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Quantifying changes to infaunal communities associated with several deep-sea coral habitats in the Gulf of Mexico and their potential recovery from the DWH oil spill

Extensive information is available about infaunal soft-sediment communities in the Gulf of Mexico (Gulf) (Pequegnat et al. 1990, Rowe and Kennicutt II 2009, Wei et al. 2010), particularly from the large-scale sampling effort of the Deep Gulf of Mexico Benthos (DGOMB) project in the early 2000s (Rowe and Kennicutt II 2009). Infaunal soft-sediment communities in the northern Gulf differ by geographic location and depth (Rowe and Kennicutt II 2009, Wei et al. 2010). Density decreases with depth, while taxa diversity exhibits a mid-depth (1,100-1,300 m) maximum (Rowe and Kennicutt II 2009). Community composition is influenced by both geographic location and depth, with zones (as defined by Wei et al. 2010) encompassing specific depth ranges, ranging from 635 to 3,314 m, and separated into east and west components. These zones were correlated to detrital particulate organic carbon (POC) export flux, primarily from the Mississippi River (Wei et al. 2010), where POC flux decreases with depth (Biggs et al. 2008). The flux of POC has also been found to be higher in the northeast Gulf than the northwest (Biggs et al. 2008), and consequently, biomass of infaunal communities is positively correlated with sedimentorganic carbon content (Morse and Beazley 2008). Most of the deep Gulf is composed of soft-sediment environments, but the relative flat seafloor is punctuated in areas with other heterogeneous habitats, including chemosynthetic environments and deepsea coral habitats. Deep-sea corals create a complex three-dimensional structure that enhances local biodiversity, supporting diverse and abundant fish and invertebrate communities (Mortensen et al. 1995, Costello et al. 2005, Henry and Roberts 2007, Ross and Quattrini 2007, Buhl-Mortensen et al. 2010). In recent years, knowledge of the sphere of influence of deep-sea corals has expanded, with evidence that coral habitats also influence surrounding sediments (Mienis et al. 2012, Demopoulos et al. 2014, Fisher et al. 2014, Demopoulos et al. 2016, Bourque and Demopoulos 2018). Deep-sea corals are capable of altering their associated biotic and abiotic environment, thus serving as ecosystem engineers (e.g., Jones et al. 1994). The depositional environment and associated hydrodynamic regime around coral habitats differ from the extensive expanses of soft-sediments that dominate the sea floor (e.g., Mienis et al. 2009a. 2009a, Mienis et al. 2009b, Mienis et al. 2012), with the three-dimensional structure of the coral causing turbulent flows that enhance sediment accumulation adjacent to coral structures. In the northern Gulf, deep-sea corals generally occur on mounds of authigenic carbonate (Schroeder 2002) where elevation above the benthic boundary layer into higher velocity laminar flows allows for increased availability of food resources (Buhl-Mortensen and Mortensen 2005). The different hydrodynamics around corals likely affects the sediment geochemistry and in turn infaunal community structure and function (Demopoulos et al. 2014). Ecosystem-based research on Gulf infaunal communities has primarily focused on soft-sediment environments. Initial research on deep-sea coral-associated infaunal communities focused on Lophelia pertusa (e.g., Demopoulos et al. 2014), and more recent studies focused on octocorals (Fisher et al. 2014, Demopoulos et al. 2016, Bourque and Demopoulos 2018) and comparisons among coral habitat types (Bourque and Demopoulos 2018). Coral-adjacent sediment communities are distinctly different from nearby background soft-sediment (Demopoulos et al. 2014, Bourque and Demopoulos 2018), with a sphere of influence estimated to be between 14 and 100 m (Demopoulos et al. 2014, Bourque and Demopoulos 2018). The coral type (e.g., L. pertusa, Madrepora oculata, octocorals) also influences sediment communities, with L. pertusa habitats distinct from both M. oculata and octocoral habitats (Bourque and Demopoulos 2018). Differences among coral communities are influenced by depth,

Gulf of Mexico↗

Predicting the occurrence of chemicals of emerging concern in surface water and sediment across the U.S. portion of the Great Lakes Basin

