report of distant guns to the rumble of thunder or the rushing of a wind (Davison, 1938; Lanchow Seismological Brigade, Appendix II). In many instances, the sounds are described as starting several seconds before the earthquake is felt. Experimental and theoretical verification that such earthquake sounds are generated by high-frequency ground motion from local earthquakes is based on simultaneous acoustic and seismic recordings recently obtained during a swarm of earthquakes in the Imperial Valley, California (Hill and others, 1976). These results show that for local earthquakes in the magnitude range 2 to-3, audible sounds are generated by the first arriving compressional (P) wave while perceptible shaking begins with the larger but slower shear (S) wave, explaining the reports that "earthquake sounds" are frequently heard several seconds before the earthquake is felt. A commonly proposed explanation for alleged anomalous animal behavior hours to days prior to large earthquakes suggests that animals with acute, high-frequency hearing respond to weak '''ultrasonic" sounds generated by small earthquakes occurring in the epicentral region of the impending event. Such earthquakes are presumably too small to be either felt or heard by humans in the region and too small to be routinely recognized as earthquakes on seismograms recorded on a local seismograph network. Evidence that such "popping and cracking" may occur in the region of an impending earthquake comes from laboratory experiments in which the rate of microfracturing in a rock sample subjected to large stress differences increases dramatically before catastrophic failure of the sample (Scholz, 1968; Stesky, 1975). In this paper we investigate the following question: What are the constraints on earthquake size (fault dimension and displacement) and hypocentral distance (distance from the earthquake focus to a point on the Earth's surface) such that animals noted for their acute hearing might react to the sound generated by the event while the same event would go undetected by humans (either by feeling, hearing, or routine identification on a local seismograph network)? Factors to be considered include: 1) the nature of the displacement spectral amplitudes of elastic waves radiated from an earthquake, 2) the effects of attenuation on the spectral components of elastic (seismic) waves over propagation paths from the focus to the Earth's surface, 3) the appropriate scaling of spectral amplitudes from moderate to very small earthquakes, 4) the coupling of elastic waves in the Earth to acoustic waves in the atmosphere, and 5) the threshold-of-hearing characteristics for various animals, including man. In considering these factors, we will find that, except for extremely small, shallow "earthquakes" (fracture dimension on the order of 10 cm and focal depths on the order of 10 m), acoustic emissions from premonitory fracturing ought to be equally audible to both people and animals in the immediate area of the fracturing.

Open-File Report↗

High-density grass carp stocking effects on a reservoir invasive plant and water quality

Stocking grass carp [Ctenopharyngodon idella (Valenciennes)] is a commonly applied technique to control nuisance aquatic vegetation in reservoirs. Factors that influence the degree of aquatic vegetation control are fish stocking density, regional climate, abundance and species composition of the aquatic plant community, and relative grass carp feeding preferences for plant species. We evaluated high-density grass carp stocking in a southeastern U.S. reservoir for control of parrot-feather [Myriophyllum aquaticum (Vell) Verdc.], an invasive aquatic plant that is not preferentially consumed by grass carp and the associated effects on water quality. Lookout Shoals Lake, a 528-ha piedmont North Carolina reservoir, was stocked with triploid grass carp at a density of 100 fish per vegetated hectare. Parrot-feather biomass in the lake was significantly reduced three months after grass carp stocking, compared to biomass in in-situ exclosures. During the second year after grass carp stocking, parrot-feather biomass in the lake compared to biomass in in-situ exclosures indicated continued control, but unexplained lack of growth within most experimental exclosures precluded biomass analyses. Increases in ambient water chlorophyll a, reactive phosphorus, and nitrate-nitrite concentrations were measured after grass carp stocking. The biological significance of observed changes in water chemistry and long-term effects on lake biota remain undetermined. Our results demonstrate that intensive grass carp stocking can control an invasive aquatic plant that is not preferentially consumed by grass carp and reveal associated changes in water quality.

North Carolina↗

Lianas escape self-thinning: Experimental evidence of positive density dependence in temperate lianas Celastrus orbiculatus and C. scandens