Chemicals of emerging concern (CECs) are introduced into the aquatic environment via various sources, posing a potential risk to aquatic organisms. Previous studies have identified relationships between the presence of CECs in water and broad-scale watershed characteristics. However, relationships between the presence of CECs and source-related watershed characteristics have not been explored across the Great Lakes basin. Boosted regression tree (BRT) analyses were used to develop predictive models of CEC occurrence in water and sediment throughout 24 U.S. tributaries to the Great Lakes. Models were based on the distribution of both broad-scale and source-related watershed characteristics. Twenty-one upstream watershed characteristics, including land cover, number of permitted point sources, and distance to point sources were used to develop models predicting the probability of CEC occurrence in surface water and bottom sediment. Total accuracy of BRT models ranged from 66% to 94% for both matrices. All 21 watershed characteristics were important predictor variables in at least one surface-water model; twenty were important in at least one bottom-sediment model. Among the model variables, developed land use and distance to point sources were important predictors of the presence of CEC classes in both water and sediment. Although limitations exist, BRT models are one tool available for assessing vulnerability of fisheries and aquatic resources to CEC occurrences.

Great Lakes basin↗

Gulf Coast Ecosystem Restoration Task Force---Gulf of Mexico Ecosystem Science Assessment and Needs

The Gulf Coast Ecosystem Restoration Task Force (GCERTF) was established by Executive Order 13554 as a result of recommendations from “America’s Gulf Coast: A Long-term Recovery Plan after the Deepwater Horizon Oil Spill” by Secretary of the Navy Ray Mabus (Mabus Report). The GCERTF consists of members from 11 Federal agencies and representatives from each State bordering the Gulf of Mexico. The GCERTF was charged to develop a holistic, long-term, science-based Regional Ecosystem Restoration Strategy for the Gulf of Mexico. Federal and State agencies staffed the GCERTF with experts in fields such as policy, budgeting, and science to help develop the Strategy. The Strategy was built on existing authorities and resources and represents enhanced collaboration and a recognition of the shared responsibility among Federal and State governments to restore the Gulf Coast ecosystem. In this time of severe fiscal constraints, Task Force member agencies and States are committed to establishing shared priorities and working together to achieve them. As part of this effort, three staffers, one National Oceanic and Atmospheric Administration (NOAA) scientist and two U.S. Geological Survey (USGS) scientists, created and led a Science Coordination Team (SCT) to guide scientific input into the development of the Gulf of Mexico Regional Ecosystem Restoration Strategy. The SCT leads from the GCERTF coordinated more than 70 scientists from the Federal and State Task Force member agencies to participate in development of a restoration-oriented science document focused on the entire Gulf of Mexico, from inland watersheds to the deep blue waters. The SCT leads and scientists were organized into six different working groups based on expanded goals from the Mabus Report: Coastal habitats are healthy and resilient. Living coastal and marine resources are healthy, diverse, and sustainable. Coastal communities are adaptive and resilient. Storm buffers are sustainable. Inland habitats and watersheds are managed to help support healthy and sustainable Gulf of Mexico ecosystems. Offshore environments are healthy and well managed Each working group was charged with defining their specific goal, describing the current conditions related to that goal (for example, the status of coastal habitats in the Gulf of Mexico), providing highlevel activities needed to further define and achieve the goal, with associated outcome-based performance indicators, and identifying the scientific gaps in understanding to accomplish the goal and implement the recommended activities. The overall scientific assessment reveals that the Gulf of Mexico ecosystem continues to suffer from extensive degradation, and action is necessary to develop a healthy, resilient, and sustainable Gulf of Mexico ecosystem. The six groups also were tasked with outlining the necessary monitoring, modeling, and research needs to aid in achieving the goals. Recognizing that (1) the scientific needs (monitoring, modeling, and research) overlap among many of the goals, and (2) an overarching scientific framework could be developed to implement the necessary science in support of the Strategy, a seventh group was created with several members from each of the original six working groups. This seventh group compiled all of the cross-cutting monitoring, modeling, and research needs previously identified by the individual groups. These scientific requirements are found in Chapter 5 of this document. The seventh group also has developed a Science Plan, outlined in Chapter 6. The Science Plan provides the basic science infrastructure to support the overall Gulf restoration program and Strategy. The Science Plan allows for the development of an iterative and flexible approach to adaptive management and decision-making related to restoration projects based on sound science that includes monitoring, modeling, and research. Taken in its entirety, this document helps to articulate the current state of the system and the critical science needs to support effective restoration of the Gulf of Mexico resources that have been trending towards decline for decades.

Report↗

The gap between experts, farmers and non-farmers on perceived environmental vulnerability and the influence of values and beliefs

Science has played a mixed role in guiding conservation and sustainability-oriented decision-making by individuals, policymakers, institutions, and governments. Not all science-based conservation and sustainability initiatives that address issues facing humanity and ecosystems and global problems have gained public support. Conservation decisions and policy prescriptions are and may be based on perceptions about and experiences with the environment, local land use, and ecosystems that may not align with or be grounded in science or evidence from experts in the field. Values, beliefs, and perceptions associated with nature play a critical role in how individuals view biodiversity conservation, sustainability, and natural resource management . This study first examines the gap between experts (scientists and other field experts) and the public (farmers and non-farmers) about the state of water and land resources, wildlife and associated habitats, and aquatic biodiversity in the Smoky Hill River Watershed in western Kansas. Second, the study examines the role that values and beliefs play in shaping environmental perceptions for farmers and non-farmers. Analysis confirms that a gap between experts and farmers/non-farmers does exist, especially with respect to the state of the Ogallala Aquifer, playas, rivers and streams, lakes and reservoirs, native grasslands, wildlife habitats, farmland, native fish populations, and wildlife species. Ordered-logistic regression analyses, meanwhile, indicate that farmer and non-farmer perceptions about the state of the local environment are influenced by traditional and self-interested values, as well as environmental values and beliefs, but less so by religiosity and political ideology. Despite broad takeaways, results exhibited heterogeneity across the farmer and non-farmer subpopulations. If environmental professionals cannot align ecological data, stakeholders’ values/perceptions, and policies, then the existing body of technical research and management on sustainability in natural and social sciences may be of little value.

Journal of Environmental Management↗

Integrated groundwater management: An overview of concepts and challenges

Managing water is a grand challenge problem and has become one of humanity’s foremost priorities. Surface water resources are typically societally managed and relatively well understood; groundwater resources, however, are often hidden and more difficult to conceptualize. Replenishment rates of groundwater cannot match past and current rates of depletion in many parts of the world. In addition, declining quality of the remaining groundwater commonly cannot support all agricultural, industrial and urban demands and ecosystem functioning, especially in the developed world. In the developing world, it can fail to even meet essential human needs. The issue is: how do we manage this crucial resource in an acceptable way, one that considers the sustainability of the resource for future generations and the socioeconomic and environmental impacts? In many cases this means restoring aquifers of concern to some sustainable equilibrium over a negotiated period of time, and seeking opportunities for better managing groundwater conjunctively with surface water and other resource uses. However, there are many, often-interrelated, dimensions to managing groundwater effectively. Effective groundwater management is underpinned by sound science (biophysical and social) that actively engages the wider community and relevant stakeholders in the decision making process. Generally, an integrated approach will mean “thinking beyond the aquifer”, a view which considers the wider context of surface water links, catchment management and cross-sectoral issues with economics, energy, climate, agriculture and the environment. The aim of the book is to document for the first time the dimensions and requirements of sound integrated groundwater management (IGM). The primary focus is on groundwater management within its system, but integrates linkages beyond the aquifer. The book provides an encompassing synthesis for researchers, practitioners and water resource managers on the concepts and tools required for defensible IGM, including how IGM can be applied to achieve more sustainable socioeconomic and environmental outcomes, and key challenges of IGM. The book is divided into five parts: integration overview and problem settings; governance; socioeconomics; biophysical aspects; and modelling and decision support. However, IGM is integrated by definition, thus these divisions should be considered a convenience for presenting the topics rather than hard and fast demarcations of the topic area.

Book chapter↗

Geological and geochemical characterization of the Lower Cretaceous Pearsall Formation, Maverick Basin, south Texas: A future shale gas resource?