The neighborhood density of plants strongly affects their growth, reproduction, and survival. In most cases, high density increases competition and negatively affects a focal plant in predictable ways, leading to the self-thinning law. There are, however, situations in which high densities of plants facilitate focal plant performance, resulting in positive density dependence. Despite their importance in forest gap dynamics and distinctive growth form, there have been very few studies of the effect of density on lianas or vines. We grew an invasive ( Celastrus orbiculatus ) and a native ( Celastrus scandens ) liana species together in three different density treatments, while also manipulating the light and support availability. We found that across treatment conditions, C. orbiculatus always out-performed C. scandens , showing greater relative growth rate in height and diameter, greater biomass and higher survival. Both species responded similarly to the density treatments: with plants in high density not showing a decrease in relative height growth rate compared to medium density. Aboveground biomass for C. scandens was not affected by density, while for C. orbiculatus , the most massive plants were growing in medium density without support. More surprisingly, survival analysis indicated that the two species both had significantly lower mortality rates in the highest density treatment; this trend held true across the other treatments of light and supports. More generally, this study demonstrates that these lianas can escape the consequences of high density and thus the self-thinning law that affects self-supporting plants. This suggests a broader hypothesis about lianas in general: their greater flexibility in allocating growth resources allows them to grow taller and thinner without collapsing and thereby potentially escape shading and mortality even at high densities.

Perspectives in Plant Ecology, Evolution and Syste↗

Experimental design for estimating parameters of rate-limited mass transfer: Analysis of stream tracer studies

Tracer experiments are valuable tools for analyzing the transport characteristics of streams and their interactions with shallow groundwater. The focus of this work is the design of tracer studies in high-gradient stream systems subject to advection, dispersion, groundwater inflow, and exchange between the active channel and zones in surface or subsurface water where flow is stagnant or slow moving. We present a methodology for (1) evaluating and comparing alternative stream tracer experiment designs and (2) identifying those combinations of stream transport properties that pose limitations to parameter estimation and therefore a challenge to tracer test design. The methodology uses the concept of global parameter uncertainty analysis, which couples solute transport simulation with parameter uncertainty analysis in a Monte Carlo framework. Two general conclusions resulted from this work. First, the solute injection and sampling strategy has an important effect on the reliability of transport parameter estimates. We found that constant injection with sampling through concentration rise, plateau, and fall provided considerably more reliable parameter estimates than a pulse injection across the spectrum of transport scenarios likely encountered in high-gradient streams. Second, for a given tracer test design, the uncertainties in mass transfer and storage-zone parameter estimates are strongly dependent on the experimental Damkohler number, DaI , which is a dimensionless combination of the rates of exchange between the stream and storage zones, the stream-water velocity, and the stream reach length of the experiment. Parameter uncertainties are lowest at DaI values on the order of 1.0. When DaI values are much less than 1.0 (owing to high velocity, long exchange timescale, and/or short reach length), parameter uncertainties are high because only a small amount of tracer interacts with storage zones in the reach. For the opposite conditions ( DaI ≫ 1.0), solute exchange rates are fast relative to stream-water velocity and all solute is exchanged with the storage zone over the experimental reach. As DaI increases, tracer dispersion caused by hyporheic exchange eventually reaches an equilibrium condition and storage-zone exchange parameters become essentially nonidentifiable.

Water Resources Research↗

The Role of Geoscience Information in Reducing Catastrophic Loss Using a Web-Based Economics Experiment

What role can geoscience information play in the assessment of risk and the value of insurance, especially for natural hazard type risks? In an earlier, related paper Ganderton and others (2000) provided subjects with relatively simple geoscience information concerning natural hazard-type risks. Their research looked at how subjects purchase insurance when faced with relatively low probability but high loss risks of the kind that characterize natural hazards and now, increasingly, manmade disasters. They found evidence to support the expected utility theory (definitions of economics terms can be found in a glossary at the end of report), yet there remained the implication that subjects with excessive aversion to risk were willing to pay considerably more for insurance than the actuarially fair price plus any reasonable risk premium. Here, we report the results of additional experiments that provide further support for the basic postulates of expected utility theory. However, these new experiments add considerably to the decision environment facing subjects by offering an option to purchase geoscientific information that would assist them when calculating expected losses from hazards more accurately. Using an Internet-based mechanism to present information and gather data in an experimental setting, this research provided subjects with considerable textual and graphical information, and time to process it. Over a period of three months, almost 400 subjects participated in on-line experiments that generated approximately 22,000 usable data points for the empirical analysis discussed in this report. In the design of the experiment, we modeled the decisions to purchase (1) a detailed map giving subjects more information regarding the distribution of losses from a hazard and (2) insurance to indemnify them from any losses should they occur. On the basis of this design, we find strong evidence in support of the expected utility theory. Many of the findings reinforce those found in the early, similar study (Ganderton and others, 2000). However, this research also finds interactions between the decision to become better informed and the decision to insure. We chose an empirical framework that allows for both explicit and implicit (unobservable) correlations between the two decisions. The results suggest that at the end of the computer game subjects recognize the benefits of greater geoscience information. They take advantage of it, but are sensitive to its cost. When subjects use the more detailed information, they are more likely to purchase insurance when it offers a net benefit.