As part of an assessment of undiscovered hydrocarbon resources in the northern Gulf of Mexico onshore Mesozoic section, the U.S. Geological Survey (USGS) evaluated the Lower Cretaceous Pearsall Formation of the Maverick Basin, south Texas, as a potential shale gas resource. Wireline logs were used to determine the stratigraphic distribution of the Pearsall Formation and to select available core and cuttings samples for analytical investigation. Samples used for this study spanned updip to downdip environments in the Maverick Basin, including several from the current shale gas-producing area of the Pearsall Formation. The term shale does not adequately describe any of the Pearsall samples evaluated for this study, which included argillaceous lime wackestones from more proximal marine depositional environments in Maverick County and argillaceous lime mudstones from the distal Lower Cretaceous shelf edge in western Bee County. Most facies in the Pearsall Formation were deposited in oxygenated environments as evidenced by the presence of biota preserved as shell fragments and the near absence of sediment laminae, which is probably caused by bioturbation. Organic material is poorly preserved and primarily consists of type III kerogen (terrestrial) and type IV kerogen (inert solid bitumen), with a minor contribution from type II kerogen (marine) based on petrographic analysis and pyrolysis. Carbonate dominates the mineralogy followed by clays and quartz. The low abundance and broad size distribution of pyrite are consistent with the presence of oxic conditions during sediment deposition. The Pearsall Formation is in the dry gas window of hydrocarbon generation (mean random vitrinite reflectance values, R o = 1.2–2.2%) and contains moderate levels of total organic carbon (average 0.86 wt. %), which primarily resides in the inert solid bitumen. Solid bitumen is interpreted to result from in-situ thermal cracking of liquid hydrocarbon generated from original type II kerogen that was prevented from expulsion and migration by low permeability. The temperature of maximum pyrolysis output ( T max ) is a poor predictor of thermal maturity because the pyrolysis (S2) peaks from Rock-Eval analysis are ill defined. Vitrinite reflectance values are consistent with the dry gas window and are the preferred thermal maturity parameter. A Maverick Basin Pearsall shale gas assessment unit was defined using political and geologic boundaries to denote its spatial extent and was evaluated following established USGS hydrocarbon assessment methodology. The assessment estimated a mean undiscovered technically recoverable natural gas resource of 8.8 tcf of gas and 3.4 and 17.8 tcf of gas at the F95 and F5 fractile confidence levels, respectively. Significant engineering challenges will likely need to be met in determining the correct stimulation and completion combination for the successful future development of undiscovered natural gas resources in the Pearsall Formation.

AAPG Bulletin↗

Diet energy density estimated from isotopes in predator hair associated with survival, habitat, and population dynamics

Sea ice loss is fundamentally altering the Arctic marine environment. Yet there is a paucity of data on the adaptability of food webs to ecosystem change, including predator-prey interactions. Polar bears ( Ursus maritimus ) are an important subsistence resource for Indigenous people and an apex predator that relies entirely on the under-ice food web to meet their energy needs. Here, we assessed whether polar bears maintained dietary energy density by prey switching in response to spatial-temporal variation in prey availability. We compared the macronutrient composition of diets inferred from stable carbon and nitrogen isotopes in polar bear guard hair (primarily representing summer/fall diet) during periods when bears had low and high survival 2004-2016, between bears that summered on land versus pack ice, and between bears occupying different regions of the Alaskan and Canadian Beaufort Sea. Polar bears consumed diets with lower energy density during periods of low survival suggesting that concurrent increased dietary proportions of beluga whales ( Delphinapterus leucas ) did not offset reduced proportions of ringed seals ( Pusa hispida ). Diets with the lowest energy density and proportions from ringed seal blubber were consumed by bears in the western Beaufort Sea (Alaska) during a period when polar bear abundance declined. Intake required to meet energy requirements of an average free-ranging adult female polar bear was 2.1 kg/day on diets consumed during years with high survival but rose to 3.0 kg/day when survival was low. Although bears that summered onshore in the Alaskan Beaufort Sea had higher fat diets than bears that summered on the pack ice, access to the remains of subsistence-harvested bowhead whales ( Balaena mysticetus ) contributed little to improving diet energy density. Because most bears in this region remain with the sea ice year-round, prey-switching and consumption of whale carcasses onshore appear insufficient to augment diets when availability of their primary prey, ringed seals, is reduced. Our results show that a strong predator-prey relationship between polar bears and ringed seals continues in the Beaufort Sea. The method of estimating dietary blubber using predator hair, demonstrated here, provides a new metric to monitor predator-prey relationships that affect individual health and population demographics.

Ecological Applications↗

Sage-grouse population dynamics are adversely impacted by overabundant feral horses

In recent decades, feral horse ( Equus caballus ; horse) populations increased in sagebrush ( Artimesia spp.) ecosystems, especially within the Great Basin, to the point of exceeding maximum appropriate management levels (AML max ), which were set by land administrators to balance resource use by feral horses, livestock, and wildlife. Concomitantly, greater sage-grouse ( Centrocercus urophasianus ; sage-grouse) are sagebrush obligates that have experienced population declines within these same arid environments as a result of steady and continued loss of seasonal habitats. Although a strong body of research indicates that overabundant populations of horses degrade sagebrush ecosystems, empirical evidence linking horse abundance to sage-grouse population dynamics is missing. Within a Bayesian framework, we employed state-space models to estimate population rate of change ( λ ) using 15 years (2005–2019) of count surveys of male sage-grouse at traditional breeding grounds (i.e., leks) as a function of horse abundance relative to AML max and other environmental covariates (e.g., wildfire, precipitation, % sagebrush cover). Additionally, we employed a post hoc impact-control design to validate existing AML max values as related to sage-grouse population responses, and to help control for environmental stochasticity and broad-scale oscillations in sage-grouse abundance. On average, for every 50% increase in horse abundance over AML max , our model predicted an annual decline in sage-grouse abundance by 2.6%. Horse abundance at or below AML max coincided with sage-grouse λ estimates that were consistent with trends at non-horse areas elsewhere in the study region. Thus, AML max , as a whole, appeared to be set adequately in preventing adverse effects to sage-grouse populations. Results indicated 76%, 97%, and >99% probability of sage-grouse population decline relative to controls when horse numbers are 2, 2.5, and ≥3 times over AML max , respectively. As of 2019, horse herds exceeded AML max in Nevada, USA, by >4 times on average across all horse management areas. If feral horse populations continue to grow at current rates unabated, model projections indicate sage-grouse populations will be reduced within horse-occupied areas by >70.0% by 2034 (15-year projection), on average compared to 21.2% estimated for control sites. A monitoring framework that improves on estimating horse abundance and identifying responses of sage-grouse and other key indicator species (plant and animal) would be beneficial to guide management decisions that promote co-occurrence of horses with sensitive wildlife and livestock within landscapes subjected to multiple uses. Published 2021. This article is a U.S. Government work and is in the public domain in the USA. The Journal of Wildlife Management published by Wiley Periodicals LLC on behalf of The Wildlife Society.

Nevada↗

Characterizing groundwater/surface-water interaction using hydrograph-separation techniques and groundwater-level data throughout the Mississippi Delta, USA

The Mississippi Delta, located in northwest Mississippi, is an area dense with industrial-level agriculture sustained by groundwater-dependent irrigation supplied by the Mississippi River Valley Alluvial aquifer (alluvial aquifer). The Delta provides agricultural commodities across the United States and around the world. Observed declines in groundwater altitudes and streamflow contemporaneous with increases in irrigation have raised concerns about future groundwater availability and the effects of groundwater withdrawals on streamflow. To quantify the impacts of groundwater withdrawals on streamflow and increase understanding of groundwater and surface-water interaction, hydrograph-separation techniques were used to estimate baseflow and identify statistical streamflow trends. The analysis was conducted using the U.S. Geological Survey Groundwater Toolbox open-source software and daily hydrologic data provided by a spatially-distributed network of paired groundwater wells and streamgaging sites. This study found that effects of groundwater withdrawals on streamflow were observed as statistically significant reductions in baseflow in areas with substantial groundwater-altitude declines. Hydrograph-separation and trend analyses may be applicable to assess the impacts of groundwater withdrawals in altered environments and streamflow may be used as a proxy for changes in groundwater availability. Characterizing and defining hydrologic relations between groundwater and surface water will help scientists and water-resource managers refine a regional groundwater-flow model that includes the Mississippi Delta that will be used to aid water-resource managers in future decisions concerning the alluvial aquifer.