Professional Paper↗

Reestablishing a host–affiliate relationship: Migratory fish reintroduction increases native mussel recruitment

Co‐extirpation among host–affiliate species is thought to be a leading cause of biodiversity loss worldwide. Freshwater mussels (Unionida) are at risk globally and face many threats to survival, including limited access to viable host fish required to complete their life history. We examine the relationship between the common eastern elliptio mussel ( Elliptio complanata ) and its migratory host fish the American eel ( Anguilla rostrata ), whose distribution in the Chesapeake Bay watershed is limited, in part, by dams. We examined population demographics of E. complanata across locations in the Chesapeake Bay watershed, primarily in the Susquehanna River in the absence of American eels, and conducted experimental restocking of eels to assess potential impacts on mussel recruitment. Compared to surveys completed ~20 yr prior, E. complanata could be experiencing declines at several historically abundant sites. These sites also had extremely limited evidence of recruitment. Restoration of host fish improved recruitment, but results were not equivalent between stocking sites, indicating that host reintroduction alone may not be fully effective in reestablishing mussel populations. One site where eels were introduced (Pine Creek, Tioga County, Pennsylvania, USA) experienced an increase from 0 juveniles found during quantitative surveys prior to eel stocking to 151 (21% of individuals collected during quantitative surveys) E. complanata juveniles found four years after stocking. A second site (Buffalo Creek, Union County, Pennsylvania) experienced a more moderate increase from 2 to 7 juveniles found during 2010 and 2014 quantitative surveys, respectively. Continued examination of other potential interacting factors affecting recruitment, including water quality or habitat conditions, is necessary to target favorable sites for successful restoration.

Maryland, Pennsylvania↗

Surface energy balance of sub-Arctic roads with varying snow regimes and properties in permafrost regions

Surface energy balance (SEB) strongly influences the thermal state of permafrost, cryohydrological processes, and infrastructure stability. Road construction and snow accumulation affect the energy balance of underlying permafrost. Herein, we use an experimental road section of the Alaska Highway to develop a SEB model to quantify the surface energy components and ground surface temperature (GST) for different land cover types with varying snow regimes and properties. Simulated and measured ground temperatures are in good agreement, and our results show that the quantity of heat entering the embankment center and slope is mainly controlled by net radiation, and less by the sensible heat flux. In spring, lateral heat flux from the embankment center leads to earlier disappearance of snowpack on the embankment slope. In winter, the insulation created by the snow cover on the embankment slope reduces heat loss by a factor of three compared with the embankment center where the snow is plowed. The surface temperature offsets are 5.0°C and 7.8°C for the embankment center and slope, respectively. Furthermore, the heat flux released on the embankment slope exponentially decreases with increasing snow depth, and linearly decreases with earlier snow cover in fall and shorter snow-covered period in spring.

Yukon↗

Surface erosion caused on Mars from Viking descent engine plume

During the Martian landings the descent engine plumes on Viking Lander 1 (VL-1) and Viking Lander 2 (VL-2) eroded the Martian surface materials. This had been anticipated and investigated both analytically and experimentally during the design phase of the Viking spacecraft. This paper presents data on erosion obtained during the tests of the Viking descent engine and the evidence for erosion by the descent engines of VL-1 and VL-2 on Mars. From these and other results, it is concluded that there are four distinct surface materials on Mars: (1) drift material, (2) crusty to cloddy material, (3) blocky material, and (4) rock. ?? 1980 D. Reidel Publishing Co.

The Moon and the Planets↗

Life-history variation of a neotropical thrush challenges food limitation theory

Since David Lack first proposed that birds rear as many young as they can nourish, food limitation has been accepted as the primary explanation for variation in clutch size and other life-history traits in birds. The importance of food limitation in life-history variation, however, was recently questioned on theoretical grounds. Here, we show that clutch size differences between two populations of a neotropical thrush were contrary to expectations under Lack's food limitation hypothesis. Larger clutch sizes were found in a population with higher nestling starvation rate (i.e. greater food limitation). We experimentally equalized clutches between populations to verify this difference in food limitation. Our experiment confirmed greater food limitation in the population with larger mean clutch size. In addition, incubation bout length and nestling growth rate were also contrary to predictions of food limitation theory. Our results demonstrate the inability of food limitation to explain differences in several life-history traits: clutch size, incubation behaviour, parental feeding rate and nestling growth rate. These life-history traits were better explained by inter-population differences in nest predation rates. Food limitation may be less important to life history evolution in birds than suggested by traditional theory. ?? 2005 The Royal Society.

Proceedings of the Royal Society B: Biological Sci↗