Arkansas, Illinois, Kentucky, Louisiana, Mississip↗

You can go your own way: No evidence for social behavior based on kinship or familiarity in captive juvenile box turtles

Behavioral interactions between conspecific animals can be influenced by relatedness and familiarity. Compared to other vertebrate taxa, considering such aspects of social behavior when housing captive reptiles has received less attention, despite the implications this could have for informing husbandry practices, enhancing welfare, and influencing outcomes of conservation translocations. In this study, to test how kinship and familiarity influenced social behavior in a reptile, we reared 16 captive-born Eastern Box Turtles ( Terrapene carolina ) under semi-natural conditions in four equally sized groups, where each group comprised pairs of siblings and non-siblings. Using separation distance between pairs of turtles in rearing enclosures as a measure of gregariousness, we found no evidence suggesting siblings more frequently interacted with one another compared to non-relatives over the first five months of life (β = -0.016, 95% CI: -0.117 to 0.084). Average pair separation distance decreased during this time (β = -0.146, 95% CI: -0.228 to -0.063) but may have been due to turtles aggregating around concentrated resources like heat and moist retreat areas as cold winter temperatures approached. When subject were eight months old, we measured repeated separation distances between unique pair combinations in an experimental environment and similarly found no support for gregariousness (associations) being influenced by kinship or familiarity (β = -1.554, 95% CI: -9.956 to 6.848). Additionally, differences in body size between pairs of turtles (β = -22.289, 95% CI: -68.448 to 23.870) nor the five-minute time interval during the 90-minute trial (P ≥ 0.18) had any apparent effect on associations. Agonistic interactions between individuals were never observed. Encouragingly, based on our results, group housing and rearing of juvenile box turtles did not appear to negatively impact their behavioral and physiological well-being. Unlike findings for other taxa, including some reptiles, our results suggest strategically housing groups of juvenile T. carolina to maintain social stability may not be an important husbandry consideration, or even a requirement, when planning releases of captive-reared individuals for conservation purposes.

Applied Animal Behaviour Science↗

Ecological relevance of current water quality assessment unit designations in impaired rivers

Managers often nest sections of water bodies together into assessment units (AUs) to monitor and assess water quality criteria. Ideally, AUs represent an extent of waters with similar ecological, watershed, habitat and land-use conditions and no overlapping characteristics with other waters. In the United States, AUs are typically based on political or hydrologic boundaries rather than on ecologically relevant features, so it can be difficult to detect changes in impairment status. Our goals were to evaluate if current AU designation criteria of an impaired water body in southeastern Idaho, USA that, like many U.S. waters, has three-quarters of its mainstem length divided into two AUs. We focused our evaluation in southeastern Idaho's Portneuf River, an impaired river and three-quarters of the river is divided into two AUs. We described biological and environmental conditions at multiple reaches within each AU. We used these data to (1) test if variability at the reach-scale is greater within or among AUs and, (2) to evaluate alternate AU boundaries based on multivariate analyses of reach-scale data. We found that some biological conditions had greater variability within an AU than between AUs. Multivariate analyses identified alternative, 2- and 3-group, AUs that reduced this variability. Our results suggest that the current AU designations in the mainstem Portneuf River contain ecologically distinct sections of river and that the existing AU boundaries should be reconsidered in light of the ecological conditions measured at the reach scale. Variation in biological integrity within designated AUs may complicate water quality and biological assessments, influence management decisions or affect where monitoring or mitigation resources are directed.

Idaho↗

Prevalence of neonicotinoids and sulfoxaflor in alluvial aquifers in a high corn and soybean producing region of the Midwestern United States

Neonicotinoids have been previously detected in Iowa surface waters, but less is known regarding their occurrence in groundwater. To help fill this research gap, a groundwater study was conducted in eastern Iowa and southeastern Minnesota, a corn and soybean producing area with known heavy neonicotinoid use. Neonicotinoids were studied in alluvial aquifers, a hydrogeologic setting known to be vulnerable to surface-applied contaminants. Groundwater samples were analyzed from 40 wells for six neonicotinoid compounds (acetamiprid, clothianidin , dinotefuran, imidacloprid, thiacloprid, thiamethoxam), and sulfoxaflor. Samples were analyzed using liquid chromatography tandem mass spectrometry (LC/MS/MS) with both direct aqueous injection and solid phase extraction methods. Neonicotinoids were prevalent in the alluvial aquifers with 73% of the wells having at least one neonicotinoid detection. Clothianidin (68%, max: 391.7 ng/L) was the most commonly detected, followed by imidacloprid (43%, max: 6.7 ng/L) and thiamethoxam (3%, max: 0.2 ng/L). Acetamiprid, dinotefuran, sulfoxaflor, and thiacloprid were not detected during the study. The solid phase extraction method was more sensitive than direct aqueous injection, where only clothianidin detected in 23% of samples. SPE is the preferred method for detecting low concentrations of hydrophilic pesticides in water. This study documented that the combination of heavy chemical use overlying a hydrogeologic setting vulnerable to surface applied contaminants leads to transport of neonicotinoids into an important groundwater resource.

Iowa↗

Legacy of the fumigant 1,2-dibromo-3-chloropropane (DBCP) in California groundwater

The fumigant pesticide 1,2-dibromo-3-chloropropane (DBCP) was widely used in California agriculture during the 1960s and 1970s before being banned in 1979. Despite this ban, DBCP continues to contaminate groundwater due to its persistence and mobility. This study evaluates the distribution, historical trends, and projected persistence of DBCP in California using data from over 13,000 public supply wells and additional domestic, irrigation, and observation wells (1980-2022). Since 2010, DBCP has been detected in 9% of public supply wells statewide, with higher frequencies in the San Joaquin Valley (21%) and upper Santa Ana River watershed (13%), where DBCP use was most prevalent. Approximately 70% of wells had decreasing concentration trends, whereas increases were more common in deeper wells, indicating downward vertical migration of the DBCP front. Groundwater age estimates show that recharge timing aligns with the 1960s–1970s loading period, enabling reconstruction of peak inputs and providing a basis for age based modeling. To estimate future persistence, we applied a one dimensional advection–dispersion model that simulates long term declines in peak concentrations based on groundwater age, historical loading, and a 38 year degradation half life. Model projections suggest that concentrations above the maximum contaminant level may persist in a declining number of wells until approximately 2080 (range: 2048–2109), with longer persistence in the San Joaquin Valley. The simplified modeling framework, based on age distributions typical of wells capturing peak concentrations, can provide practical regional scale assessment of non-point source contaminants where long-term monitoring exists. This study highlights how the legacy of DBCP contamination will likely affect California's groundwater resources throughout the 21st century.

California↗

Evaluating changes to reservoir rule curves using historical water-level data

Flood control reservoirs are typically managed through rule curves (i.e. target water levels) which control the storage and release timing of flood waters. Changes to rule curves are often contemplated and requested by various user groups and management agencies with no information available about the actual flood risk of such requests. Methods of estimating flood risk in reservoirs are not easily available to those unfamiliar with hydrological models that track water movement through a river basin. We developed a quantile regression model that uses readily available daily water-level data to estimate risk of spilling. Our model provided a relatively simple process for estimating the maximum applicable water level under a specific flood risk for any day of the year. This water level represents an upper-limit umbrella under which water levels can be operated in a variety of ways. Our model allows the visualization of water-level management under a user-specified flood risk and provides a framework for incorporating the effect of a changing environment on water-level management in reservoirs, but is not designed to replace existing hydrological models. The model can improve communication and collaboration among agencies responsible for managing natural resources dependent on reservoir water levels.

International Journal of River Basin Management↗

Continuous water-quality and suspended-sediment transport monitoring in the San Francisco Bay, California, water years 2011–13

The U.S. Geological Survey (USGS) monitors water quality and suspended-sediment transport in the San Francisco Bay. The San Francisco Bay area is home to millions of people, and the bay teems with both resident and migratory wildlife, plants, and fish. Fresh water mixes with salt water in the bay, which is subject both to riverine and marine (tides, waves, influx of salt water) influences. To understand this environment, the USGS, along with its partners, has been monitoring the bay’s waters continuously since 1988. Several water-quality variables are of particular importance to State and Federal resource managers and are monitored at key locations throughout the bay. Salinity, which indicates the relative mixing of fresh and ocean waters in the bay, is derived from specific conductance measurements. Water temperature, along with salinity, affects the density of water, which causes gravity driven circulation patterns and stratification in the water column. Turbidity is measured using light-scattering from suspended solids in water, and is used as a surrogate for suspended-sediment concentration (SSC). Suspended sediment often carries adsorbed contaminants; attenuates sunlight in the water column; deposits on tidal marsh and intertidal mudflats, which can help sustain these habitats as sea level rises; and deposits in ports and shipping channels, which can necessitate dredging. Dissolved oxygen, which is essential to a healthy ecosystem, is a fundamental indicator of water quality, and its concentration is affected by water temperature, salinity, ecosystem metabolism, tidal currents, and wind. Tidal currents in the bay reverse four times a day, and wind direction and intensity typically change on a daily cycle: consequently, salinity, water temperature, suspendedsediment concentration, and dissolvedoxygen concentration vary spatially and temporally throughout the bay, and continuous measurements are needed to observe these changes. The purpose of this fact sheet is to inform the public and resource managers of the availability of these water-quality data.

California↗

Map showing fluorspar deposits in Colorado

Increased fluorine consumption (U.S. Bureau of Mines, 1946-1971) coupled with limited proved reserves has stimulated extensive exploration for fluorine and intensive research into developing new sources of fluorine or substitutes. A summary of the distribution, geochemical and geologic environments, and production history of selected fluorspar occurrences, deposits, and districts is provided here with the hope that this information will help to stimulate exploration and discovery of additional fluorspar resources in Colorado to augment our dwindling domestic supply.

Colorado↗

2nd interface between ecology and land development in California

The 2nd Interface Between Ecology and Land Development Conference was held in association with Earth Day 1997, five years after the first Interface Conference. Rapid population growth in California has intensified the inevitable conflict between land development and preservation of natural ecosystems. Sustainable development requires wise use of diminishing natural resources and, where possible, restoration of damaged landscapes. These Earth Week Celebrations brought together resource managers, scientists, politicians, environmental consultants, and concerned citizens in an effort to improve the communication necessary to maintain our natural biodiversity, ecosystem processes and general quality of life. As discussed by our keynote speaker, Michael Soule, the best predictor of habitat loss is population growth and nowhere is this better illustrated than in California. As urban perimeters expand, the interface between wildlands and urban areas increases. Few problems are more vexing than how to manage the fire prone ecosystems indigenous to California at this urban interface. Today resource managers face increasing challenges of dealing with this problem and the lead-off section of the proceedings considers both the theoretical basis for making decisions related to prescribed burning and the practical application. Habitat fragmentation is an inevitable consequence of development patterns with significant impacts on animal and plant populations. Managers must be increasingly resourceful in dealing with problems of fragmentation and the often inevitable consequences, including susceptibility to invasive oganisms. One approach to dealing with fragmentation problems is through careful landplanning. California is the national leader in the integration of conservation and economics. On Earth Day 1991, Governor Pete Wilson presented an environmental agenda that promised to create between land owners and environmentalists, agreements that would guarantee the protection of -endangered species and out of this grew the pioneering initiative, known as the Natural Communities Conservation Planning (NCCP) program. California's vast expanse of seemingly endless resources has traditionally been viewed as justification for abusive land use practices. The modem day recognition that resources are finite has led to greater concern, not only for conserving what is left, but for restoring abused landscapes. Ecological restoration is a new science devoted to returning disturbed environments to a semblance of their 'pristine' state. Based on principles of 'revegetation,' restoration goes far beyond simple replanting, rather the ambition of ecological restoration is to return landscapes to functioning ecosystems and is the focus of the last section.

Open-File Report↗

Field trip guide to selected studies of the Southwest Mineral and Environmental Investigations Project in southeastern Arizona

The Southwest Mineral and Environmental Investigations Project is designed to address issues raised by rapid urban development in the basins of the southwestern U.S. These issues require objective geoscientific data that can be used by land managers and stakeholders to develop informed land and water use strategies. The project integrates new and existing geologic, geophysical, and geochemical data, and imagery to provide three-dimensional visualizations of the basins of southeastern Arizona. Emphasis is on developing better knowledge of the aquifer systems of both the basins and the ranges, on acquiring background and baseline information, and on determining the distribution of metals related to mineralization and the fate of these metals in surface and subsurface environments. The products of the project will be used in resolving issues of water quality and quantity, in understanding environmental impacts such as riparian ecosystem maintenace, and in evaluating mineral resources beneath and within the basins. The field trip highlights three topics and areas (figs. 1 and 2): (1) geology and geophysics of the upper San Pedro and upper Santa Cruz basins (M.E. Gettings, M. W. Bultman, and B.B. Houser), (2) geology, geophysics, and mineral resource potential of the San Rafael basin (M.W. Bultman), and (3) hydrology and aqueous geochemistry of the Red Mountain and Sonoita Creek drainage system (Floyd Gray). The trip guide, which begins and ends in Tucson, Arizona, also includes commentary on the cultural and mining history of the area.

Arizona↗